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SXTP 60 Degrees Pharmaceuticals

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  • 1.410
  • -0.240-14.55%
Close Dec 13 16:00 ET
  • 1.400
  • -0.010-0.71%
Post 19:50 ET
3.24MMarket Cap-0.44P/E (TTM)

60 Degrees Pharmaceuticals 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
125.92%5.01M
8,167.45%1.58M
9,551.25%2.89M
708.90%2.14M
708.90%2.14M
404.91%2.22M
--19.07K
--29.99K
129.52%264.87K
129.52%264.87K
-Cash and cash equivalents
48.78%3.3M
8,167.45%1.58M
9,551.25%2.89M
708.90%2.14M
708.90%2.14M
404.91%2.22M
--19.07K
--29.99K
129.52%264.87K
129.52%264.87K
-Short-term investments
--1.71M
----
----
----
----
----
----
----
----
----
Receivables
134.64%323.82K
136.21%296.37K
281.65%316.22K
403.28%231.33K
403.28%231.33K
-29.24%138.01K
--125.47K
--82.86K
-68.59%45.97K
-68.59%45.97K
-Accounts receivable
134.64%323.82K
136.21%296.37K
281.65%316.22K
403.28%231.33K
403.28%231.33K
-29.24%138.01K
--125.47K
--82.86K
-68.59%45.97K
-68.59%45.97K
Inventory
-24.45%452.04K
-8.48%426.02K
-30.05%435.38K
-10.11%466.17K
-10.11%466.17K
-17.53%598.32K
--465.52K
--622.46K
-24.74%518.58K
-24.74%518.58K
Current deferred assets
----
-97.28%5.86K
----
--0
--0
--0
--215.17K
--86.24K
--68.63K
--68.63K
Other current assets
-81.43%1.1M
-69.93%1.46M
-14.35%4.26M
2,090.71%4.4M
2,090.71%4.4M
3,572.04%5.94M
--4.85M
--4.97M
-11.02%200.97K
-11.02%200.97K
Total current assets
-22.53%6.89M
-33.69%3.76M
36.43%7.91M
559.01%7.24M
559.01%7.24M
484.55%8.89M
--5.67M
--5.79M
-6.60%1.1M
-6.60%1.1M
Non current assets
Net PPE
411.22%155.26K
242.71%159.59K
-12.49%57.35K
109.97%71.28K
109.97%71.28K
-42.72%30.37K
--46.57K
--65.54K
-68.46%33.95K
-68.46%33.95K
-Gross PPE
69.48%299.24K
59.79%299.24K
3.25%205.83K
36.37%219.34K
36.37%219.34K
2.04%176.56K
--187.27K
--199.34K
-22.25%160.85K
-22.25%160.85K
-Accumulated depreciation
1.51%-143.98K
0.75%-139.65K
-10.96%-148.47K
-16.68%-148.06K
-16.68%-148.06K
-21.82%-146.19K
---140.7K
---133.8K
-27.86%-126.9K
-27.86%-126.9K
Goodwill and other intangible assets
17.46%264.35K
21.19%250.1K
11.92%217.42K
38.36%227.26K
38.36%227.26K
108.48%225.05K
--206.38K
--194.27K
50.36%164.26K
50.36%164.26K
-Other intangible assets
17.46%264.35K
21.19%250.1K
11.92%217.42K
38.36%227.26K
38.36%227.26K
108.48%225.05K
--206.38K
--194.27K
50.36%164.26K
50.36%164.26K
Non current prepaid assets
--110.29K
-89.21%154.41K
-87.04%198.53K
--242.65K
--242.65K
----
--1.43M
--1.53M
--0
--0
Total non current assets
107.47%529.9K
-66.50%564.11K
-73.59%473.3K
173.05%541.18K
173.05%541.18K
52.95%255.42K
--1.68M
--1.79M
-8.60%198.2K
-8.60%198.2K
Total assets
-18.90%7.42M
-41.20%4.33M
10.44%8.38M
500.04%7.78M
500.04%7.78M
441.87%9.15M
--7.36M
--7.59M
-6.91%1.3M
-6.91%1.3M
Liabilities
Current liabilities
Payables
149.49%677.62K
----
----
-46.93%506.21K
-46.93%506.21K
-49.33%271.6K
