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TNFA TNF Pharmaceuticals

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  • 1.140
  • -0.020-1.72%
Trading Nov 29 10:43 ET
3.14MMarket Cap-84P/E (TTM)

TNF 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
25.60%10.64M
12.38%13.07M
-88.84%1.74M
1.80%4.92M
1.80%4.92M
19.60%8.47M
106.85%11.63M
69.22%15.55M
-58.16%4.84M
-58.16%4.84M
-Cash and cash equivalents
299.69%1.19M
471.32%536.03K
19.68%225.66K
257.90%2.68M
257.90%2.68M
-3.75%298.32K
-91.59%93.82K
-84.15%188.55K
34.74%749.09K
34.74%749.09K
-Short-term investments
15.60%9.45M
8.64%12.53M
-90.17%1.51M
-45.14%2.24M
-45.14%2.24M
20.66%8.17M
155.97%11.53M
92.03%15.36M
-62.86%4.09M
-62.86%4.09M
Prepaid assets
9.63%1.39M
-14.80%1.29M
-1.76%725.16K
57.87%893.23K
57.87%893.23K
27.22%1.26M
10.53%1.52M
-16.51%738.14K
-48.86%565.79K
-48.86%565.79K
Total current assets
23.53%12.03M
9.24%14.36M
-84.89%2.46M
7.67%5.82M
7.67%5.82M
20.53%9.74M
87.96%13.14M
61.70%16.29M
-57.35%5.4M
-57.35%5.4M
Non current assets
Net PPE
-79.89%18.29K
-76.01%25.8K
-71.81%34.9K
-66.07%47.39K
-66.07%47.39K
-41.39%90.92K
-36.81%107.57K
-6.73%123.82K
-6.27%139.66K
-6.27%139.66K
-Gross PPE
-79.89%18.29K
-76.01%25.8K
-71.81%34.9K
-66.07%47.39K
-66.07%47.39K
-41.39%90.92K
-36.81%107.57K
-6.73%123.82K
-6.27%139.66K
-6.27%139.66K
Goodwill and other intangible assets
0.00%10.5M
0.00%10.5M
0.00%10.5M
0.00%10.5M
0.00%10.5M
0.00%10.5M
0.00%10.5M
0.00%10.5M
0.00%10.5M
0.00%10.5M
-Goodwill
0.00%10.5M
0.00%10.5M
0.00%10.5M
0.00%10.5M
0.00%10.5M
0.00%10.5M
0.00%10.5M
0.00%10.5M
0.00%10.5M
0.00%10.5M
Investments and advances
0.00%1.5M
0.00%1.5M
0.00%1.5M
0.00%1.5M
0.00%1.5M
0.00%1.5M
0.00%1.5M
0.00%1.5M
0.00%1.5M
0.00%1.5M
Total non current assets
-0.60%12.02M
-0.68%12.02M
-0.73%12.03M
-0.76%12.05M
-0.76%12.05M
-0.53%12.09M
-0.51%12.11M
-0.07%12.12M
-0.08%12.14M
-0.08%12.14M
Total assets
10.16%24.04M
4.49%26.38M
-48.98%14.49M
1.84%17.86M
1.84%17.86M
7.88%21.83M
31.77%25.25M
27.95%28.41M
-29.31%17.54M
-29.31%17.54M
Liabilities
Current liabilities
Payables
230.78%5.23M
181.12%5.23M
146.91%3.43M
41.38%3.37M
41.38%3.37M
13.60%1.58M
-28.90%1.86M
-30.49%1.39M
175.10%2.39M
175.10%2.39M
-accounts payable
174.88%3.71M
146.66%4.09M
179.36%3.35M
30.66%3.08M
30.66%3.08M
-3.21%1.35M
-36.63%1.66M
-39.92%1.2M
171.64%2.36M
171.64%2.36M
-Dividends payable
633.67%1.5M
351.59%778.49K
-71.06%45.83K
--265.02K
--265.02K
--204.19K
--172.39K
--158.33K
--0
--0
-Due to related parties current
0.00%29.98K
0.00%29.98K
0.00%29.98K
0.00%29.98K
0.00%29.98K
--29.98K
--29.98K
