US Stock MarketDetailed Quotes

LTRN Lantern Pharma

Watchlist
  • 3.125
  • +0.105+3.48%
Close Dec 24 13:00 ET
  • 3.150
  • +0.025+0.80%
Post 17:01 ET
33.70MMarket Cap-1.76P/E (TTM)

Lantern Pharma Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-37.56%28.05M
-30.63%33.26M
-25.58%38.36M
-25.17%41.3M
-25.17%41.3M
-22.31%44.93M
-22.85%47.95M
-20.97%51.54M
-21.96%55.2M
-21.96%55.2M
-Cash and cash equivalents
-68.31%8.1M
-54.35%12.98M
-43.48%18.36M
-41.03%21.94M
-41.03%21.94M
-34.86%25.57M
-34.45%28.42M
-30.38%32.48M
-27.80%37.2M
-27.80%37.2M
-Short-term investments
3.09%19.95M
3.89%20.29M
4.92%20M
7.62%19.36M
7.62%19.36M
4.23%19.35M
3.93%19.53M
2.67%19.06M
-6.29%17.99M
-6.29%17.99M
Restricted cash
----
----
----
--0
--0
--0
--541.18K
--541.18K
--541.18K
--541.18K
Other current assets
-25.32%1.87M
-20.47%2.03M
-63.94%1.11M
-31.71%2.04M
-31.71%2.04M
-31.53%2.5M
-27.37%2.55M
26.14%3.09M
49.95%2.99M
49.95%2.99M
Total current assets
-36.91%29.92M
-30.86%35.29M
-28.45%39.47M
-26.19%43.34M
-26.19%43.34M
-23.53%47.43M
-22.27%51.04M
-18.47%55.17M
-19.24%58.72M
-19.24%58.72M
Non current assets
Net PPE
4.98%335.57K
-26.48%263.34K
-23.09%237.49K
193.04%280.42K
193.04%280.42K
152.23%319.66K
127.07%358.21K
71.27%308.79K
-55.74%95.7K
-55.74%95.7K
-Gross PPE
4.98%335.57K
-26.48%263.34K
-23.09%237.49K
193.04%280.42K
193.04%280.42K
152.23%319.66K
127.07%358.21K
71.27%308.79K
-55.74%95.7K
-55.74%95.7K
Other non current assets
42.02%36.74K
23.76%32.02K
-21.54%25.87K
44.61%25.87K
44.61%25.87K
44.61%25.87K
-95.37%25.87K
-94.10%32.97K
-98.24%17.89K
-98.24%17.89K
Total non current assets
7.75%372.3K
-23.10%295.35K
-22.94%263.36K
169.66%306.29K
169.66%306.29K
138.92%345.53K
-46.42%384.07K
-53.78%341.76K
-90.80%113.58K
-90.80%113.58K
Total assets
-36.59%30.29M
-30.80%35.59M
-28.42%39.73M
-25.82%43.65M
-25.82%43.65M
-23.15%47.77M
-22.53%51.43M
-18.85%55.51M
-20.44%58.84M
-20.44%58.84M
Liabilities
Current liabilities
Current debt and capital lease obligation
17.43%197.29K
0.52%164K
48.87%178.02K
227.05%172.98K
227.05%172.98K
82.58%168.01K
24.82%163.15K
-22.94%119.58K
-65.22%52.89K
-65.22%52.89K
-Current capital lease obligation
17.43%197.29K
0.52%164K
48.87%178.02K
227.05%172.98K
227.05%172.98K
82.58%168.01K
24.82%163.15K
-22.94%119.58K
-65.22%52.89K
-65.22%52.89K
Current liabilities
59.81%3.6M
52.55%4.6M
41.54%3.95M
-4.29%2.68M
-4.29%2.68M
-28.22%2.25M
-43.14%3.02M
-9.13%2.79M
20.30%2.8M
20.30%2.8M
Non current liabilities
Long term debt and capital lease obligation
-11.79%93.95K
-63.71%54.69K
-88.93%15.56K
--61.5K
--61.5K
--106.52K
--150.71K
957.46%140.63K
--0
--0
-Long term capital lease obligation
-11.79%93.95K
-63.71%54.69K
-88.93%15.56K
--61.5K
--61.5K
--106.52K
--150.71K
957.46%140.63K
