US Stock MarketDetailed Quotes

TOVX Theriva Biologics

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  • 1.3800
  • -0.0600-4.17%
Close Dec 2 16:00 ET
  • 1.4098
  • +0.0298+2.16%
Post 20:01 ET
3.84MMarket Cap-42P/E (TTM)

Theriva Biologics 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
-47.34%16.41M
-51.55%16.59M
-49.38%18.26M
-44.53%23.18M
-44.53%23.18M
-38.28%31.16M
-34.47%34.25M
-36.36%36.08M
-37.93%41.79M
-37.93%41.79M
-Cash and cash equivalents
-47.34%16.41M
-51.55%16.59M
-49.38%18.26M
-44.53%23.18M
-44.53%23.18M
-38.28%31.16M
-34.47%34.25M
-36.36%36.08M
-37.93%41.79M
-37.93%41.79M
Receivables
27.11%2M
565.52%1.93M
718.88%1.91M
739.83%1.94M
739.83%1.94M
635.98%1.58M
4.32%290K
-86.46%233K
--231K
--231K
-Taxes receivable
27.11%2M
1,240.28%1.93M
47,600.00%1.91M
2,129.89%1.94M
2,129.89%1.94M
635.98%1.58M
-48.20%144K
-96.85%4K
--87K
--87K
-Other receivables
----
----
----
----
----
----
--146K
-85.63%229K
--144K
--144K
Prepaid assets
-44.78%1.12M
-65.22%1.19M
-62.73%1.49M
-34.74%2.29M
-34.74%2.29M
0.25%2.03M
46.20%3.43M
249.39%3.99M
128.51%3.5M
128.51%3.5M
Total current assets
-43.82%19.53M
-48.07%19.72M
-46.26%21.66M
-39.80%27.4M
-39.80%27.4M
-34.07%34.77M
-30.83%37.97M
-32.33%40.3M
-33.89%45.52M
-33.89%45.52M
Non current assets
Net PPE
-21.53%1.74M
-17.81%1.86M
-15.52%2.01M
41.26%2.18M
41.26%2.18M
47.21%2.22M
43.12%2.26M
44.91%2.38M
4.04%1.54M
4.04%1.54M
-Gross PPE
-16.04%2.67M
-14.06%2.74M
-6.99%3.05M
32.13%3.18M
32.13%3.18M
35.68%3.18M
33.35%3.19M
17.17%3.28M
4.06%2.41M
4.06%2.41M
-Accumulated depreciation
3.34%-927K
4.95%-884K
-15.61%-1.04M
-15.84%-1M
-15.84%-1M
-14.85%-959K
-14.39%-930K
22.27%-897K
-4.09%-865K
-4.09%-865K
Goodwill and other intangible assets
-23.51%18.65M
-17.77%20.64M
-0.79%24.89M
3.16%25.46M
3.16%25.46M
0.17%24.39M
-2.50%25.1M
-9.36%25.09M
--24.68M
--24.68M
-Goodwill
--0
-73.94%1.47M
-0.78%5.57M
3.17%5.7M
3.17%5.7M
28.35%5.46M
8.41%5.62M
-3.31%5.62M
--5.53M
--5.53M
-Other intangible assets
-1.45%18.65M
-1.56%19.18M
-0.79%19.32M
3.16%19.76M
3.16%19.76M
-5.79%18.93M
-5.25%19.48M
-10.97%19.47M
--19.15M
--19.15M
Other non current assets
5.20%182K
43.09%176K
43.09%176K
47.54%180K
47.54%180K
53.10%173K
3.36%123K
-2.38%123K
430.43%122K
430.43%122K
Total non current assets
-23.16%20.58M
-17.50%22.68M
-1.86%27.07M
5.60%27.82M
5.60%27.82M
3.14%26.78M
0.15%27.48M
-6.31%27.59M
1,647.91%26.34M
1,647.91%26.34M
Total assets
-34.83%40.11M
-35.23%42.39M
-28.22%48.73M
-23.16%55.22M
-23.16%55.22M
-21.79%61.55M
-20.51%65.45M
-23.72%67.89M
2.13%71.86M
2.13%71.86M
Liabilities
Current liabilities
Payables
-9.24%756K
26.18%935K
18.96%571K
-15.85%770K
-15.85%770K
-4.14%833K
-34.19%741K
-66.78%480K
74.62%915K
74.62%915K
-accounts payable
-9.24%756K
26.18%935K
18.96%571K
-15.85%770K
-15.85%770K
8.18%833K
-26.12%741K
-64.55%480K
74.62%915K
74.62%915K
Current accrued expenses
-43.57%3.75M
37.04%3.49M
30.83%3.33M
55.94%4.39M
55.94%4.39M
163.49%6.65M
0.47%2.55M
42.54%2.54M
-3.23%2.81M
-3.23%2.81M