--1.43M
--1.33M
62.02%953.77K
62.02%953.77K
-accounts payable
149.49%677.62K
----
----
-33.28%506.21K
-33.28%506.21K
-40.18%271.6K
--1.06M
--835.71K
28.88%758.67K
28.88%758.67K
-Due to related parties current
----
----
----
--0
--0
--0
--370.07K
--494.17K
--195.1K
--195.1K
Current debt and capital lease obligation
-75.34%8.77K
-99.96%8.77K
-99.96%8.77K
-99.89%22.42K
-99.89%22.42K
39.37%35.57K
--24.69M
--22.67M
45,093.39%21.15M
45,093.39%21.15M
-Current debt
0.00%8.77K
-99.96%8.77K
-99.96%8.77K
-99.96%8.77K
-99.96%8.77K
--8.77K
--24.65M
--22.62M
--21.14M
--21.14M
-Current capital lease obligation
--0
--0
--0
5.00%13.65K
5.00%13.65K
5.00%26.8K
--39.47K
--51.68K
-72.22%13K
-72.22%13K
Current deferred liabilities
----
----
----
--0
--0
--0
--295K
--40K
--325K
--325K
Other current liabilities
-71.31%623.76K
-76.82%567.05K
-62.25%565.95K
54.38%2.31M
54.38%2.31M
43.46%2.17M
--2.45M
--1.5M
--1.49M
--1.49M
Current liabilities
-47.20%1.31M
-95.78%1.22M
-95.68%1.1M
-88.15%2.84M
-88.15%2.84M
18.99%2.48M
--28.86M
--25.54M
3,664.32%23.92M
3,664.32%23.92M
Non current liabilities
Long term debt and capital lease obligation
-3.08%147.9K
-89.17%148.67K
-88.70%149.46K
-88.17%150.25K
-88.17%150.25K
-99.29%152.59K
--1.37M
--1.32M
-93.23%1.27M
-93.23%1.27M
-Long term debt
-3.08%147.9K
-89.17%148.67K
-88.70%149.46K
-88.17%150.25K
-88.17%150.25K
-99.29%152.59K
--1.37M
--1.32M
-93.22%1.27M
-93.22%1.27M
Non current deferred liabilities
----
----
----
--0
--0
--0
--0
--255K
64.79%255K
64.79%255K
Total non current liabilities
-3.08%147.9K
-89.17%148.67K
-90.53%149.46K
-90.15%150.25K
-90.15%150.25K
-99.30%152.59K
--1.37M
--1.58M
-91.94%1.53M
-91.94%1.53M
Total liabilities
-44.64%1.46M
-95.48%1.37M
-95.38%1.25M
-88.27%2.99M
-88.27%2.99M
-89.00%2.63M
--30.24M
--27.12M
30.17%25.45M
30.17%25.45M
Shareholders'equity
Share capital
-2.95%9.57M
4,141,976.47%9.86M
4,142,427.73%9.86M
4,124,846.03%9.86M
4,124,846.03%9.86M
4,124,845.61%9.86M
--238
--238
-100.00%239
-100.00%239
-common stock
-67.93%186
-57.14%102
394.12%1.18K
143.10%581
143.10%581
142.68%580
--238
--238
-100.00%239
-100.00%239
-Preferred stock
-2.95%9.57M
--9.86M
--9.86M
--9.86M
--9.86M
--9.86M
--0
--0
--0
--0
Retained earnings
-25.89%-38.48M
-4.52%-36.32M
-2.34%-32.15M
-13.07%-32.58M
-13.07%-32.58M
-13.67%-30.57M
---34.75M
---31.42M
-27.31%-28.82M
-27.31%-28.82M
Paid-in capital
28.08%34.82M
137.21%29.37M
137.16%29.36M
431.65%27.46M
431.65%27.46M
426.35%27.18M
--12.38M
--12.38M
--5.16M
--5.16M
Gains losses not affecting retained earnings
71.05%139.21K
87.11%134.8K
81.82%131.67K
83.92%135.56K
83.92%135.56K
46.56%81.39K
--72.04K
--72.42K
-2.80%73.71K
-2.80%73.71K
Total stockholders'equity
-7.85%6.04M
113.61%3.04M
137.97%7.2M
120.66%4.87M
120.66%4.87M
130.24%6.55M
---22.3M
---18.96M
-34.12%-23.58M
-34.12%-23.58M
Noncontrolling interests
-101.30%-76.71K
86.83%-75.99K