--29.98K
--29.98K
--29.98K
-Other payable
----
--331.99K
----
----
----
----
----
----
----
----
Current accrued expenses
-33.64%455.21K
5.41%524.36K
200.71%511.05K
101.20%637.14K
101.20%637.14K
111.30%685.94K
122.65%497.45K
-59.73%169.94K
165.86%316.67K
165.86%316.67K
Current debt and capital lease obligation
-74.82%18.29K
-63.29%25.8K
-47.09%35.98K
-25.71%48.87K
-25.71%48.87K
14.15%72.63K
14.25%70.29K
39.73%68K
23.55%65.78K
23.55%65.78K
-Current capital lease obligation
-74.82%18.29K
-63.29%25.8K
-47.09%35.98K
-25.71%48.87K
-25.71%48.87K
14.15%72.63K
14.25%70.29K
39.73%68K
23.55%65.78K
23.55%65.78K
Other current liabilities
-61.79%1.28M
----
----
--928K
--928K
--3.36M
----
----
----
----
Current liabilities
22.70%6.99M
138.06%5.78M
144.42%3.97M
80.14%4.99M
80.14%4.99M
219.82%5.7M
-16.33%2.43M
-34.10%1.63M
166.28%2.77M
166.28%2.77M
Non current liabilities
Long term debt and capital lease obligation
----
----
----
--0
--0
-77.97%20.52K
-64.02%39.51K
-31.43%58.03K
-20.82%75.94K
-20.82%75.94K
-Long term capital lease obligation
----
----
----
--0
--0
-77.97%20.52K
-64.02%39.51K
-31.43%58.03K
-20.82%75.94K
-20.82%75.94K
Derivative product liabilities
----
79.26%20.22M
----
----
----
----
--11.28M
--12.72M
----
----
Other non current liabilities
----
----
----
----
----
----
--760.74K
----
----
----
Total non current liabilities
--0
67.38%20.22M
-97.81%279.62K
32.39%100.54K
32.39%100.54K
-83.33%20.52K
8,541.27%12.08M
11,048.70%12.78M
-39.68%75.94K
-39.68%75.94K
Total liabilities
22.26%6.99M
79.22%26M
-70.47%4.25M
78.87%5.09M
78.87%5.09M
200.21%5.72M
376.77%14.51M
457.92%14.4M
144.04%2.84M
144.04%2.84M
Shareholders'equity
Share capital
-99.62%424.69K
-99.61%431.38K
-99.59%450.07K
277.55%550.61K
277.55%550.61K
4.48%113.19M
8.08%110.71M
6.97%109.44M
-99.86%145.84K
-99.86%145.84K
-common stock
-100.00%2.47K
-100.00%2.37K
-100.00%2.16K
53.42%2.02K
53.42%2.02K
3.92%112.44M
8.09%110.57M
6.09%108.38M
-100.00%1.32K
-100.00%1.32K
-Preferred stock
-43.94%422.22K
196.84%429.01K
-57.64%447.91K
279.59%548.6K
279.59%548.6K
421.10%753.12K
0.00%144.52K
631.65%1.06M
0.00%144.52K
0.00%144.52K
Retained earnings
-29.79%-126M
-23.36%-123.32M
-18.39%-112.98M
-8.77%-101.98M
-8.77%-101.98M
-7.86%-97.09M
-15.81%-99.97M
-15.41%-95.43M
-19.34%-93.76M
-19.34%-93.76M
Paid-in capital
--142.63M
--123.27M
--122.77M
5.44%114.2M
5.44%114.2M
----
----
----
--108.31M
--108.31M
Total stockholders'equity
5.87%17.06M
-96.44%382.29K
-26.89%10.24M
-13.08%12.77M
-13.08%12.77M
-12.10%16.11M
-33.36%10.74M
-28.62%14.01M
-37.86%14.7M
-37.86%14.7M