Current debt and capital lease obligation
15.21%606K
10.79%575K
11.33%560K
101.47%550K
101.47%550K
151.67%526K
182.07%519K
159.28%503K
120.16%273K
120.16%273K
-Current debt
0.00%65K
-7.46%62K
-6.06%62K
10.53%63K
10.53%63K
25.00%65K
19.64%67K
-2.94%66K
--57K
--57K
-Current capital lease obligation
17.35%541K
13.50%513K
13.96%498K
125.46%487K
125.46%487K
193.63%461K
253.13%452K
246.83%437K
74.19%216K
74.19%216K
Current deferred liabilities
74.48%916K
--880K
--886K
--906K
--906K
--525K
----
----
--0
--0
Other current liabilities
----
----
----
----
----
----
-46.48%4.98M
-34.26%4.91M
--2.97M
--2.97M
Current liabilities
-16.24%7.32M
-25.03%6.85M
-30.28%6.01M
-4.56%6.74M
-4.56%6.74M
-33.72%8.74M
-31.14%9.13M
-21.47%8.62M
98.65%7.06M
98.65%7.06M
Non current liabilities
Long term debt and capital lease obligation
-33.20%1.13M
-31.68%1.26M
-25.69%1.46M
13.92%1.6M
13.92%1.6M
17.29%1.7M
21.33%1.84M
24.18%1.96M
0.36%1.41M
0.36%1.41M
-Long term debt
-34.67%98K
-39.22%93K
-0.63%159K
-26.70%162K
-26.70%162K
-25.74%150K
-29.17%153K
-30.13%160K
--221K
--221K
-Long term capital lease obligation
-33.05%1.04M
-31.00%1.16M
-27.91%1.3M
21.48%1.44M
21.48%1.44M
24.28%1.55M
29.74%1.68M
33.38%1.8M
-15.40%1.19M
-15.40%1.19M
Non current deferred liabilities
-82.21%229K
-53.78%440K
-49.35%664K
-44.00%906K
-44.00%906K
-63.11%1.29M
-72.84%952K
-64.83%1.31M
--1.62M
--1.62M
Other non current liabilities
14.37%6.79M
7.41%6.2M
19.75%6.48M
-12.99%6.27M
-12.99%6.27M
145.35%5.94M
143.18%5.77M
15.36%5.41M
--7.21M
--7.21M
Total non current liabilities
-8.61%8.15M
-7.78%7.9M
-0.96%8.6M
-14.19%8.78M
-14.19%8.78M
21.27%8.92M
15.81%8.56M
-13.16%8.68M
629.65%10.24M
629.65%10.24M
Total liabilities
-12.39%15.47M
-16.68%14.74M
-15.57%14.61M
-10.26%15.52M
-10.26%15.52M
-14.04%17.66M
-14.33%17.7M
-17.51%17.3M
248.94%17.3M
248.94%17.3M
Shareholders'equity
Share capital
-99.89%3K
-35.72%1.77M
0.07%2.75M
0.07%2.75M
0.07%2.75M
0.07%2.75M
17,100.00%2.75M
1,640.51%2.75M
21,053.85%2.75M
21,053.85%2.75M
-common stock
-83.33%3K
27.78%23K
12.50%18K
12.50%18K
12.50%18K
12.50%18K
12.50%18K
-89.87%16K
23.08%16K
23.08%16K
-Preferred stock
--0
-36.14%1.75M
0.00%2.73M
0.00%2.73M
0.00%2.73M
0.00%2.73M
--2.73M
--2.73M
--2.73M
--2.73M
Retained earnings
-8.78%-330.53M
-7.41%-322.8M
-6.44%-314.48M
-6.31%-309.32M
-6.31%-309.32M
-6.47%-303.83M
-7.13%-300.53M
-7.22%-295.45M
-7.26%-290.97M
-7.26%-290.97M
Paid-in capital
2.60%355.33M
1.01%349.67M
0.82%346.68M
0.81%346.52M
0.81%346.52M
0.78%346.31M
0.78%346.18M
0.18%343.88M
2.10%343.75M
2.10%343.75M
Less: Treasury stock
0.00%288K
0.00%288K
0.00%288K
0.00%288K
0.00%288K
--288K
--288K
--288K
--288K
--288K
Gains losses not affecting retained earnings
110.59%112K
-99.16%-709K
-76.07%-537K
104.71%32K
104.71%32K
62.80%-1.06M
72.97%-356K
-268.51%-305K
---679K
---679K
Total stockholders'equity
-43.86%24.64M
-42.11%27.65M
-32.54%34.12M
-27.25%39.7M
-27.25%39.7M
-24.53%43.88M
-22.57%47.75M
-25.64%50.59M
-16.58%54.56M
-16.58%54.56M
