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SPHDF SANTHERA PHARMACEUTICALS HOLDING AG

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  • 9.420
  • 0.0000.00%
15min DelayTrading Dec 3 16:00 ET
118.65MMarket Cap1.44P/E (TTM)

SANTHERA PHARMACEUTICALS HOLDING AG Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
885.13%16.49M
2,144.64%30.37M
2,144.64%30.37M
-86.82%1.67M
-93.62%1.35M
-93.62%1.35M
58.89%12.7M
70.88%21.21M
70.88%21.21M
-58.71%7.99M
-Cash and cash equivalents
885.13%16.49M
2,144.64%30.37M
2,144.64%30.37M
-86.82%1.67M
-93.62%1.35M
-93.62%1.35M
58.89%12.7M
70.88%21.21M
70.88%21.21M
-58.71%7.99M
-Accounts receivable
429.33%10.43M
0.46%440K
0.46%440K
108.57%1.97M
-54.47%438K
-54.47%438K
-66.26%945K
-58.59%962K
-58.59%962K
-65.51%2.8M
-Taxes receivable
----
162.63%1.72M
162.63%1.72M
----
-32.96%653K
-32.96%653K
----
-54.99%974K
-54.99%974K
----
Inventory
--6.02M
1,576.85%1.81M
1,576.85%1.81M
--0
-74.77%108K
-74.77%108K
-51.26%213K
-11.02%428K
-11.02%428K
-93.67%437K
Prepaid assets
54.12%692K
-37.43%321K
-37.43%321K
-36.58%449K
-52.01%513K
-52.01%513K
68.17%708K
210.76%1.07M
210.76%1.07M
-80.63%421K
Total current assets
213.10%33.64M
1,030.73%34.66M
1,030.73%34.66M
-26.22%10.74M
-87.56%3.07M
-87.56%3.07M
25.00%14.56M
39.03%24.64M
39.03%24.64M
-68.13%11.65M
Non current assets
Net PPE
259.46%2.81M
-42.26%582K
-42.26%582K
-34.94%782K
-23.87%1.01M
-23.87%1.01M
-25.06%1.2M
-30.39%1.32M
-30.39%1.32M
-68.45%1.6M
-Gross PPE
----
-0.53%6.79M
-0.53%6.79M
----
-10.31%6.83M
-10.31%6.83M
----
-2.99%7.61M
-2.99%7.61M
----
-Accumulated depreciation
----
-6.70%-6.21M
-6.70%-6.21M
----
7.46%-5.82M
7.46%-5.82M
----
-5.77%-6.29M
-5.77%-6.29M
----
Goodwill and other intangible assets
39.86%71.45M
24.93%73.97M
24.93%73.97M
-18.98%51.09M
-8.34%59.21M
-8.34%59.21M
-4.64%63.06M
-4.55%64.6M
-4.55%64.6M
16.17%66.12M
-Other intangible assets
----
24.93%73.97M
24.93%73.97M
----
-8.34%59.21M
-8.34%59.21M
----
-4.55%64.6M
-4.55%64.6M
----
Defined pension benefit
----
----
----
----
----
----
--475K
----
----
----
Total non current assets
42.57%74.61M
23.59%74.97M
23.59%74.97M
-19.76%52.33M
-8.75%60.66M
-8.75%60.66M
-4.88%65.22M
-6.32%66.48M
-6.32%66.48M
7.95%68.57M
Total assets
71.61%108.25M
72.03%109.63M
72.03%109.63M
-20.94%63.08M
-30.06%63.73M
-30.06%63.73M
-0.54%79.78M
2.74%91.12M
2.74%91.12M
-19.84%80.22M
Liabilities
Current liabilities
Payables
66.41%15.18M
-38.67%6.67M
-38.67%6.67M
71.56%9.12M
124.35%10.88M
124.35%10.88M
71.41%5.32M
-16.00%4.85M
-16.00%4.85M
-71.70%3.1M
-accounts payable
70.85%14.92M
-8.70%3.56M
-8.70%3.56M
79.33%8.73M
61.48%3.9M
61.48%3.9M
58.83%4.87M
-36.58%2.41M
-36.58%2.41M
-71.13%3.07M
-Total tax payable
-32.40%265K
-67.09%182K
-67.09%182K
-12.69%392K
107.89%553K
107.89%553K
1,113.51%449K
343.33%266K
343.33%266K
-89.37%37K
-Other payable