86.92%-74.52K
87.41%-72.04K
87.41%-72.04K
93.41%-38.11K
---576.83K
---569.79K
0.68%-572.32K
0.68%-572.32K
Total equity
-8.49%5.96M
112.94%2.96M
136.48%7.13M
119.87%4.8M
119.87%4.8M
129.29%6.52M
---22.88M
---19.53M
-33.02%-24.15M
-33.02%-24.15M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
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 125.92%5.01M8,167.45%1.58M9,551.25%2.89M708.90%2.14M708.90%2.14M404.91%2.22M--19.07K--29.99K129.52%264.87K129.52%264.87K
-Cash and cash equivalents 48.78%3.3M8,167.45%1.58M9,551.25%2.89M708.90%2.14M708.90%2.14M404.91%2.22M--19.07K--29.99K129.52%264.87K129.52%264.87K
-Short-term investments --1.71M------------------------------------
Receivables 134.64%323.82K136.21%296.37K281.65%316.22K403.28%231.33K403.28%231.33K-29.24%138.01K--125.47K--82.86K-68.59%45.97K-68.59%45.97K
-Accounts receivable 134.64%323.82K136.21%296.37K281.65%316.22K403.28%231.33K403.28%231.33K-29.24%138.01K--125.47K--82.86K-68.59%45.97K-68.59%45.97K
Inventory -24.45%452.04K-8.48%426.02K-30.05%435.38K-10.11%466.17K-10.11%466.17K-17.53%598.32K--465.52K--622.46K-24.74%518.58K-24.74%518.58K
Current deferred assets -----97.28%5.86K------0--0--0--215.17K--86.24K--68.63K--68.63K
Other current assets -81.43%1.1M-69.93%1.46M-14.35%4.26M2,090.71%4.4M2,090.71%4.4M3,572.04%5.94M--4.85M--4.97M-11.02%200.97K-11.02%200.97K
Total current assets -22.53%6.89M-33.69%3.76M36.43%7.91M559.01%7.24M559.01%7.24M484.55%8.89M--5.67M--5.79M-6.60%1.1M-6.60%1.1M
Non current assets
Net PPE 411.22%155.26K242.71%159.59K-12.49%57.35K109.97%71.28K109.97%71.28K-42.72%30.37K--46.57K--65.54K-68.46%33.95K-68.46%33.95K
-Gross PPE 69.48%299.24K59.79%299.24K3.25%205.83K36.37%219.34K36.37%219.34K2.04%176.56K--187.27K--199.34K-22.25%160.85K-22.25%160.85K
-Accumulated depreciation 1.51%-143.98K0.75%-139.65K-10.96%-148.47K-16.68%-148.06K-16.68%-148.06K-21.82%-146.19K---140.7K---133.8K-27.86%-126.9K-27.86%-126.9K
Goodwill and other intangible assets 17.46%264.35K21.19%250.1K11.92%217.42K38.36%227.26K38.36%227.26K108.48%225.05K--206.38K--194.27K50.36%164.26K50.36%164.26K
-Other intangible assets 17.46%264.35K21.19%250.1K11.92%217.42K38.36%227.26K38.36%227.26K108.48%225.05K--206.38K--194.27K50.36%164.26K50.36%164.26K
Non current prepaid assets --110.29K-89.21%154.41K-87.04%198.53K--242.65K--242.65K------1.43M--1.53M--0--0
Total non current assets 107.47%529.9K-66.50%564.11K-73.59%473.3K173.05%541.18K173.05%541.18K52.95%255.42K--1.68M--1.79M-8.60%198.2K-8.60%198.2K
Total assets -18.90%7.42M-41.20%4.33M10.44%8.38M500.04%7.78M500.04%7.78M441.87%9.15M--7.36M--7.59M-6.91%1.3M-6.91%1.3M
Liabilities
Current liabilities
Payables 149.49%677.62K---------46.93%506.21K-46.93%506.21K-49.33%271.6K--1.43M--1.33M62.02%953.77K62.02%953.77K
-accounts payable 149.49%677.62K---------33.28%506.21K-33.28%506.21K-40.18%271.6K--1.06M--835.71K28.88%758.67K28.88%758.67K
