US Stock MarketDetailed Quotes

MDWD MediWound

Watchlist
  • 16.480
  • -0.280-1.67%
Close Nov 22 16:00 ET
  • 15.980
  • -0.500-3.03%
Post 17:39 ET
177.82MMarket Cap-7629P/E (TTM)

MediWound 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
-42.85%29.22M
-37.82%35.57M
22.56%41.54M
22.56%41.54M
158.77%45.52M
399.34%51.12M
239.77%57.2M
206.85%33.9M
206.85%33.9M
26.87%17.59M
-Cash and cash equivalents
----
----
-64.99%11.87M
-64.99%11.87M
--9.28M
561.43%51.12M
--51.02M
206.85%33.9M
206.85%33.9M
----
-Short-term investments
----
----
--29.68M
--29.68M
--36.24M
----
--6.18M
--0
--0
----
Receivables
28.03%4.89M
50.58%5.32M
-54.42%4.42M
-54.42%4.42M
-18.19%4.07M
-13.46%3.82M
10.34%3.53M
327.66%9.7M
327.66%9.7M
40.05%4.98M
-Accounts receivable
28.03%4.89M
110.99%5.32M
-60.35%3.7M
-60.35%3.7M
-18.19%4.07M
1.57%3.82M
-21.25%2.52M
424.56%9.33M
424.56%9.33M
40.05%4.98M
-Other receivables
----
----
98.07%719K
98.07%719K
----
----
--1.01M
-25.61%363K
-25.61%363K
----
Inventory
3.12%3.21M
30.56%3.31M
44.98%2.85M
44.98%2.85M
94.47%3.66M
56.35%3.11M
32.08%2.54M
63.58%1.96M
63.58%1.96M
50.16%1.88M
Prepaid assets
----
----
151.57%722K
151.57%722K
----
----
----
-34.62%287K
-34.62%287K
----
Restricted cash
----
----
--167K
--167K
----
----
--0
--0
--0
----
Total current assets
-35.73%37.31M
-30.15%44.2M
8.41%49.7M
8.41%49.7M
117.81%53.25M
245.37%58.05M
188.17%63.27M
206.58%45.84M
206.58%45.84M
30.94%24.45M
Non current assets
Net PPE
228.19%19.16M
255.86%17.35M
344.74%15.93M
344.74%15.93M
258.08%13.1M
53.51%5.84M
25.00%4.88M
-11.05%3.58M
-11.05%3.58M
-12.49%3.66M
-Gross PPE
228.19%19.16M
255.86%17.35M
129.61%23.06M
129.61%23.06M
258.08%13.1M
53.51%5.84M
25.00%4.88M
1.64%10.04M
1.64%10.04M
-12.49%3.66M
-Accumulated depreciation
----
----
-10.41%-7.14M
-10.41%-7.14M
----
----
----
-10.37%-6.46M
-10.37%-6.46M
----
Goodwill and other intangible assets
-33.33%132K
-30.70%149K
-28.57%165K
-28.57%165K
-26.61%182K
-25.00%198K
-23.49%215K
-22.22%231K
-22.22%231K
-21.02%248K
-Other intangible assets
----
----
-28.57%165K
-28.57%165K
----
----
----
-22.22%231K
-22.22%231K
----
Non current accounts receivable
-14.08%238K
-21.97%238K
29.44%233K
29.44%233K
110.00%483K
20.43%277K
32.61%305K
-61.62%180K
-61.62%180K
--230K
Other non current assets
--453K
--446K
139.13%440K
139.13%440K
----
----
----
--184K
--184K
----
Total non current assets
216.54%19.98M
237.00%18.18M
301.44%16.76M
301.44%16.76M
232.78%13.77M
46.92%6.31M
22.31%5.4M
-12.85%4.18M
-12.85%4.18M
-7.96%4.14M
Total assets
-10.98%57.3M
-9.16%62.38M
32.88%66.46M
32.88%66.46M
134.45%67.02M
204.97%64.37M
160.42%68.67M
153.32%50.02M
153.32%50.02M
23.39%28.59M
Liabilities
Current liabilities
Payables
-2.13%6.21M
8.52%7.73M
0.07%7.29M
0.07%7.29M
3.02%6.75M
-20.02%6.35M