----
-54.37%2.94M
-54.37%2.94M
----
196.13%6.44M
196.13%6.44M
----
13.65%2.17M
13.65%2.17M
----
Current provisions
-93.72%35K
1,181.82%141K
1,181.82%141K
286.81%557K
-94.27%11K
-94.27%11K
-51.02%144K
-90.56%192K
-90.56%192K
--294K
Current debt and capital lease obligation
8.86%23.94M
-5.43%21.51M
-5.43%21.51M
48.27%21.99M
42.39%22.75M
42.39%22.75M
-44.99%14.83M
40.59%15.98M
40.59%15.98M
1,160.85%26.96M
-Current debt
10.75%23.67M
-5.35%20.94M
-5.35%20.94M
50.93%21.37M
43.98%22.13M
43.98%22.13M
-45.98%14.16M
45.05%15.37M
45.05%15.37M
2,282.64%26.21M
-Current capital lease obligation
-56.29%271K
-8.35%571K
-8.35%571K
-7.74%620K
2.30%623K
2.30%623K
-10.16%672K
-20.81%609K
-20.81%609K
-27.94%748K
Current liabilities
-31.44%53.05M
-10.32%44.32M
-10.32%44.32M
100.59%77.38M
50.73%49.41M
50.73%49.41M
-13.61%38.58M
12.77%32.78M
12.77%32.78M
49.00%44.65M
Non current liabilities
Long term provisions
----
----
----
----
48.51%24.96M
48.51%24.96M
--24.95M
--16.81M
--16.81M
----
Long term debt and capital lease obligation
-87.52%2.44M
-99.84%35K
-99.84%35K
-24.38%19.52M
-19.67%21.69M
-19.67%21.69M
57.30%25.81M
-54.85%27M
-54.85%27M
-72.42%16.41M
-Long term debt
----
--0
--0
-22.85%19.21M
-18.28%21.08M
-18.28%21.08M
68.46%24.9M
-55.43%25.8M
-55.43%25.8M
-74.07%14.78M
-Long term capital lease obligation
685.81%2.44M
-94.23%35K
-94.23%35K
-66.05%310K
-49.54%607K
-49.54%607K
-43.95%913K
-37.57%1.2M
-37.57%1.2M
-35.02%1.63M
Derivative product liabilities
-88.32%845K
-84.45%1.48M
-84.45%1.48M
68.54%7.24M
13.09%9.51M
13.09%9.51M
-13.65%4.29M
--8.41M
--8.41M
1,688.85%4.97M
Other non current liabilities
----
----
----
----
--1K
--1K
----
----
----
----
Total non current liabilities
-74.91%7.14M
-90.74%5.37M
-90.74%5.37M
-48.31%28.46M
1.74%58M
1.74%58M
102.32%55.05M
-13.59%57.01M
-13.59%57.01M
-61.07%27.21M
Total liabilities
-43.13%60.19M
-53.74%49.69M
-53.74%49.69M
13.04%105.84M
19.63%107.41M
19.63%107.41M
30.28%93.63M
-5.53%89.79M
-5.53%89.79M
-28.04%71.86M
Shareholders'equity
Share capital
0.08%1.26M
67.60%1.26M
67.60%1.26M
-98.29%1.26M
-98.62%753K
-98.62%753K
135.52%73.73M
181.05%54.61M
181.05%54.61M
137.42%31.3M
-common stock
0.08%1.26M
67.60%1.26M
67.60%1.26M
-98.29%1.26M
-98.62%753K
-98.62%753K
135.52%73.73M
181.05%54.61M
181.05%54.61M
137.42%31.3M
Retained earnings
9.66%-587.98M
8.73%-572.72M
8.73%-572.72M
-11.04%-650.84M
-12.77%-627.5M
-12.77%-627.5M
-12.41%-586.15M
-11.09%-556.43M
-11.09%-556.43M
-12.12%-521.42M
Paid-in capital
4.82%633.88M
8.50%630.52M
8.50%630.52M
17.65%604.73M
14.05%581.12M
14.05%581.12M
2.30%514.02M
6.15%509.51M
6.15%509.51M
9.78%502.47M
Less: Treasury stock
-73.02%92K
39.36%131K
39.36%131K
-98.25%341K
-98.13%94K
-98.13%94K
939.25%19.49M
217.72%5.02M
217.72%5.02M
15.38%1.88M
Total stockholders'equity
212.38%48.06M
237.21%59.94M
237.21%59.94M
-208.86%-42.76M
