US Stock MarketDetailed Quotes

REVB Revelation Biosciences

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  • 0.3600
  • -0.0526-12.75%
Close Dec 13 16:00 ET
  • 0.3700
  • +0.0100+2.78%
Post 18:28 ET
1.55MMarket Cap-0.02P/E (TTM)

Revelation Biosciences 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
-53.26%6.54M
-23.16%12.07M
-17.80%14.55M
128.28%11.99M
128.28%11.99M
125.88%13.99M
352.02%15.71M
146.34%17.7M
312.09%5.25M
312.09%5.25M
-Cash and cash equivalents
-53.26%6.54M
-23.16%12.07M
-17.80%14.55M
128.28%11.99M
128.28%11.99M
125.88%13.99M
352.02%15.71M
146.34%17.7M
312.09%5.25M
312.09%5.25M
Prepaid assets
-39.66%43K
-51.72%68.79K
-98.18%3.9K
--55.22K
--55.22K
--71.25K
--142.5K
--213.75K
--0
--0
Current deferred assets
--0
--0
--0
-18.40%71.13K
-18.40%71.13K
--0
--0
--0
--87.17K
--87.17K
Other current assets
-8.03%74.85K
-47.03%56.95K
-42.70%67.98K
-59.69%29.48K
-59.69%29.48K
-73.71%81.39K
-81.32%107.51K
-82.68%118.64K
-50.83%73.13K
-50.83%73.13K
Total current assets
-52.93%6.66M
-23.57%12.2M
-18.92%14.62M
124.40%12.15M
124.40%12.15M
117.48%14.15M
293.98%15.96M
129.13%18.04M
183.11%5.41M
183.11%5.41M
Non current assets
Net PPE
13.87%81.24K
-8.81%70.77K
-7.01%77.99K
-27.79%65.08K
-27.79%65.08K
-25.99%71.35K
-24.40%77.61K
-23.00%83.87K
-30.74%90.13K
-30.74%90.13K
-Gross PPE
27.93%168.82K
14.53%151.14K
14.53%151.14K
0.00%131.96K
0.00%131.96K
0.00%131.96K
0.00%131.96K
0.00%131.96K
-10.18%131.96K
-10.18%131.96K
-Accumulated depreciation
-44.48%-87.58K
-47.84%-80.36K
-52.08%-73.14K
-59.88%-66.88K
-59.88%-66.88K
-70.43%-60.62K
-85.47%-54.36K
-108.70%-48.09K
-149.26%-41.83K
-149.26%-41.83K
Total non current assets
13.87%81.24K
-8.81%70.77K
-7.01%77.99K
-27.79%65.08K
-27.79%65.08K
-25.99%71.35K
-24.40%77.61K
-23.00%83.87K
-30.74%90.13K
-30.74%90.13K
Total assets
-52.60%6.74M
-23.50%12.27M
-18.86%14.7M
121.91%12.21M
121.91%12.21M
115.38%14.22M
286.11%16.04M
127.06%18.12M
169.48%5.5M
169.48%5.5M
Liabilities
Current liabilities
Payables
148.75%3.13M
40.21%1.28M
138.50%1.68M
145.38%1.36M
145.38%1.36M
169.74%1.26M
-0.28%913.87K
-51.73%705.09K
-7.05%554.21K
-7.05%554.21K
-accounts payable
148.75%3.13M
40.21%1.28M
138.50%1.68M
145.38%1.36M
145.38%1.36M
169.74%1.26M
-0.28%913.87K
-51.73%705.09K
-7.05%554.21K
-7.05%554.21K
Current accrued expenses
-8.58%934.37K
1,601.48%8.45M
-36.31%620.28K
16.94%1.15M
16.94%1.15M
2.57%1.02M
-77.09%496.87K
-73.72%973.93K
-35.53%985.5K
-35.53%985.5K
Current deferred liabilities
--0
-52.50%1.38M
0.00%2.91M
0.00%2.91M
0.00%2.91M
0.00%2.91M
0.00%2.91M
0.00%2.91M