Total equity
-43.86%24.64M
-42.11%27.65M
-32.54%34.12M
-27.25%39.7M
-27.25%39.7M
-24.53%43.88M
-22.57%47.75M
-25.64%50.59M
-16.58%54.56M
-16.58%54.56M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
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 -47.34%16.41M-51.55%16.59M-49.38%18.26M-44.53%23.18M-44.53%23.18M-38.28%31.16M-34.47%34.25M-36.36%36.08M-37.93%41.79M-37.93%41.79M
-Cash and cash equivalents -47.34%16.41M-51.55%16.59M-49.38%18.26M-44.53%23.18M-44.53%23.18M-38.28%31.16M-34.47%34.25M-36.36%36.08M-37.93%41.79M-37.93%41.79M
Receivables 27.11%2M565.52%1.93M718.88%1.91M739.83%1.94M739.83%1.94M635.98%1.58M4.32%290K-86.46%233K--231K--231K
-Taxes receivable 27.11%2M1,240.28%1.93M47,600.00%1.91M2,129.89%1.94M2,129.89%1.94M635.98%1.58M-48.20%144K-96.85%4K--87K--87K
-Other receivables --------------------------146K-85.63%229K--144K--144K
Prepaid assets -44.78%1.12M-65.22%1.19M-62.73%1.49M-34.74%2.29M-34.74%2.29M0.25%2.03M46.20%3.43M249.39%3.99M128.51%3.5M128.51%3.5M
Total current assets -43.82%19.53M-48.07%19.72M-46.26%21.66M-39.80%27.4M-39.80%27.4M-34.07%34.77M-30.83%37.97M-32.33%40.3M-33.89%45.52M-33.89%45.52M
Non current assets
Net PPE -21.53%1.74M-17.81%1.86M-15.52%2.01M41.26%2.18M41.26%2.18M47.21%2.22M43.12%2.26M44.91%2.38M4.04%1.54M4.04%1.54M
-Gross PPE -16.04%2.67M-14.06%2.74M-6.99%3.05M32.13%3.18M32.13%3.18M35.68%3.18M33.35%3.19M17.17%3.28M4.06%2.41M4.06%2.41M
-Accumulated depreciation 3.34%-927K4.95%-884K-15.61%-1.04M-15.84%-1M-15.84%-1M-14.85%-959K-14.39%-930K22.27%-897K-4.09%-865K-4.09%-865K
Goodwill and other intangible assets -23.51%18.65M-17.77%20.64M-0.79%24.89M3.16%25.46M3.16%25.46M0.17%24.39M-2.50%25.1M-9.36%25.09M--24.68M--24.68M
-Goodwill --0-73.94%1.47M-0.78%5.57M3.17%5.7M3.17%5.7M28.35%5.46M8.41%5.62M-3.31%5.62M--5.53M--5.53M
-Other intangible assets -1.45%18.65M-1.56%19.18M-0.79%19.32M3.16%19.76M3.16%19.76M-5.79%18.93M-5.25%19.48M-10.97%19.47M--19.15M--19.15M
Other non current assets 5.20%182K43.09%176K43.09%176K47.54%180K47.54%180K53.10%173K3.36%123K-2.38%123K430.43%122K430.43%122K
Total non current assets -23.16%20.58M-17.50%22.68M-1.86%27.07M5.60%27.82M5.60%27.82M3.14%26.78M0.15%27.48M-6.31%27.59M1,647.91%26.34M1,647.91%26.34M
Total assets -34.83%40.11M-35.23%42.39M-28.22%48.73M-23.16%55.22M-23.16%55.22M-21.79%61.55M-20.51%65.45M-23.72%67.89M2.13%71.86M2.13%71.86M
Liabilities
Current liabilities
Payables -9.24%756K26.18%935K18.96%571K-15.85%770K-15.85%770K-4.14%833K-34.19%741K-66.78%480K74.62%915K74.62%915K
-accounts payable -9.24%756K26.18%935K18.96%571K-15.85%770K-15.85%770K8.18%833K-26.12%741K-64.55%480K74.62%915K74.62%915K
Current accrued expenses -43.57%3.75M37.04%3.49M30.83%3.33M55.94%4.39M55.94%4.39M163.49%6.65M0.47%2.55M42.54%2.54M-3.23%2.81M-3.23%2.81M
Current debt and capital lease obligation 15.21%606K10.79%575K11.33%560K101.47%550K101.47%550K151.67%526K182.07%519K159.28%503K120.16%273K120.16%273K
-Current debt 0.00%65K-7.46%62K-6.06%62K10.53%63K10.53%63K25.00%65K19.64%67K-2.94%66K--57K--57K