-17.90%7.13M
27.42%7.28M
27.42%7.28M
-19.06%6.55M
-accounts payable
-22.26%2.75M
24.77%4.25M
-2.26%5.53M
-2.26%5.53M
3.23%3.68M
-27.60%3.53M
-39.48%3.4M
20.52%5.66M
20.52%5.66M
-3.91%3.57M
-Due to related parties current
----
----
-72.96%83K
-72.96%83K
----
----
----
27.39%307K
27.39%307K
----
-Other payable
23.11%3.47M
-6.34%3.49M
27.09%1.68M
27.09%1.68M
2.78%3.07M
-7.94%2.82M
21.83%3.72M
68.97%1.32M
68.97%1.32M
-31.89%2.99M
Current accrued expenses
----
----
-14.65%2.11M
-14.65%2.11M
----
----
----
50.76%2.47M
50.76%2.47M
----
Current deferred liabilities
----
----
-61.90%24K
-61.90%24K
----
----
----
-88.40%63K
-88.40%63K
----
Other current liabilities
736.21%16.4M
582.84%14.61M
-37.11%1.41M
-37.11%1.41M
-31.25%1.69M
-20.90%1.96M
-16.84%2.14M
-6.89%2.24M
-6.89%2.24M
31.82%2.46M
Current liabilities
172.13%22.61M
141.13%22.34M
-10.18%10.83M
-10.18%10.83M
-6.34%8.44M
-20.23%8.31M
-17.65%9.26M
12.46%12.06M
12.46%12.06M
-9.53%9.01M
Non current liabilities
Long term debt and capital lease obligation
838.70%6.36M
770.39%6.47M
650.59%6.35M
650.59%6.35M
523.42%5.94M
-35.71%677K
-40.03%743K
-39.18%846K
-39.18%846K
-35.81%952K
-Long term capital lease obligation
838.70%6.36M
770.39%6.47M
650.59%6.35M
650.59%6.35M
523.42%5.94M
-35.71%677K
-40.03%743K
-39.18%846K
-39.18%846K
-35.81%952K
Non current deferred liabilities
----
----
----
----
--0
--0
--0
----
----
-91.19%31K
Employee benefits
13.16%490K
8.31%482K
26.67%456K
26.67%456K
38.41%436K
35.74%433K
46.86%445K
25.00%360K
25.00%360K
12.10%315K
Derivative product liabilities
----
----
-53.25%7.3M
-53.25%7.3M
74.80%8.9M
--9.68M
--14.67M
--15.61M
--15.61M
--5.09M
Other non current liabilities
-3.52%9.97M
-3.41%9.89M
-2.93%9.93M
-2.93%9.93M
-11.04%10.25M
-10.07%10.34M
-11.26%10.24M
-13.33%10.23M
-13.33%10.23M
-3.22%11.53M
Total non current liabilities
-20.41%16.82M
-35.48%16.84M
-11.13%24.04M
-11.13%24.04M
42.47%25.53M
63.47%21.13M
98.16%26.1M
98.79%27.05M
98.79%27.05M
27.74%17.92M
Total liabilities
33.94%39.43M
10.78%39.18M
-10.84%34.86M
-10.84%34.86M
26.14%33.97M
26.12%29.44M
44.81%35.37M
60.74%39.1M
60.74%39.1M
12.26%26.93M
Shareholders'equity
Share capital
----
----
28.67%184K
28.67%184K
--33.05M
----
----
90.67%143K
90.67%143K
----
-common stock
----
----
28.67%184K
28.67%184K
--33.05M
----
----
90.67%143K
90.67%143K
----
Retained earnings
----
----
-4.00%-174.82M
-4.00%-174.82M
----
----
----
-13.20%-168.11M
-13.20%-168.11M
----
Paid-in capital
----
----
15.30%206.25M
15.30%206.25M
----
----
----
24.34%178.88M
24.34%178.88M
----
Gains losses not affecting retained earnings
----
----
-260.00%-18K
-260.00%-18K
----
----
----
73.68%-5K
73.68%-5K
----
Total stockholders'equity
-48.84%17.87M
-30.33%23.2M
189.49%31.6M
189.49%31.6M
1,895.77%33.05M
1,662.82%34.93M