--2.91M
--2.91M
Other current liabilities
-97.71%4.8K
-96.41%10.84K
-99.57%15.26K
--141.28K
--141.28K
--209.48K
--302.04K
--3.51M
----
----
Current liabilities
-24.69%4.07M
140.68%11.13M
-35.46%5.23M
25.03%5.56M
25.03%5.56M
23.46%5.4M
-22.89%4.62M
0.28%8.1M
107.83%4.45M
107.83%4.45M
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
-24.69%4.07M
140.68%11.13M
-35.46%5.23M
25.03%5.56M
25.03%5.56M
23.46%5.4M
-22.89%4.62M
0.28%8.1M
107.83%4.45M
107.83%4.45M
Shareholders'equity
Share capital
-31.84%4.29K
-73.91%1.64K
-65.48%1.63K
244.16%265
244.16%265
-73.25%6.3K
-58.25%6.3K
-68.64%4.73K
-72.70%77
-72.70%77
-common stock
-31.84%4.29K
-73.91%1.64K
-65.48%1.63K
244.16%265
244.16%265
-73.25%6.3K
-58.25%6.3K
-68.64%4.73K
-72.70%77
-72.70%77
-Preferred stock
----
----
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-66.69%-38.78M
-77.06%-36.54M
-46.70%-28.15M
-0.47%-25.47M
-0.47%-25.47M
3.63%-23.26M
10.16%-20.64M
9.21%-19.19M
-74.60%-25.35M
-74.60%-25.35M
Paid-in capital
29.22%41.45M
17.58%37.68M
28.83%37.62M
21.65%32.11M
21.65%32.11M
21.76%32.08M
51.79%32.04M
38.92%29.2M
83.10%26.4M
83.10%26.4M
Total stockholders'equity
-69.68%2.67M
-90.01%1.14M
-5.44%9.47M
531.64%6.65M
531.64%6.65M
295.86%8.82M
719.36%11.41M
10,269.06%10.02M
1,158.06%1.05M
1,158.06%1.05M
Total equity
-69.68%2.67M
-90.01%1.14M
-5.44%9.47M
531.64%6.65M
531.64%6.65M
295.86%8.82M
719.36%11.41M
10,269.06%10.02M
1,158.06%1.05M
1,158.06%1.05M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(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 -53.26%6.54M-23.16%12.07M-17.80%14.55M128.28%11.99M128.28%11.99M125.88%13.99M352.02%15.71M146.34%17.7M312.09%5.25M312.09%5.25M
-Cash and cash equivalents -53.26%6.54M-23.16%12.07M-17.80%14.55M128.28%11.99M128.28%11.99M125.88%13.99M352.02%15.71M146.34%17.7M312.09%5.25M312.09%5.25M
Prepaid assets -39.66%43K-51.72%68.79K-98.18%3.9K--55.22K--55.22K--71.25K--142.5K--213.75K--0--0
Current deferred assets --0--0--0-18.40%71.13K-18.40%71.13K--0--0--0--87.17K--87.17K
Other current assets -8.03%74.85K-47.03%56.95K-42.70%67.98K-59.69%29.48K-59.69%29.48K-73.71%81.39K-81.32%107.51K-82.68%118.64K-50.83%73.13K-50.83%73.13K
Total current assets -52.93%6.66M-23.57%12.2M-18.92%14.62M124.40%12.15M124.40%12.15M117.48%14.15M293.98%15.96M129.13%18.04M183.11%5.41M183.11%5.41M
Non current assets
Net PPE 13.87%81.24K-8.81%70.77K-7.01%77.99K-27.79%65.08K-27.79%65.08K-25.99%71.35K-24.40%77.61K-23.00%83.87K-30.74%90.13K-30.74%90.13K
-Gross PPE 27.93%168.82K14.53%151.14K14.53%151.14K0.00%131.96K0.00%131.96K0.00%131.96K0.00%131.96K0.00%131.96K-10.18%131.96K-10.18%131.96K
