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SHPH Shuttle Pharmaceuticals

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  • 0.609
  • -0.005-0.75%
Close Feb 28 16:00 ET
  • 0.609
  • 0.0000.00%
Post 20:01 ET
2.48MMarket Cap-0.18P/E (TTM)

Shuttle Pharmaceuticals Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-64.86%1.92M
-64.86%1.92M
-97.70%156.66K
-72.00%2.34M
-58.78%4.19M
-35.09%5.46M
-35.09%5.46M
-25.37%6.81M
16,457.22%8.35M
2,403.60%10.16M
-Cash and cash equivalents
-25.47%1.92M
-25.47%1.92M
-95.97%156.66K
-87.23%695.59K
-80.49%1.4M
-69.39%2.58M
-69.39%2.58M
-57.39%3.89M
10,699.19%5.45M
1,666.45%7.17M
-Short-term investments
--0
--0
--0
-43.43%1.64M
-6.77%2.79M
--2.89M
--2.89M
--2.92M
--2.9M
--2.99M
Receivables
--0
--0
-99.97%4
3.97%7.23K
70.35%11.96K
--14.9K
--14.9K
108.85%12.44K
--6.95K
--7.02K
-Accrued interest receivable
--0
--0
-99.97%4
3.97%7.23K
70.35%11.96K
--14.9K
--14.9K
--12.44K
--6.95K
--7.02K
Prepaid assets
154.01%290.77K
154.01%290.77K
-39.43%103.04K
76.72%139.52K
-36.40%129.64K
-28.96%114.47K
-28.96%114.47K
4.27%170.1K
484.16%78.95K
888.87%203.84K
Current deferred assets
----
----
--101.65K
----
----
----
----
----
----
----
Other current assets
----
----
----
----
--81.53K
----
----
--6.48K
--6.48K
----
Total current assets
-60.47%2.21M
-60.47%2.21M
-94.83%361.35K
-70.56%2.49M
-57.47%4.41M
-34.80%5.59M
-34.80%5.59M
-24.69%7M
13,102.62%8.44M
2,332.03%10.37M
Non current assets
Net PPE
-17.66%295.37K
-17.66%295.37K
-17.88%312.22K
-16.79%327.67K
573.28%342.9K
422.06%358.73K
422.06%358.73K
341.85%380.21K
282.11%393.76K
-57.38%50.93K
-Gross PPE
-17.66%295.37K
-17.66%295.37K
-17.88%312.22K
-16.79%327.67K
104.97%342.9K
95.40%358.73K
95.40%358.73K
-3.17%380.21K
0.28%393.76K
-57.40%167.29K
-Accumulated depreciation
----
----
----
----
----
----
----
----
----
57.40%-116.36K
Other non current assets
----
----
----
----
----
----
----
----
----
111.20%13.69K
Total non current assets
-17.66%295.37K
-17.66%295.37K
-17.88%312.22K
-16.79%327.67K
430.68%342.9K
377.07%358.73K
377.07%358.73K
310.90%380.21K
259.51%393.76K
-48.71%64.62K
Total assets
-57.89%2.51M
-57.89%2.51M
-90.87%673.57K
-68.17%2.81M
-54.45%4.75M
-31.22%5.95M
-31.22%5.95M
-21.38%7.38M
4,994.02%8.84M
1,789.14%10.44M
Liabilities
Current liabilities
Payables
110.59%596.6K
110.59%596.6K
649.14%1.35M
311.19%364.89K
-22.33%347.56K
119.20%283.31K
119.20%283.31K
67.98%180K
-90.12%88.74K
-57.30%447.47K
-accounts payable
110.59%596.6K
110.59%596.6K
649.14%1.35M
311.19%364.89K
-22.33%347.56K
119.20%283.31K
119.20%283.31K
67.98%180K
-82.79%88.74K
-35.26%447.47K
Current accrued expenses
-98.38%1.79K
-98.38%1.79K
-97.99%2.14K
73.35%130.9K
3.08%143.68K
12.55%110.45K
12.55%110.45K
2.34%106.58K
-31.45%75.51K
88.27%139.38K
Current debt and capital lease obligation
44.24%935.38K
44.24%935.38K
-41.08%308.65K
169.66%888.33K
24.26%995.95K
-13.34%648.48K
-13.34%648.48K
-31.00%523.86K
-75.28%329.43K
-32.15%801.5K
-Current debt
46.72%874.48K
46.72%874.48K
-45.98%250K
207.84%826.24K
24.38%941.4K
-13.05%596K
-13.05%596K
-32.48%462.83K
-78.72%268.4K
-31.94%756.87K
-Current capital lease obligation
16.06%60.91K
16.06%60.91K
-3.90%58.65K
1.73%62.09K
22.22%54.55K
-16.47%52.48K
-16.47%52.48K
-17.19%61.03K
-14.66%61.03K
-35.50%44.63K
Other current liabilities
----
----
----
--504
--2.04K
----
----
----
----
----
Current liabilities
47.16%1.53M
47.16%1.53M
104.73%1.66M
180.47%1.38M
7.26%1.49M
6.82%1.04M
6.82%1.04M
-16.49%810.44K
-79.88%493.68K