-Current capital lease obligation 17.35%541K13.50%513K13.96%498K125.46%487K125.46%487K193.63%461K253.13%452K246.83%437K74.19%216K74.19%216K
Current deferred liabilities 74.48%916K--880K--886K--906K--906K--525K----------0--0
Other current liabilities -------------------------46.48%4.98M-34.26%4.91M--2.97M--2.97M
Current liabilities -16.24%7.32M-25.03%6.85M-30.28%6.01M-4.56%6.74M-4.56%6.74M-33.72%8.74M-31.14%9.13M-21.47%8.62M98.65%7.06M98.65%7.06M
Non current liabilities
Long term debt and capital lease obligation -33.20%1.13M-31.68%1.26M-25.69%1.46M13.92%1.6M13.92%1.6M17.29%1.7M21.33%1.84M24.18%1.96M0.36%1.41M0.36%1.41M
-Long term debt -34.67%98K-39.22%93K-0.63%159K-26.70%162K-26.70%162K-25.74%150K-29.17%153K-30.13%160K--221K--221K
-Long term capital lease obligation -33.05%1.04M-31.00%1.16M-27.91%1.3M21.48%1.44M21.48%1.44M24.28%1.55M29.74%1.68M33.38%1.8M-15.40%1.19M-15.40%1.19M
Non current deferred liabilities -82.21%229K-53.78%440K-49.35%664K-44.00%906K-44.00%906K-63.11%1.29M-72.84%952K-64.83%1.31M--1.62M--1.62M
Other non current liabilities 14.37%6.79M7.41%6.2M19.75%6.48M-12.99%6.27M-12.99%6.27M145.35%5.94M143.18%5.77M15.36%5.41M--7.21M--7.21M
Total non current liabilities -8.61%8.15M-7.78%7.9M-0.96%8.6M-14.19%8.78M-14.19%8.78M21.27%8.92M15.81%8.56M-13.16%8.68M629.65%10.24M629.65%10.24M
Total liabilities -12.39%15.47M-16.68%14.74M-15.57%14.61M-10.26%15.52M-10.26%15.52M-14.04%17.66M-14.33%17.7M-17.51%17.3M248.94%17.3M248.94%17.3M
Shareholders'equity
Share capital -99.89%3K-35.72%1.77M0.07%2.75M0.07%2.75M0.07%2.75M0.07%2.75M17,100.00%2.75M1,640.51%2.75M21,053.85%2.75M21,053.85%2.75M
-common stock -83.33%3K27.78%23K12.50%18K12.50%18K12.50%18K12.50%18K12.50%18K-89.87%16K23.08%16K23.08%16K
-Preferred stock --0-36.14%1.75M0.00%2.73M0.00%2.73M0.00%2.73M0.00%2.73M--2.73M--2.73M--2.73M--2.73M
Retained earnings -8.78%-330.53M-7.41%-322.8M-6.44%-314.48M-6.31%-309.32M-6.31%-309.32M-6.47%-303.83M-7.13%-300.53M-7.22%-295.45M-7.26%-290.97M-7.26%-290.97M
Paid-in capital 2.60%355.33M1.01%349.67M0.82%346.68M0.81%346.52M0.81%346.52M0.78%346.31M0.78%346.18M0.18%343.88M2.10%343.75M2.10%343.75M
Less: Treasury stock 0.00%288K0.00%288K0.00%288K0.00%288K0.00%288K--288K--288K--288K--288K--288K
Gains losses not affecting retained earnings 110.59%112K-99.16%-709K-76.07%-537K104.71%32K104.71%32K62.80%-1.06M72.97%-356K-268.51%-305K---679K---679K
Total stockholders'equity -43.86%24.64M-42.11%27.65M-32.54%34.12M-27.25%39.7M-27.25%39.7M-24.53%43.88M-22.57%47.75M-25.64%50.59M-16.58%54.56M-16.58%54.56M
Total equity -43.86%24.64M-42.11%27.65M-32.54%34.12M-27.25%39.7M-27.25%39.7M-24.53%43.88M-22.57%47.75M-25.64%50.59M-16.58%54.56M-16.58%54.56M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

Analysis

Analyst Rating

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Price Target

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Heat List
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