US Stock MarketDetailed Quotes

LMLLF PHARMADRUG INC

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  • 0.015
  • +0.002+15.07%
15min DelayTrading Oct 21 09:32 ET
1.65MMarket Cap-92P/E (TTM)

PHARMADRUG INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
26.14%149.55K
-1.09%218.22K
28.50%423.06K
28.50%423.06K
-72.62%188.42K
-6.20%118.55K
-19.21%220.62K
-74.58%329.24K
-74.58%329.24K
-72.45%688.19K
-Cash and cash equivalents
1,286.75%137.61K
2,367.17%206.28K
4,705.63%411.12K
4,705.63%411.12K
474.15%160.1K
-48.54%9.92K
-89.18%8.36K
-99.11%8.56K
-99.11%8.56K
-98.40%27.88K
-Short-term investments
-89.01%11.94K
-94.38%11.94K
-96.28%11.94K
-96.28%11.94K
-95.71%28.33K
1.42%108.63K
8.40%212.26K
-4.95%320.69K
-4.95%320.69K
-12.01%660.31K
Receivables
-93.82%60.98K
-93.31%65.82K
-98.08%19.15K
-98.08%19.15K
-3.30%977.69K
1,120.01%987.27K
622.97%983.41K
1,088.03%997.07K
1,088.03%997.07K
1,428.66%1.01M
-Accounts receivable
----
----
----
----
----
----
----
----
----
--0
-Notes receivable
----
----
--0
--0
0.00%974.14K
--974.14K
--974.14K
--974.14K
--974.14K
--974.14K
-Taxes receivable
364.23%60.98K
609.72%65.82K
-16.46%19.15K
-16.46%19.15K
-90.36%3.56K
-81.27%13.14K
-79.07%9.27K
-35.95%22.93K
-35.95%22.93K
53.00%36.87K
Inventory
----
----
----
----
----
----
----
----
----
-14.87%75.77K
Prepaid assets
1,106.40%55K
-45.16%5K
-63.44%5K
-63.44%5K
--0
-66.14%4.56K
-90.03%9.12K
-76.58%13.68K
-76.58%13.68K
-79.89%22.32K
Restricted cash
--0
--136.1K
--149.01K
--149.01K
----
----
----
--0
--0
----
Total current assets
-76.09%265.52K
-64.96%425.14K
-55.51%596.22K
-55.51%596.22K
-35.12%1.17M
-57.56%1.11M
97.98%1.21M
-15.92%1.34M
-15.92%1.34M
-34.97%1.8M
Non current assets
Net PPE
----
----
----
----
----
----
----
--0
--0
--0
-Gross PPE
----
----
----
----
----
----
----
----
----
-80.51%38.99K
-Accumulated depreciation
----
----
----
----
----
----
----
----
----
70.67%-38.99K
Goodwill and other intangible assets
-94.64%577.85K
-94.52%590.41K
-94.40%602.97K
-94.40%602.97K
-0.31%10.77M
-0.35%10.77M
-37.66%10.77M
-39.57%10.77M
-39.57%10.77M
-38.42%10.81M
-Goodwill
--0
--0
--0
--0
0.00%6.24M
0.00%6.24M
-39.48%6.24M
-40.40%6.24M
-40.40%6.24M
-39.07%6.24M
-Other intangible assets
-87.24%577.85K
-86.97%590.41K
-86.69%602.97K
-86.69%602.97K
-0.74%4.53M
-0.82%4.53M
-34.95%4.53M
-38.40%4.53M
-38.40%4.53M
-37.51%4.56M
Total non current assets
-94.64%577.85K
-94.52%590.41K
-94.40%602.97K
-94.40%602.97K
-0.31%10.77M
-0.35%10.77M
-37.93%10.77M
-39.91%10.77M
-39.91%10.77M
-38.66%10.81M
Total assets
-92.90%843.37K
-91.53%1.02M
-90.10%1.2M
-90.10%1.2M
-5.28%11.94M
-11.50%11.88M
-33.29%11.99M
-37.95%12.11M
-37.95%12.11M
-38.16%12.6M
Liabilities
Current liabilities
Payables
-41.16%352.88K
-21.51%440.42K
-14.41%449.57K
-14.41%449.57K