1,612.08%33.3M
338.19%10.91M
338.19%10.91M
301.71%1.66M
Total equity
-48.84%17.87M
-30.33%23.2M
189.49%31.6M
189.49%31.6M
1,895.77%33.05M
1,662.82%34.93M
1,612.08%33.3M
338.19%10.91M
338.19%10.91M
301.71%1.66M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(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 -42.85%29.22M-37.82%35.57M22.56%41.54M22.56%41.54M158.77%45.52M399.34%51.12M239.77%57.2M206.85%33.9M206.85%33.9M26.87%17.59M
-Cash and cash equivalents ---------64.99%11.87M-64.99%11.87M--9.28M561.43%51.12M--51.02M206.85%33.9M206.85%33.9M----
-Short-term investments ----------29.68M--29.68M--36.24M------6.18M--0--0----
Receivables 28.03%4.89M50.58%5.32M-54.42%4.42M-54.42%4.42M-18.19%4.07M-13.46%3.82M10.34%3.53M327.66%9.7M327.66%9.7M40.05%4.98M
-Accounts receivable 28.03%4.89M110.99%5.32M-60.35%3.7M-60.35%3.7M-18.19%4.07M1.57%3.82M-21.25%2.52M424.56%9.33M424.56%9.33M40.05%4.98M
-Other receivables --------98.07%719K98.07%719K----------1.01M-25.61%363K-25.61%363K----
Inventory 3.12%3.21M30.56%3.31M44.98%2.85M44.98%2.85M94.47%3.66M56.35%3.11M32.08%2.54M63.58%1.96M63.58%1.96M50.16%1.88M
Prepaid assets --------151.57%722K151.57%722K-------------34.62%287K-34.62%287K----
Restricted cash ----------167K--167K----------0--0--0----
Total current assets -35.73%37.31M-30.15%44.2M8.41%49.7M8.41%49.7M117.81%53.25M245.37%58.05M188.17%63.27M206.58%45.84M206.58%45.84M30.94%24.45M
Non current assets
Net PPE 228.19%19.16M255.86%17.35M344.74%15.93M344.74%15.93M258.08%13.1M53.51%5.84M25.00%4.88M-11.05%3.58M-11.05%3.58M-12.49%3.66M
-Gross PPE 228.19%19.16M255.86%17.35M129.61%23.06M129.61%23.06M258.08%13.1M53.51%5.84M25.00%4.88M1.64%10.04M1.64%10.04M-12.49%3.66M
-Accumulated depreciation ---------10.41%-7.14M-10.41%-7.14M-------------10.37%-6.46M-10.37%-6.46M----
Goodwill and other intangible assets -33.33%132K-30.70%149K-28.57%165K-28.57%165K-26.61%182K-25.00%198K-23.49%215K-22.22%231K-22.22%231K-21.02%248K
-Other intangible assets ---------28.57%165K-28.57%165K-------------22.22%231K-22.22%231K----
Non current accounts receivable -14.08%238K-21.97%238K29.44%233K29.44%233K110.00%483K20.43%277K32.61%305K-61.62%180K-61.62%180K--230K
Other non current assets --453K--446K139.13%440K139.13%440K--------------184K--184K----
Total non current assets 216.54%19.98M237.00%18.18M301.44%16.76M301.44%16.76M232.78%13.77M46.92%6.31M22.31%5.4M-12.85%4.18M-12.85%4.18M-7.96%4.14M
Total assets -10.98%57.3M-9.16%62.38M32.88%66.46M32.88%66.46M134.45%67.02M204.97%64.37M160.42%68.67M153.32%50.02M153.32%50.02M23.39%28.59M
Liabilities
Current liabilities
Payables -2.13%6.21M8.52%7.73M0.07%7.29M0.07%7.29M3.02%6.75M-20.02%6.35M-17.90%7.13M27.42%7.28M27.42%7.28M-19.06%6.55M