-3,389.61%-43.69M
-3,389.61%-43.69M
-265.75%-13.85M
120.90%1.33M
120.90%1.33M
3,877.62%8.35M
Total equity
212.38%48.06M
237.21%59.94M
237.21%59.94M
-208.86%-42.76M
-3,389.61%-43.69M
-3,389.61%-43.69M
-265.75%-13.85M
120.90%1.33M
120.90%1.33M
3,877.62%8.35M
Currency Unit
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 885.13%16.49M2,144.64%30.37M2,144.64%30.37M-86.82%1.67M-93.62%1.35M-93.62%1.35M58.89%12.7M70.88%21.21M70.88%21.21M-58.71%7.99M
-Cash and cash equivalents 885.13%16.49M2,144.64%30.37M2,144.64%30.37M-86.82%1.67M-93.62%1.35M-93.62%1.35M58.89%12.7M70.88%21.21M70.88%21.21M-58.71%7.99M
-Accounts receivable 429.33%10.43M0.46%440K0.46%440K108.57%1.97M-54.47%438K-54.47%438K-66.26%945K-58.59%962K-58.59%962K-65.51%2.8M
-Taxes receivable ----162.63%1.72M162.63%1.72M-----32.96%653K-32.96%653K-----54.99%974K-54.99%974K----
Inventory --6.02M1,576.85%1.81M1,576.85%1.81M--0-74.77%108K-74.77%108K-51.26%213K-11.02%428K-11.02%428K-93.67%437K
Prepaid assets 54.12%692K-37.43%321K-37.43%321K-36.58%449K-52.01%513K-52.01%513K68.17%708K210.76%1.07M210.76%1.07M-80.63%421K
Total current assets 213.10%33.64M1,030.73%34.66M1,030.73%34.66M-26.22%10.74M-87.56%3.07M-87.56%3.07M25.00%14.56M39.03%24.64M39.03%24.64M-68.13%11.65M
Non current assets
Net PPE 259.46%2.81M-42.26%582K-42.26%582K-34.94%782K-23.87%1.01M-23.87%1.01M-25.06%1.2M-30.39%1.32M-30.39%1.32M-68.45%1.6M
-Gross PPE -----0.53%6.79M-0.53%6.79M-----10.31%6.83M-10.31%6.83M-----2.99%7.61M-2.99%7.61M----
-Accumulated depreciation -----6.70%-6.21M-6.70%-6.21M----7.46%-5.82M7.46%-5.82M-----5.77%-6.29M-5.77%-6.29M----
Goodwill and other intangible assets 39.86%71.45M24.93%73.97M24.93%73.97M-18.98%51.09M-8.34%59.21M-8.34%59.21M-4.64%63.06M-4.55%64.6M-4.55%64.6M16.17%66.12M
-Other intangible assets ----24.93%73.97M24.93%73.97M-----8.34%59.21M-8.34%59.21M-----4.55%64.6M-4.55%64.6M----
Defined pension benefit --------------------------475K------------
Total non current assets 42.57%74.61M23.59%74.97M23.59%74.97M-19.76%52.33M-8.75%60.66M-8.75%60.66M-4.88%65.22M-6.32%66.48M-6.32%66.48M7.95%68.57M
Total assets 71.61%108.25M72.03%109.63M72.03%109.63M-20.94%63.08M-30.06%63.73M-30.06%63.73M-0.54%79.78M2.74%91.12M2.74%91.12M-19.84%80.22M
Liabilities
Current liabilities
Payables 66.41%15.18M-38.67%6.67M-38.67%6.67M71.56%9.12M124.35%10.88M124.35%10.88M71.41%5.32M-16.00%4.85M-16.00%4.85M-71.70%3.1M
-accounts payable 70.85%14.92M-8.70%3.56M-8.70%3.56M79.33%8.73M61.48%3.9M61.48%3.9M58.83%4.87M-36.58%2.41M-36.58%2.41M-71.13%3.07M
-Total tax payable -32.40%265K-67.09%182K-67.09%182K-12.69%392K107.89%553K107.89%553K1,113.51%449K343.33%266K343.33%266K-89.37%37K
-Other payable -----54.37%2.94M-54.37%2.94M----196.13%6.44M196.13%6.44M----13.65%2.17M13.65%2.17M----
Current provisions -93.72%35K1,181.82%141K1,181.82%141K286.81%557K-94.27%11K-94.27%11K-51.02%144K-90.56%192K-90.56%192K--294K