-41.12%1.39M
Non current liabilities
Long term debt and capital lease obligation
-45.79%238.09K
-45.79%238.09K
-42.28%255.61K
-40.93%267.03K
-61.61%288.6K
--439.22K
--439.22K
6,537.79%442.81K
1,665.81%452.08K
1,598.66%751.69K
-Long term debt
----
----
----
----
----
--135.09K
--135.09K
--134.38K
--122.31K
--751.69K
-Long term capital lease obligation
-21.71%238.09K
-21.71%238.09K
-17.13%255.61K
-19.03%267.03K
--288.6K
--304.13K
--304.13K
4,523.37%308.43K
1,188.08%329.77K
----
Derivative product liabilities
-93.90%25.28K
-93.90%25.28K
-85.55%74.11K
-62.34%359.92K
-84.56%214.62K
--414.51K
--414.51K
--512.83K
--955.73K
--1.39M
Total non current liabilities
-69.15%263.37K
-69.15%263.37K
-65.50%329.71K
-55.47%626.94K
-76.50%503.22K
--853.73K
--853.73K
14,225.17%955.63K
5,398.82%1.41M
4,739.76%2.14M
Total liabilities
-5.21%1.8M
-5.21%1.8M
12.62%1.99M
5.79%2.01M
-43.56%1.99M
94.32%1.9M
94.32%1.9M
80.74%1.77M
-23.31%1.9M
46.96%3.53M
Shareholders'equity
Share capital
105.00%41
105.00%41
-81.88%29
-86.45%21
22.63%168
17.65%20
17.65%20
17.65%160
66.67%155
47.31%137
-common stock
105.00%41
105.00%41
-81.88%29
-86.45%21
22.63%168
17.65%20
17.65%20
17.65%160
66.67%155
47.31%137
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-35.96%-34.58M
-35.96%-34.58M
-138.17%-32.98M
-142.20%-29.2M
-74.45%-17.22M
-34.99%-25.43M
-34.99%-25.43M
-70.03%-13.85M
-69.16%-12.05M
-51.77%-9.87M
Paid-in capital
19.66%35.29M
19.66%35.29M
62.74%31.66M
57.96%30M
19.10%19.98M
11.20%29.49M
11.20%29.49M
17.57%19.46M
293.99%18.99M
260.52%16.78M
Total stockholders'equity
-82.51%709.15K
-82.51%709.15K
-123.45%-1.32M
-88.44%801.43K
-60.02%2.76M
-47.18%4.06M
-47.18%4.06M
-33.26%5.61M
400.75%6.94M
473.41%6.91M
Total equity
-82.51%709.15K
-82.51%709.15K
-123.45%-1.32M
-88.44%801.43K
-60.02%2.76M
-47.18%4.06M
-47.18%4.06M
-33.26%5.61M
400.75%6.94M
473.41%6.91M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion with Explanatory Notes
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--
--
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(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments -64.86%1.92M-64.86%1.92M-97.70%156.66K-72.00%2.34M-58.78%4.19M-35.09%5.46M-35.09%5.46M-25.37%6.81M16,457.22%8.35M2,403.60%10.16M
-Cash and cash equivalents -25.47%1.92M-25.47%1.92M-95.97%156.66K-87.23%695.59K-80.49%1.4M-69.39%2.58M-69.39%2.58M-57.39%3.89M10,699.19%5.45M1,666.45%7.17M
-Short-term investments --0--0--0-43.43%1.64M-6.77%2.79M--2.89M--2.89M--2.92M--2.9M--2.99M
Receivables --0--0-99.97%43.97%7.23K70.35%11.96K--14.9K--14.9K108.85%12.44K--6.95K--7.02K
-Accrued interest receivable --0--0-99.97%43.97%7.23K70.35%11.96K--14.9K--14.9K--12.44K--6.95K--7.02K
Prepaid assets 154.01%290.77K154.01%290.77K-39.43%103.04K76.72%139.52K-36.40%129.64K-28.96%114.47K-28.96%114.47K4.27%170.1K484.16%78.95K888.87%203.84K
Current deferred assets ----------101.65K----------------------------
Other current assets ------------------81.53K----------6.48K--6.48K----
Total current assets -60.47%2.21M-60.47%2.21M-94.83%361.35K-70.56%2.49M-57.47%4.41M-34.80%5.59M-34.80%5.59M-24.69%7M13,102.62%8.44M2,332.03%10.37M
Non current assets
Net PPE -17.66%295.37K-17.66%295.37K-17.88%312.22K-16.79%327.67K573.28%342.9K422.06%358.73K422.06%358.73K341.85%380.21K282.11%393.76K-57.38%50.93K
-Gross PPE -17.66%295.37K-17.66%295.37K-17.88%312.22K-16.79%327.67K104.97%342.9K95.40%358.73K95.40%358.73K-3.17%380.21K0.28%393.76K-57.40%167.29K