--0
--0
Total non current liabilities
-11.79%93.95K
-63.71%54.69K
-88.93%15.56K
--61.5K
--61.5K
--106.52K
--150.71K
957.46%140.63K
--0
--0
Total liabilities
56.58%3.7M
47.01%4.66M
35.28%3.97M
-2.09%2.74M
-2.09%2.74M
-24.82%2.36M
-40.30%3.17M
-4.97%2.93M
17.62%2.8M
17.62%2.8M
Shareholders'equity
Share capital
-0.83%1.08K
-1.01%1.08K
-0.92%1.08K
-1.29%1.07K
-1.29%1.07K
0.09%1.09K
0.37%1.09K
0.28%1.09K
-2.07%1.09K
-2.07%1.09K
-common stock
-0.83%1.08K
-1.01%1.08K
-0.92%1.08K
-1.29%1.07K
-1.29%1.07K
0.09%1.09K
0.37%1.09K
0.28%1.09K
-2.07%1.09K
-2.07%1.09K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-37.39%-70.15M
-37.05%-65.64M
-40.64%-60.69M
-40.63%-55.24M
-40.63%-55.24M
-42.22%-51.06M
-42.39%-47.9M
-48.06%-43.15M
-56.99%-39.28M
-56.99%-39.28M
Paid-in capital
0.17%96.77M
0.17%96.58M
0.44%96.45M
0.59%96.26M
0.59%96.26M
1.31%96.61M
1.43%96.42M
1.32%96.02M
-1.03%95.69M
-1.03%95.69M
Gains losses not affecting retained earnings
81.80%-25.26K
97.49%-6.59K
100.62%1.86K
71.07%-107.46K
71.07%-107.46K
68.10%-138.79K
24.86%-261.84K
3.79%-299.68K
-300.68%-371.39K
-300.68%-371.39K
Total stockholders'equity
-41.43%26.6M
-35.91%30.93M
-31.97%35.77M
-27.00%40.91M
-27.00%40.91M
-23.06%45.41M
-20.98%48.26M
-19.51%52.58M
-21.70%56.04M
-21.70%56.04M
Total equity
-41.43%26.6M
-35.91%30.93M
-31.97%35.77M
-27.00%40.91M
-27.00%40.91M
-23.06%45.41M
-20.98%48.26M
-19.51%52.58M
-21.70%56.04M
-21.70%56.04M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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--
Unqualified Opinion
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(Q3)Sep 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments -37.56%28.05M-30.63%33.26M-25.58%38.36M-25.17%41.3M-25.17%41.3M-22.31%44.93M-22.85%47.95M-20.97%51.54M-21.96%55.2M-21.96%55.2M
-Cash and cash equivalents -68.31%8.1M-54.35%12.98M-43.48%18.36M-41.03%21.94M-41.03%21.94M-34.86%25.57M-34.45%28.42M-30.38%32.48M-27.80%37.2M-27.80%37.2M
-Short-term investments 3.09%19.95M3.89%20.29M4.92%20M7.62%19.36M7.62%19.36M4.23%19.35M3.93%19.53M2.67%19.06M-6.29%17.99M-6.29%17.99M
Restricted cash --------------0--0--0--541.18K--541.18K--541.18K--541.18K
Other current assets -25.32%1.87M-20.47%2.03M-63.94%1.11M-31.71%2.04M-31.71%2.04M-31.53%2.5M-27.37%2.55M26.14%3.09M49.95%2.99M49.95%2.99M
Total current assets -36.91%29.92M-30.86%35.29M-28.45%39.47M-26.19%43.34M-26.19%43.34M-23.53%47.43M-22.27%51.04M-18.47%55.17M-19.24%58.72M-19.24%58.72M
Non current assets
Net PPE 4.98%335.57K-26.48%263.34K-23.09%237.49K193.04%280.42K193.04%280.42K152.23%319.66K127.07%358.21K71.27%308.79K-55.74%95.7K-55.74%95.7K
-Gross PPE 4.98%335.57K-26.48%263.34K-23.09%237.49K193.04%280.42K193.04%280.42K152.23%319.66K127.07%358.21K71.27%308.79K-55.74%95.7K-55.74%95.7K