97.34%644.96K
49.81%599.77K
100.98%561.1K
110.96%525.29K
110.96%525.29K
58.77%326.82K
-accounts payable
-41.16%352.88K
-21.51%440.42K
-14.41%449.57K
-14.41%449.57K
97.34%644.96K
49.81%599.77K
100.98%561.1K
110.96%525.29K
110.96%525.29K
58.77%326.82K
Current accrued expenses
-15.79%326.77K
33.94%396.77K
80.40%448.58K
80.40%448.58K
78.14%370.71K
119.52%388.04K
9.79%296.22K
32.14%248.66K
32.14%248.66K
15.90%208.1K
Current debt and capital lease obligation
-15.01%1.34M
-2.50%1.36M
24.19%1.77M
24.19%1.77M
14.58%1.6M
104,949.40%1.58M
5,612.46%1.39M
3,233.76%1.42M
3,233.76%1.42M
11,148.67%1.4M
-Current debt
-15.01%1.34M
-2.50%1.36M
24.19%1.77M
24.19%1.77M
14.58%1.6M
104,949.40%1.58M
--1.39M
--1.42M
--1.42M
--1.4M
-Current capital lease obligation
----
----
----
----
----
----
----
----
----
--0
Other current liabilities
----
----
----
----
----
----
----
----
----
--100
Current liabilities
-21.24%2.02M
-2.44%2.2M
21.32%2.66M
21.32%2.66M
35.40%2.62M
163.57%2.56M
292.66%2.25M
357.77%2.2M
357.77%2.2M
386.05%1.93M
Non current liabilities
Long term provisions
----
----
----
----
0.00%70K
--70K
-25.04%70K
-27.85%70K
-27.85%70K
33.32%70K
Long term debt and capital lease obligation
----
----
----
----
----
----
----
----
----
--0
-Long term capital lease obligation
----
----
----
----
----
----
----
----
----
--0
Non current deferred liabilities
----
----
--0
--0
-15.83%1.01M
-15.83%1.01M
-10.93%1.01M
-19.47%1.01M
-19.47%1.01M
85.51%1.2M
Other non current liabilities
----
----
----
----
----
----
---3K
----
----
----
Total non current liabilities
--0
--0
--0
--0
-14.96%1.08M
-47.77%1.08M
-48.34%1.08M
-50.34%1.08M
-50.34%1.08M
-13.55%1.27M
Total liabilities
-44.59%2.02M
-34.02%2.2M
-18.68%2.66M
-18.68%2.66M
15.44%3.7M
19.83%3.64M
25.21%3.33M
23.42%3.28M
23.42%3.28M
71.59%3.2M
Shareholders'equity
Share capital
8.94%34.01M
8.74%33.95M
6.39%33.21M
6.39%33.21M
0.00%31.22M
0.22%31.22M
1.43%31.22M
1.99%31.22M
1.99%31.22M
1.99%31.22M
-common stock
8.94%34.01M
8.74%33.95M
6.39%33.21M
6.39%33.21M
0.00%31.22M
0.22%31.22M
1.43%31.22M
1.99%31.22M
1.99%31.22M
1.99%31.22M
Retained earnings
-54.71%-38.93M
-54.09%-38.79M
-52.47%-38.3M
-52.47%-38.3M
-3.79%-25.46M
6.10%-25.16M
-17.31%-25.18M
-29.45%-25.12M
-29.45%-25.12M
-36.47%-24.53M
Gains losses not affecting retained earnings
2.13%-45.6K
3.38%-45.6K
-82.36%-45.6K
-82.36%-45.6K
7.57%-45.6K
-141.42%-46.6K
-205.23%-47.2K
79.43%-25.01K
79.43%-25.01K
80.82%-49.34K
Other equity interest
61.81%3.61M
32.12%3.52M
24.09%3.43M
24.09%3.43M
-19.30%2.23M
-62.35%2.23M
-55.23%2.66M
-52.26%2.76M
-52.26%2.76M
-55.01%2.76M
Total stockholders'equity
-116.48%-1.36M
-115.89%-1.38M
-119.29%-1.7M
-119.29%-1.7M
-15.53%7.94M
-20.67%8.24M
-43.45%8.66M
-47.61%8.84M
-47.61%8.84M
-49.23%9.4M
Noncontrolling interests