-Due to related parties current --------------0--0--0--370.07K--494.17K--195.1K--195.1K
Current debt and capital lease obligation -75.34%8.77K-99.96%8.77K-99.96%8.77K-99.89%22.42K-99.89%22.42K39.37%35.57K--24.69M--22.67M45,093.39%21.15M45,093.39%21.15M
-Current debt 0.00%8.77K-99.96%8.77K-99.96%8.77K-99.96%8.77K-99.96%8.77K--8.77K--24.65M--22.62M--21.14M--21.14M
-Current capital lease obligation --0--0--05.00%13.65K5.00%13.65K5.00%26.8K--39.47K--51.68K-72.22%13K-72.22%13K
Current deferred liabilities --------------0--0--0--295K--40K--325K--325K
Other current liabilities -71.31%623.76K-76.82%567.05K-62.25%565.95K54.38%2.31M54.38%2.31M43.46%2.17M--2.45M--1.5M--1.49M--1.49M
Current liabilities -47.20%1.31M-95.78%1.22M-95.68%1.1M-88.15%2.84M-88.15%2.84M18.99%2.48M--28.86M--25.54M3,664.32%23.92M3,664.32%23.92M
Non current liabilities
Long term debt and capital lease obligation -3.08%147.9K-89.17%148.67K-88.70%149.46K-88.17%150.25K-88.17%150.25K-99.29%152.59K--1.37M--1.32M-93.23%1.27M-93.23%1.27M
-Long term debt -3.08%147.9K-89.17%148.67K-88.70%149.46K-88.17%150.25K-88.17%150.25K-99.29%152.59K--1.37M--1.32M-93.22%1.27M-93.22%1.27M
Non current deferred liabilities --------------0--0--0--0--255K64.79%255K64.79%255K
Total non current liabilities -3.08%147.9K-89.17%148.67K-90.53%149.46K-90.15%150.25K-90.15%150.25K-99.30%152.59K--1.37M--1.58M-91.94%1.53M-91.94%1.53M
Total liabilities -44.64%1.46M-95.48%1.37M-95.38%1.25M-88.27%2.99M-88.27%2.99M-89.00%2.63M--30.24M--27.12M30.17%25.45M30.17%25.45M
Shareholders'equity
Share capital -2.95%9.57M4,141,976.47%9.86M4,142,427.73%9.86M4,124,846.03%9.86M4,124,846.03%9.86M4,124,845.61%9.86M--238--238-100.00%239-100.00%239
-common stock -67.93%186-57.14%102394.12%1.18K143.10%581143.10%581142.68%580--238--238-100.00%239-100.00%239
-Preferred stock -2.95%9.57M--9.86M--9.86M--9.86M--9.86M--9.86M--0--0--0--0
Retained earnings -25.89%-38.48M-4.52%-36.32M-2.34%-32.15M-13.07%-32.58M-13.07%-32.58M-13.67%-30.57M---34.75M---31.42M-27.31%-28.82M-27.31%-28.82M
Paid-in capital 28.08%34.82M137.21%29.37M137.16%29.36M431.65%27.46M431.65%27.46M426.35%27.18M--12.38M--12.38M--5.16M--5.16M
Gains losses not affecting retained earnings 71.05%139.21K87.11%134.8K81.82%131.67K83.92%135.56K83.92%135.56K46.56%81.39K--72.04K--72.42K-2.80%73.71K-2.80%73.71K
Total stockholders'equity -7.85%6.04M113.61%3.04M137.97%7.2M120.66%4.87M120.66%4.87M130.24%6.55M---22.3M---18.96M-34.12%-23.58M-34.12%-23.58M
Noncontrolling interests -101.30%-76.71K86.83%-75.99K86.92%-74.52K87.41%-72.04K87.41%-72.04K93.41%-38.11K---576.83K---569.79K0.68%-572.32K0.68%-572.32K
Total equity -8.49%5.96M112.94%2.96M136.48%7.13M119.87%4.8M119.87%4.8M129.29%6.52M---22.88M---19.53M-33.02%-24.15M-33.02%-24.15M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--
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