Total equity
5.87%17.06M
-96.44%382.29K
-26.89%10.24M
-13.08%12.77M
-13.08%12.77M
-12.10%16.11M
-33.36%10.74M
-28.62%14.01M
-37.86%14.7M
-37.86%14.7M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
(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 25.60%10.64M12.38%13.07M-88.84%1.74M1.80%4.92M1.80%4.92M19.60%8.47M106.85%11.63M69.22%15.55M-58.16%4.84M-58.16%4.84M
-Cash and cash equivalents 299.69%1.19M471.32%536.03K19.68%225.66K257.90%2.68M257.90%2.68M-3.75%298.32K-91.59%93.82K-84.15%188.55K34.74%749.09K34.74%749.09K
-Short-term investments 15.60%9.45M8.64%12.53M-90.17%1.51M-45.14%2.24M-45.14%2.24M20.66%8.17M155.97%11.53M92.03%15.36M-62.86%4.09M-62.86%4.09M
Prepaid assets 9.63%1.39M-14.80%1.29M-1.76%725.16K57.87%893.23K57.87%893.23K27.22%1.26M10.53%1.52M-16.51%738.14K-48.86%565.79K-48.86%565.79K
Total current assets 23.53%12.03M9.24%14.36M-84.89%2.46M7.67%5.82M7.67%5.82M20.53%9.74M87.96%13.14M61.70%16.29M-57.35%5.4M-57.35%5.4M
Non current assets
Net PPE -79.89%18.29K-76.01%25.8K-71.81%34.9K-66.07%47.39K-66.07%47.39K-41.39%90.92K-36.81%107.57K-6.73%123.82K-6.27%139.66K-6.27%139.66K
-Gross PPE -79.89%18.29K-76.01%25.8K-71.81%34.9K-66.07%47.39K-66.07%47.39K-41.39%90.92K-36.81%107.57K-6.73%123.82K-6.27%139.66K-6.27%139.66K
Goodwill and other intangible assets 0.00%10.5M0.00%10.5M0.00%10.5M0.00%10.5M0.00%10.5M0.00%10.5M0.00%10.5M0.00%10.5M0.00%10.5M0.00%10.5M
-Goodwill 0.00%10.5M0.00%10.5M0.00%10.5M0.00%10.5M0.00%10.5M0.00%10.5M0.00%10.5M0.00%10.5M0.00%10.5M0.00%10.5M
Investments and advances 0.00%1.5M0.00%1.5M0.00%1.5M0.00%1.5M0.00%1.5M0.00%1.5M0.00%1.5M0.00%1.5M0.00%1.5M0.00%1.5M
Total non current assets -0.60%12.02M-0.68%12.02M-0.73%12.03M-0.76%12.05M-0.76%12.05M-0.53%12.09M-0.51%12.11M-0.07%12.12M-0.08%12.14M-0.08%12.14M
Total assets 10.16%24.04M4.49%26.38M-48.98%14.49M1.84%17.86M1.84%17.86M7.88%21.83M31.77%25.25M27.95%28.41M-29.31%17.54M-29.31%17.54M
Liabilities
Current liabilities
Payables 230.78%5.23M181.12%5.23M146.91%3.43M41.38%3.37M41.38%3.37M13.60%1.58M-28.90%1.86M-30.49%1.39M175.10%2.39M175.10%2.39M
-accounts payable 174.88%3.71M146.66%4.09M179.36%3.35M30.66%3.08M30.66%3.08M-3.21%1.35M-36.63%1.66M-39.92%1.2M171.64%2.36M171.64%2.36M
-Dividends payable 633.67%1.5M351.59%778.49K-71.06%45.83K--265.02K--265.02K--204.19K--172.39K--158.33K--0--0
-Due to related parties current 0.00%29.98K0.00%29.98K0.00%29.98K0.00%29.98K0.00%29.98K--29.98K--29.98K--29.98K--29.98K--29.98K
-Other payable ------331.99K--------------------------------