Current debt and capital lease obligation 8.86%23.94M-5.43%21.51M-5.43%21.51M48.27%21.99M42.39%22.75M42.39%22.75M-44.99%14.83M40.59%15.98M40.59%15.98M1,160.85%26.96M
-Current debt 10.75%23.67M-5.35%20.94M-5.35%20.94M50.93%21.37M43.98%22.13M43.98%22.13M-45.98%14.16M45.05%15.37M45.05%15.37M2,282.64%26.21M
-Current capital lease obligation -56.29%271K-8.35%571K-8.35%571K-7.74%620K2.30%623K2.30%623K-10.16%672K-20.81%609K-20.81%609K-27.94%748K
Current liabilities -31.44%53.05M-10.32%44.32M-10.32%44.32M100.59%77.38M50.73%49.41M50.73%49.41M-13.61%38.58M12.77%32.78M12.77%32.78M49.00%44.65M
Non current liabilities
Long term provisions ----------------48.51%24.96M48.51%24.96M--24.95M--16.81M--16.81M----
Long term debt and capital lease obligation -87.52%2.44M-99.84%35K-99.84%35K-24.38%19.52M-19.67%21.69M-19.67%21.69M57.30%25.81M-54.85%27M-54.85%27M-72.42%16.41M
-Long term debt ------0--0-22.85%19.21M-18.28%21.08M-18.28%21.08M68.46%24.9M-55.43%25.8M-55.43%25.8M-74.07%14.78M
-Long term capital lease obligation 685.81%2.44M-94.23%35K-94.23%35K-66.05%310K-49.54%607K-49.54%607K-43.95%913K-37.57%1.2M-37.57%1.2M-35.02%1.63M
Derivative product liabilities -88.32%845K-84.45%1.48M-84.45%1.48M68.54%7.24M13.09%9.51M13.09%9.51M-13.65%4.29M--8.41M--8.41M1,688.85%4.97M
Other non current liabilities ------------------1K--1K----------------
Total non current liabilities -74.91%7.14M-90.74%5.37M-90.74%5.37M-48.31%28.46M1.74%58M1.74%58M102.32%55.05M-13.59%57.01M-13.59%57.01M-61.07%27.21M
Total liabilities -43.13%60.19M-53.74%49.69M-53.74%49.69M13.04%105.84M19.63%107.41M19.63%107.41M30.28%93.63M-5.53%89.79M-5.53%89.79M-28.04%71.86M
Shareholders'equity
Share capital 0.08%1.26M67.60%1.26M67.60%1.26M-98.29%1.26M-98.62%753K-98.62%753K135.52%73.73M181.05%54.61M181.05%54.61M137.42%31.3M
-common stock 0.08%1.26M67.60%1.26M67.60%1.26M-98.29%1.26M-98.62%753K-98.62%753K135.52%73.73M181.05%54.61M181.05%54.61M137.42%31.3M
Retained earnings 9.66%-587.98M8.73%-572.72M8.73%-572.72M-11.04%-650.84M-12.77%-627.5M-12.77%-627.5M-12.41%-586.15M-11.09%-556.43M-11.09%-556.43M-12.12%-521.42M
Paid-in capital 4.82%633.88M8.50%630.52M8.50%630.52M17.65%604.73M14.05%581.12M14.05%581.12M2.30%514.02M6.15%509.51M6.15%509.51M9.78%502.47M
Less: Treasury stock -73.02%92K39.36%131K39.36%131K-98.25%341K-98.13%94K-98.13%94K939.25%19.49M217.72%5.02M217.72%5.02M15.38%1.88M
Total stockholders'equity 212.38%48.06M237.21%59.94M237.21%59.94M-208.86%-42.76M-3,389.61%-43.69M-3,389.61%-43.69M-265.75%-13.85M120.90%1.33M120.90%1.33M3,877.62%8.35M
Total equity 212.38%48.06M237.21%59.94M237.21%59.94M-208.86%-42.76M-3,389.61%-43.69M-3,389.61%-43.69M-265.75%-13.85M120.90%1.33M120.90%1.33M3,877.62%8.35M
Currency Unit CHFCHFCHFCHFCHFCHFCHFCHFCHFCHF
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