-accounts payable -22.26%2.75M24.77%4.25M-2.26%5.53M-2.26%5.53M3.23%3.68M-27.60%3.53M-39.48%3.4M20.52%5.66M20.52%5.66M-3.91%3.57M
-Due to related parties current ---------72.96%83K-72.96%83K------------27.39%307K27.39%307K----
-Other payable 23.11%3.47M-6.34%3.49M27.09%1.68M27.09%1.68M2.78%3.07M-7.94%2.82M21.83%3.72M68.97%1.32M68.97%1.32M-31.89%2.99M
Current accrued expenses ---------14.65%2.11M-14.65%2.11M------------50.76%2.47M50.76%2.47M----
Current deferred liabilities ---------61.90%24K-61.90%24K-------------88.40%63K-88.40%63K----
Other current liabilities 736.21%16.4M582.84%14.61M-37.11%1.41M-37.11%1.41M-31.25%1.69M-20.90%1.96M-16.84%2.14M-6.89%2.24M-6.89%2.24M31.82%2.46M
Current liabilities 172.13%22.61M141.13%22.34M-10.18%10.83M-10.18%10.83M-6.34%8.44M-20.23%8.31M-17.65%9.26M12.46%12.06M12.46%12.06M-9.53%9.01M
Non current liabilities
Long term debt and capital lease obligation 838.70%6.36M770.39%6.47M650.59%6.35M650.59%6.35M523.42%5.94M-35.71%677K-40.03%743K-39.18%846K-39.18%846K-35.81%952K
-Long term capital lease obligation 838.70%6.36M770.39%6.47M650.59%6.35M650.59%6.35M523.42%5.94M-35.71%677K-40.03%743K-39.18%846K-39.18%846K-35.81%952K
Non current deferred liabilities ------------------0--0--0---------91.19%31K
Employee benefits 13.16%490K8.31%482K26.67%456K26.67%456K38.41%436K35.74%433K46.86%445K25.00%360K25.00%360K12.10%315K
Derivative product liabilities ---------53.25%7.3M-53.25%7.3M74.80%8.9M--9.68M--14.67M--15.61M--15.61M--5.09M
Other non current liabilities -3.52%9.97M-3.41%9.89M-2.93%9.93M-2.93%9.93M-11.04%10.25M-10.07%10.34M-11.26%10.24M-13.33%10.23M-13.33%10.23M-3.22%11.53M
Total non current liabilities -20.41%16.82M-35.48%16.84M-11.13%24.04M-11.13%24.04M42.47%25.53M63.47%21.13M98.16%26.1M98.79%27.05M98.79%27.05M27.74%17.92M
Total liabilities 33.94%39.43M10.78%39.18M-10.84%34.86M-10.84%34.86M26.14%33.97M26.12%29.44M44.81%35.37M60.74%39.1M60.74%39.1M12.26%26.93M
Shareholders'equity
Share capital --------28.67%184K28.67%184K--33.05M--------90.67%143K90.67%143K----
-common stock --------28.67%184K28.67%184K--33.05M--------90.67%143K90.67%143K----
Retained earnings ---------4.00%-174.82M-4.00%-174.82M-------------13.20%-168.11M-13.20%-168.11M----
Paid-in capital --------15.30%206.25M15.30%206.25M------------24.34%178.88M24.34%178.88M----
Gains losses not affecting retained earnings ---------260.00%-18K-260.00%-18K------------73.68%-5K73.68%-5K----
Total stockholders'equity -48.84%17.87M-30.33%23.2M189.49%31.6M189.49%31.6M1,895.77%33.05M1,662.82%34.93M1,612.08%33.3M338.19%10.91M338.19%10.91M301.71%1.66M
Total equity -48.84%17.87M-30.33%23.2M189.49%31.6M189.49%31.6M1,895.77%33.05M1,662.82%34.93M1,612.08%33.3M338.19%10.91M338.19%10.91M301.71%1.66M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
US
Overall
Symbol
Latest Price
% Chg

No Data