-Accumulated depreciation -44.48%-87.58K-47.84%-80.36K-52.08%-73.14K-59.88%-66.88K-59.88%-66.88K-70.43%-60.62K-85.47%-54.36K-108.70%-48.09K-149.26%-41.83K-149.26%-41.83K
Total non current assets 13.87%81.24K-8.81%70.77K-7.01%77.99K-27.79%65.08K-27.79%65.08K-25.99%71.35K-24.40%77.61K-23.00%83.87K-30.74%90.13K-30.74%90.13K
Total assets -52.60%6.74M-23.50%12.27M-18.86%14.7M121.91%12.21M121.91%12.21M115.38%14.22M286.11%16.04M127.06%18.12M169.48%5.5M169.48%5.5M
Liabilities
Current liabilities
Payables 148.75%3.13M40.21%1.28M138.50%1.68M145.38%1.36M145.38%1.36M169.74%1.26M-0.28%913.87K-51.73%705.09K-7.05%554.21K-7.05%554.21K
-accounts payable 148.75%3.13M40.21%1.28M138.50%1.68M145.38%1.36M145.38%1.36M169.74%1.26M-0.28%913.87K-51.73%705.09K-7.05%554.21K-7.05%554.21K
Current accrued expenses -8.58%934.37K1,601.48%8.45M-36.31%620.28K16.94%1.15M16.94%1.15M2.57%1.02M-77.09%496.87K-73.72%973.93K-35.53%985.5K-35.53%985.5K
Current deferred liabilities --0-52.50%1.38M0.00%2.91M0.00%2.91M0.00%2.91M0.00%2.91M0.00%2.91M0.00%2.91M--2.91M--2.91M
Other current liabilities -97.71%4.8K-96.41%10.84K-99.57%15.26K--141.28K--141.28K--209.48K--302.04K--3.51M--------
Current liabilities -24.69%4.07M140.68%11.13M-35.46%5.23M25.03%5.56M25.03%5.56M23.46%5.4M-22.89%4.62M0.28%8.1M107.83%4.45M107.83%4.45M
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities -24.69%4.07M140.68%11.13M-35.46%5.23M25.03%5.56M25.03%5.56M23.46%5.4M-22.89%4.62M0.28%8.1M107.83%4.45M107.83%4.45M
Shareholders'equity
Share capital -31.84%4.29K-73.91%1.64K-65.48%1.63K244.16%265244.16%265-73.25%6.3K-58.25%6.3K-68.64%4.73K-72.70%77-72.70%77
-common stock -31.84%4.29K-73.91%1.64K-65.48%1.63K244.16%265244.16%265-73.25%6.3K-58.25%6.3K-68.64%4.73K-72.70%77-72.70%77
-Preferred stock ----------0--0--0--0--0--0--0--0
Retained earnings -66.69%-38.78M-77.06%-36.54M-46.70%-28.15M-0.47%-25.47M-0.47%-25.47M3.63%-23.26M10.16%-20.64M9.21%-19.19M-74.60%-25.35M-74.60%-25.35M
Paid-in capital 29.22%41.45M17.58%37.68M28.83%37.62M21.65%32.11M21.65%32.11M21.76%32.08M51.79%32.04M38.92%29.2M83.10%26.4M83.10%26.4M
Total stockholders'equity -69.68%2.67M-90.01%1.14M-5.44%9.47M531.64%6.65M531.64%6.65M295.86%8.82M719.36%11.41M10,269.06%10.02M1,158.06%1.05M1,158.06%1.05M
Total equity -69.68%2.67M-90.01%1.14M-5.44%9.47M531.64%6.65M531.64%6.65M295.86%8.82M719.36%11.41M10,269.06%10.02M1,158.06%1.05M1,158.06%1.05M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--
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