--181.8K
--194.74K
--238.89K
--238.89K
--300K
----
----
--0
--0
----
Total equity
-114.27%-1.18M
-113.64%-1.18M
-116.59%-1.47M
-116.59%-1.47M
-12.34%8.24M
-20.67%8.24M
-43.45%8.66M
-47.61%8.84M
-47.61%8.84M
-49.23%9.4M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 26.14%149.55K-1.09%218.22K28.50%423.06K28.50%423.06K-72.62%188.42K-6.20%118.55K-19.21%220.62K-74.58%329.24K-74.58%329.24K-72.45%688.19K
-Cash and cash equivalents 1,286.75%137.61K2,367.17%206.28K4,705.63%411.12K4,705.63%411.12K474.15%160.1K-48.54%9.92K-89.18%8.36K-99.11%8.56K-99.11%8.56K-98.40%27.88K
-Short-term investments -89.01%11.94K-94.38%11.94K-96.28%11.94K-96.28%11.94K-95.71%28.33K1.42%108.63K8.40%212.26K-4.95%320.69K-4.95%320.69K-12.01%660.31K
Receivables -93.82%60.98K-93.31%65.82K-98.08%19.15K-98.08%19.15K-3.30%977.69K1,120.01%987.27K622.97%983.41K1,088.03%997.07K1,088.03%997.07K1,428.66%1.01M
-Accounts receivable --------------------------------------0
-Notes receivable ----------0--00.00%974.14K--974.14K--974.14K--974.14K--974.14K--974.14K
-Taxes receivable 364.23%60.98K609.72%65.82K-16.46%19.15K-16.46%19.15K-90.36%3.56K-81.27%13.14K-79.07%9.27K-35.95%22.93K-35.95%22.93K53.00%36.87K
Inventory -------------------------------------14.87%75.77K
Prepaid assets 1,106.40%55K-45.16%5K-63.44%5K-63.44%5K--0-66.14%4.56K-90.03%9.12K-76.58%13.68K-76.58%13.68K-79.89%22.32K
Restricted cash --0--136.1K--149.01K--149.01K--------------0--0----
Total current assets -76.09%265.52K-64.96%425.14K-55.51%596.22K-55.51%596.22K-35.12%1.17M-57.56%1.11M97.98%1.21M-15.92%1.34M-15.92%1.34M-34.97%1.8M
Non current assets
Net PPE ------------------------------0--0--0
-Gross PPE -------------------------------------80.51%38.99K
-Accumulated depreciation ------------------------------------70.67%-38.99K
Goodwill and other intangible assets -94.64%577.85K-94.52%590.41K-94.40%602.97K-94.40%602.97K-0.31%10.77M-0.35%10.77M-37.66%10.77M-39.57%10.77M-39.57%10.77M-38.42%10.81M
-Goodwill --0--0--0--00.00%6.24M0.00%6.24M-39.48%6.24M-40.40%6.24M-40.40%6.24M-39.07%6.24M
-Other intangible assets -87.24%577.85K-86.97%590.41K-86.69%602.97K-86.69%602.97K-0.74%4.53M-0.82%4.53M-34.95%4.53M-38.40%4.53M-38.40%4.53M-37.51%4.56M
Total non current assets -94.64%577.85K-94.52%590.41K-94.40%602.97K-94.40%602.97K-0.31%10.77M-0.35%10.77M-37.93%10.77M-39.91%10.77M-39.91%10.77M-38.66%10.81M
Total assets -92.90%843.37K-91.53%1.02M-90.10%1.2M-90.10%1.2M-5.28%11.94M-11.50%11.88M-33.29%11.99M-37.95%12.11M-37.95%12.11M-38.16%12.6M
Liabilities
Current liabilities
Payables -41.16%352.88K-21.51%440.42K-14.41%449.57K-14.41%449.57K97.34%644.96K49.81%599.77K100.98%561.1K110.96%525.29K110.96%525.29K58.77%326.82K