-Accumulated depreciation ------------------------------------57.40%-116.36K
Other non current assets ------------------------------------111.20%13.69K
Total non current assets -17.66%295.37K-17.66%295.37K-17.88%312.22K-16.79%327.67K430.68%342.9K377.07%358.73K377.07%358.73K310.90%380.21K259.51%393.76K-48.71%64.62K
Total assets -57.89%2.51M-57.89%2.51M-90.87%673.57K-68.17%2.81M-54.45%4.75M-31.22%5.95M-31.22%5.95M-21.38%7.38M4,994.02%8.84M1,789.14%10.44M
Liabilities
Current liabilities
Payables 110.59%596.6K110.59%596.6K649.14%1.35M311.19%364.89K-22.33%347.56K119.20%283.31K119.20%283.31K67.98%180K-90.12%88.74K-57.30%447.47K
-accounts payable 110.59%596.6K110.59%596.6K649.14%1.35M311.19%364.89K-22.33%347.56K119.20%283.31K119.20%283.31K67.98%180K-82.79%88.74K-35.26%447.47K
Current accrued expenses -98.38%1.79K-98.38%1.79K-97.99%2.14K73.35%130.9K3.08%143.68K12.55%110.45K12.55%110.45K2.34%106.58K-31.45%75.51K88.27%139.38K
Current debt and capital lease obligation 44.24%935.38K44.24%935.38K-41.08%308.65K169.66%888.33K24.26%995.95K-13.34%648.48K-13.34%648.48K-31.00%523.86K-75.28%329.43K-32.15%801.5K
-Current debt 46.72%874.48K46.72%874.48K-45.98%250K207.84%826.24K24.38%941.4K-13.05%596K-13.05%596K-32.48%462.83K-78.72%268.4K-31.94%756.87K
-Current capital lease obligation 16.06%60.91K16.06%60.91K-3.90%58.65K1.73%62.09K22.22%54.55K-16.47%52.48K-16.47%52.48K-17.19%61.03K-14.66%61.03K-35.50%44.63K
Other current liabilities --------------504--2.04K--------------------
Current liabilities 47.16%1.53M47.16%1.53M104.73%1.66M180.47%1.38M7.26%1.49M6.82%1.04M6.82%1.04M-16.49%810.44K-79.88%493.68K-41.12%1.39M
Non current liabilities
Long term debt and capital lease obligation -45.79%238.09K-45.79%238.09K-42.28%255.61K-40.93%267.03K-61.61%288.6K--439.22K--439.22K6,537.79%442.81K1,665.81%452.08K1,598.66%751.69K
-Long term debt ----------------------135.09K--135.09K--134.38K--122.31K--751.69K
-Long term capital lease obligation -21.71%238.09K-21.71%238.09K-17.13%255.61K-19.03%267.03K--288.6K--304.13K--304.13K4,523.37%308.43K1,188.08%329.77K----
Derivative product liabilities -93.90%25.28K-93.90%25.28K-85.55%74.11K-62.34%359.92K-84.56%214.62K--414.51K--414.51K--512.83K--955.73K--1.39M
Total non current liabilities -69.15%263.37K-69.15%263.37K-65.50%329.71K-55.47%626.94K-76.50%503.22K--853.73K--853.73K14,225.17%955.63K5,398.82%1.41M4,739.76%2.14M
Total liabilities -5.21%1.8M-5.21%1.8M12.62%1.99M5.79%2.01M-43.56%1.99M94.32%1.9M94.32%1.9M80.74%1.77M-23.31%1.9M46.96%3.53M
Shareholders'equity
Share capital 105.00%41105.00%41-81.88%29-86.45%2122.63%16817.65%2017.65%2017.65%16066.67%15547.31%137
-common stock 105.00%41105.00%41-81.88%29-86.45%2122.63%16817.65%2017.65%2017.65%16066.67%15547.31%137
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -35.96%-34.58M-35.96%-34.58M-138.17%-32.98M-142.20%-29.2M-74.45%-17.22M-34.99%-25.43M-34.99%-25.43M-70.03%-13.85M-69.16%-12.05M-51.77%-9.87M
Paid-in capital 19.66%35.29M19.66%35.29M62.74%31.66M57.96%30M19.10%19.98M11.20%29.49M11.20%29.49M17.57%19.46M293.99%18.99M260.52%16.78M
Total stockholders'equity -82.51%709.15K-82.51%709.15K-123.45%-1.32M-88.44%801.43K-60.02%2.76M-47.18%4.06M-47.18%4.06M-33.26%5.61M400.75%6.94M473.41%6.91M
Total equity -82.51%709.15K-82.51%709.15K-123.45%-1.32M-88.44%801.43K-60.02%2.76M-47.18%4.06M-47.18%4.06M-33.26%5.61M400.75%6.94M473.41%6.91M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion with Explanatory Notes------------------
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