Current accrued expenses -33.64%455.21K5.41%524.36K200.71%511.05K101.20%637.14K101.20%637.14K111.30%685.94K122.65%497.45K-59.73%169.94K165.86%316.67K165.86%316.67K
Current debt and capital lease obligation -74.82%18.29K-63.29%25.8K-47.09%35.98K-25.71%48.87K-25.71%48.87K14.15%72.63K14.25%70.29K39.73%68K23.55%65.78K23.55%65.78K
-Current capital lease obligation -74.82%18.29K-63.29%25.8K-47.09%35.98K-25.71%48.87K-25.71%48.87K14.15%72.63K14.25%70.29K39.73%68K23.55%65.78K23.55%65.78K
Other current liabilities -61.79%1.28M----------928K--928K--3.36M----------------
Current liabilities 22.70%6.99M138.06%5.78M144.42%3.97M80.14%4.99M80.14%4.99M219.82%5.7M-16.33%2.43M-34.10%1.63M166.28%2.77M166.28%2.77M
Non current liabilities
Long term debt and capital lease obligation --------------0--0-77.97%20.52K-64.02%39.51K-31.43%58.03K-20.82%75.94K-20.82%75.94K
-Long term capital lease obligation --------------0--0-77.97%20.52K-64.02%39.51K-31.43%58.03K-20.82%75.94K-20.82%75.94K
Derivative product liabilities ----79.26%20.22M------------------11.28M--12.72M--------
Other non current liabilities --------------------------760.74K------------
Total non current liabilities --067.38%20.22M-97.81%279.62K32.39%100.54K32.39%100.54K-83.33%20.52K8,541.27%12.08M11,048.70%12.78M-39.68%75.94K-39.68%75.94K
Total liabilities 22.26%6.99M79.22%26M-70.47%4.25M78.87%5.09M78.87%5.09M200.21%5.72M376.77%14.51M457.92%14.4M144.04%2.84M144.04%2.84M
Shareholders'equity
Share capital -99.62%424.69K-99.61%431.38K-99.59%450.07K277.55%550.61K277.55%550.61K4.48%113.19M8.08%110.71M6.97%109.44M-99.86%145.84K-99.86%145.84K
-common stock -100.00%2.47K-100.00%2.37K-100.00%2.16K53.42%2.02K53.42%2.02K3.92%112.44M8.09%110.57M6.09%108.38M-100.00%1.32K-100.00%1.32K
-Preferred stock -43.94%422.22K196.84%429.01K-57.64%447.91K279.59%548.6K279.59%548.6K421.10%753.12K0.00%144.52K631.65%1.06M0.00%144.52K0.00%144.52K
Retained earnings -29.79%-126M-23.36%-123.32M-18.39%-112.98M-8.77%-101.98M-8.77%-101.98M-7.86%-97.09M-15.81%-99.97M-15.41%-95.43M-19.34%-93.76M-19.34%-93.76M
Paid-in capital --142.63M--123.27M--122.77M5.44%114.2M5.44%114.2M--------------108.31M--108.31M
Total stockholders'equity 5.87%17.06M-96.44%382.29K-26.89%10.24M-13.08%12.77M-13.08%12.77M-12.10%16.11M-33.36%10.74M-28.62%14.01M-37.86%14.7M-37.86%14.7M
Total equity 5.87%17.06M-96.44%382.29K-26.89%10.24M-13.08%12.77M-13.08%12.77M-12.10%16.11M-33.36%10.74M-28.62%14.01M-37.86%14.7M-37.86%14.7M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--

Analysis

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Price Target

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