-accounts payable -41.16%352.88K-21.51%440.42K-14.41%449.57K-14.41%449.57K97.34%644.96K49.81%599.77K100.98%561.1K110.96%525.29K110.96%525.29K58.77%326.82K
Current accrued expenses -15.79%326.77K33.94%396.77K80.40%448.58K80.40%448.58K78.14%370.71K119.52%388.04K9.79%296.22K32.14%248.66K32.14%248.66K15.90%208.1K
Current debt and capital lease obligation -15.01%1.34M-2.50%1.36M24.19%1.77M24.19%1.77M14.58%1.6M104,949.40%1.58M5,612.46%1.39M3,233.76%1.42M3,233.76%1.42M11,148.67%1.4M
-Current debt -15.01%1.34M-2.50%1.36M24.19%1.77M24.19%1.77M14.58%1.6M104,949.40%1.58M--1.39M--1.42M--1.42M--1.4M
-Current capital lease obligation --------------------------------------0
Other current liabilities --------------------------------------100
Current liabilities -21.24%2.02M-2.44%2.2M21.32%2.66M21.32%2.66M35.40%2.62M163.57%2.56M292.66%2.25M357.77%2.2M357.77%2.2M386.05%1.93M
Non current liabilities
Long term provisions ----------------0.00%70K--70K-25.04%70K-27.85%70K-27.85%70K33.32%70K
Long term debt and capital lease obligation --------------------------------------0
-Long term capital lease obligation --------------------------------------0
Non current deferred liabilities ----------0--0-15.83%1.01M-15.83%1.01M-10.93%1.01M-19.47%1.01M-19.47%1.01M85.51%1.2M
Other non current liabilities ---------------------------3K------------
Total non current liabilities --0--0--0--0-14.96%1.08M-47.77%1.08M-48.34%1.08M-50.34%1.08M-50.34%1.08M-13.55%1.27M
Total liabilities -44.59%2.02M-34.02%2.2M-18.68%2.66M-18.68%2.66M15.44%3.7M19.83%3.64M25.21%3.33M23.42%3.28M23.42%3.28M71.59%3.2M
Shareholders'equity
Share capital 8.94%34.01M8.74%33.95M6.39%33.21M6.39%33.21M0.00%31.22M0.22%31.22M1.43%31.22M1.99%31.22M1.99%31.22M1.99%31.22M
-common stock 8.94%34.01M8.74%33.95M6.39%33.21M6.39%33.21M0.00%31.22M0.22%31.22M1.43%31.22M1.99%31.22M1.99%31.22M1.99%31.22M
Retained earnings -54.71%-38.93M-54.09%-38.79M-52.47%-38.3M-52.47%-38.3M-3.79%-25.46M6.10%-25.16M-17.31%-25.18M-29.45%-25.12M-29.45%-25.12M-36.47%-24.53M
Gains losses not affecting retained earnings 2.13%-45.6K3.38%-45.6K-82.36%-45.6K-82.36%-45.6K7.57%-45.6K-141.42%-46.6K-205.23%-47.2K79.43%-25.01K79.43%-25.01K80.82%-49.34K
Other equity interest 61.81%3.61M32.12%3.52M24.09%3.43M24.09%3.43M-19.30%2.23M-62.35%2.23M-55.23%2.66M-52.26%2.76M-52.26%2.76M-55.01%2.76M
Total stockholders'equity -116.48%-1.36M-115.89%-1.38M-119.29%-1.7M-119.29%-1.7M-15.53%7.94M-20.67%8.24M-43.45%8.66M-47.61%8.84M-47.61%8.84M-49.23%9.4M
Noncontrolling interests --181.8K--194.74K--238.89K--238.89K--300K----------0--0----
Total equity -114.27%-1.18M-113.64%-1.18M-116.59%-1.47M-116.59%-1.47M-12.34%8.24M-20.67%8.24M-43.45%8.66M-47.61%8.84M-47.61%8.84M-49.23%9.4M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

No Data

Price Target

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