Other non current assets 42.02%36.74K23.76%32.02K-21.54%25.87K44.61%25.87K44.61%25.87K44.61%25.87K-95.37%25.87K-94.10%32.97K-98.24%17.89K-98.24%17.89K
Total non current assets 7.75%372.3K-23.10%295.35K-22.94%263.36K169.66%306.29K169.66%306.29K138.92%345.53K-46.42%384.07K-53.78%341.76K-90.80%113.58K-90.80%113.58K
Total assets -36.59%30.29M-30.80%35.59M-28.42%39.73M-25.82%43.65M-25.82%43.65M-23.15%47.77M-22.53%51.43M-18.85%55.51M-20.44%58.84M-20.44%58.84M
Liabilities
Current liabilities
Current debt and capital lease obligation 17.43%197.29K0.52%164K48.87%178.02K227.05%172.98K227.05%172.98K82.58%168.01K24.82%163.15K-22.94%119.58K-65.22%52.89K-65.22%52.89K
-Current capital lease obligation 17.43%197.29K0.52%164K48.87%178.02K227.05%172.98K227.05%172.98K82.58%168.01K24.82%163.15K-22.94%119.58K-65.22%52.89K-65.22%52.89K
Current liabilities 59.81%3.6M52.55%4.6M41.54%3.95M-4.29%2.68M-4.29%2.68M-28.22%2.25M-43.14%3.02M-9.13%2.79M20.30%2.8M20.30%2.8M
Non current liabilities
Long term debt and capital lease obligation -11.79%93.95K-63.71%54.69K-88.93%15.56K--61.5K--61.5K--106.52K--150.71K957.46%140.63K--0--0
-Long term capital lease obligation -11.79%93.95K-63.71%54.69K-88.93%15.56K--61.5K--61.5K--106.52K--150.71K957.46%140.63K--0--0
Total non current liabilities -11.79%93.95K-63.71%54.69K-88.93%15.56K--61.5K--61.5K--106.52K--150.71K957.46%140.63K--0--0
Total liabilities 56.58%3.7M47.01%4.66M35.28%3.97M-2.09%2.74M-2.09%2.74M-24.82%2.36M-40.30%3.17M-4.97%2.93M17.62%2.8M17.62%2.8M
Shareholders'equity
Share capital -0.83%1.08K-1.01%1.08K-0.92%1.08K-1.29%1.07K-1.29%1.07K0.09%1.09K0.37%1.09K0.28%1.09K-2.07%1.09K-2.07%1.09K
-common stock -0.83%1.08K-1.01%1.08K-0.92%1.08K-1.29%1.07K-1.29%1.07K0.09%1.09K0.37%1.09K0.28%1.09K-2.07%1.09K-2.07%1.09K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -37.39%-70.15M-37.05%-65.64M-40.64%-60.69M-40.63%-55.24M-40.63%-55.24M-42.22%-51.06M-42.39%-47.9M-48.06%-43.15M-56.99%-39.28M-56.99%-39.28M
Paid-in capital 0.17%96.77M0.17%96.58M0.44%96.45M0.59%96.26M0.59%96.26M1.31%96.61M1.43%96.42M1.32%96.02M-1.03%95.69M-1.03%95.69M
Gains losses not affecting retained earnings 81.80%-25.26K97.49%-6.59K100.62%1.86K71.07%-107.46K71.07%-107.46K68.10%-138.79K24.86%-261.84K3.79%-299.68K-300.68%-371.39K-300.68%-371.39K
Total stockholders'equity -41.43%26.6M-35.91%30.93M-31.97%35.77M-27.00%40.91M-27.00%40.91M-23.06%45.41M-20.98%48.26M-19.51%52.58M-21.70%56.04M-21.70%56.04M
Total equity -41.43%26.6M-35.91%30.93M-31.97%35.77M-27.00%40.91M-27.00%40.91M-23.06%45.41M-20.98%48.26M-19.51%52.58M-21.70%56.04M-21.70%56.04M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion------------
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