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BPTS Biophytis

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  • 8.220
  • 0.0000.00%
Close Apr 25 16:00 ET
2.36MMarket Cap-64P/E (TTM)

Biophytis Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-49.03%5.94M
-49.03%5.94M
-69.16%6.21M
-53.11%11.64M
-53.11%11.64M
-13.92%20.15M
32.28%24.83M
--24.83M
88.22%23.41M
175.56%18.77M
-Cash and cash equivalents
-49.63%5.57M
-49.63%5.57M
-70.72%5.78M
-53.80%11.05M
-53.80%11.05M
-14.10%19.75M
309.20%23.93M
--23.93M
88.68%22.99M
-7.73%5.85M
-Short-term investments
-37.63%368K
-37.63%368K
6.14%432K
-34.73%590K
-34.73%590K
-4.01%407K
-93.01%904K
--904K
66.27%424K
2,620.84%12.92M
Receivables
-48.92%2.74M
-48.92%2.74M
-40.07%5.01M
4.73%5.36M
4.73%5.36M
20.19%8.36M
-1.78%5.12M
--5.12M
110.47%6.96M
-33.60%5.21M
-Accounts receivable
-39.14%297K
-39.14%297K
-77.93%209K
290.40%488K
290.40%488K
426.11%947K
-1.57%125K
--125K
93.55%180K
71.62%127K
-Taxes receivable
-49.77%2.44M
-49.77%2.44M
-35.26%4.79M
-1.80%4.86M
-1.80%4.86M
13.81%7.4M
3.95%4.95M
--4.95M
105.18%6.5M
-38.38%4.76M
-Other receivables
----
----
-25.00%12K
-72.73%12K
-72.73%12K
-94.20%16K
-86.38%44K
--44K
527.27%276K
572.92%323K
Prepaid assets
-91.55%133K
-91.55%133K
-91.64%152K
11.00%1.57M
11.00%1.57M
-19.41%1.82M
4,789.66%1.42M
--1.42M
17,253.85%2.26M
-36.96%29K
Other current assets
4,500.00%44K
4,500.00%44K
-300.00%-2K
---1K
---1K
--1K
----
----
----
0.00%-1K
Total current assets
-52.36%8.85M
-52.36%8.85M
-62.50%11.38M
-40.78%18.58M
-40.78%18.58M
-7.02%30.33M
30.64%31.37M
--31.37M
107.05%32.63M
63.28%24.01M
Non current assets
Net PPE
-46.06%315K
-46.06%315K
-40.73%425K
3.73%584K
3.73%584K
596.12%717K
393.86%563K
--563K
-23.13%103K
-38.38%114K
-Gross PPE
-36.30%986K
-36.30%986K
-43.22%871K
25.75%1.55M
25.75%1.55M
122.32%1.53M
87.08%1.23M
--1.23M
9.87%690K
1.54%658K
-Accumulated depreciation
30.39%-671K
30.39%-671K
45.41%-446K
-44.31%-964K
-44.31%-964K
-39.18%-817K
-22.79%-668K
---668K
-18.83%-587K
-17.49%-544K
Goodwill and other intangible assets
-0.68%2.64M
-0.68%2.64M
-0.49%2.65M
-3.70%2.66M
-3.70%2.66M
2.98%2.66M
3.14%2.76M
--2.76M
-0.12%2.58M
11.38%2.67M
-Other intangible assets
-0.68%2.64M
-0.68%2.64M
-0.49%2.65M
-3.70%2.66M
-3.70%2.66M
2.98%2.66M
3.14%2.76M
--2.76M
-0.12%2.58M
11.38%2.67M
Investments and advances
-34.21%25K
-34.21%25K
234.69%164K
-47.22%38K
-47.22%38K
-54.21%49K
-22.58%72K
--72K
189.19%107K
50.00%93K
Non current prepaid assets
-0.74%134K
-0.74%134K
----
18.42%135K
18.42%135K
-60.63%126K
-64.38%114K
--114K
-4.19%320K
0.00%320K
Other non current assets
0.00%-1K
0.00%-1K
--1K
---1K
---1K
----
----
----
----
----
Total non current assets
-8.82%3.11M
-8.82%3.11M
-8.87%3.24M
-2.71%3.41M
-2.71%3.41M
14.10%3.55M
9.56%3.51M
--3.51M
0.71%3.11M
7.85%3.2M
Total assets
-45.60%11.96M
-45.60%11.96M
-56.88%14.61M
-36.95%21.99M
-36.95%21.99M
-5.18%33.89M
28.16%34.87M
--34.87M
89.61%35.74M
53.97%27.21M
Liabilities
Current liabilities
Payables
-23.96%5.35M
-23.96%5.35M
-59.96%4.11M
-9.16%7.04M
-9.16%7.04M
22.61%10.26M
-7.50%7.75M
--7.75M
-17.51%8.37M
-2.38%8.38M
-accounts payable
-22.31%5.39M
-22.31%5.39M
-63.22%3.71M
-8.76%6.94M
-8.76%6.94M
27.10%10.09M
-4.75%7.61M
--7.61M
-17.27%7.94M
1.51%7.99M
-Total tax payable
-146.81%-44K
-146.81%-44K
10.17%65K
-31.88%94K
-31.88%94K
-75.72%59K
1.47%138K
--138K
-25.46%243K
-71.78%136K
-Other payable
0.00%4K
0.00%4K
199.10%332K
0.00%4K
0.00%4K
-40.32%111K
-98.43%4K
--4K
-16.22%186K
9.91%255K
Current accrued expenses
98.63%290K
98.63%290K
----
-27.72%146K
-27.72%146K
----
--202K
--202K
----
----
Current provisions
197.33%223K
197.33%223K
----
--75K
--75K
-95.04%75K
----
----
468.05%1.51M
--2K
Current debt and capital lease obligation
-54.63%3.52M
-54.63%3.52M
-36.48%6.42M
-7.32%7.76M
-7.32%7.76M
-30.69%10.11M
-22.56%8.37M
--8.37M
91.34%14.58M
81.73%10.81M
-Current debt
-53.66%3.47M
-53.66%3.47M
-36.43%6.25M
-8.24%7.48M
-8.24%7.48M
-32.58%9.83M
-24.60%8.15M
--8.15M
91.34%14.58M
81.73%10.81M
-Current capital lease obligation
-80.71%54K
-80.71%54K
-38.18%170K
26.70%280K
26.70%280K
--275K
--221K
--221K
----
--0
Current deferred liabilities
0.00%178K
0.00%178K
----
1.71%178K
1.71%178K
-42.77%178K
1,246.15%175K
--175K
--311K
--13K
Other current liabilities
-42.78%1.41M
-42.78%1.41M
-30.46%2.69M
-44.62%2.47M
-44.62%2.47M
58.52%3.87M
84.93%4.45M
--4.45M
1,132.32%2.44M
-52.84%2.41M
Current liabilities
-36.09%12.37M
-36.09%12.37M
-45.33%14.06M
-15.18%19.35M
-15.18%19.35M
-9.53%25.72M
-0.48%22.81M
--22.81M
46.41%28.43M
12.27%22.92M
Non current liabilities
Long term debt and capital lease obligation
-30.84%2.56M
-30.84%2.56M
-26.53%3.16M
-19.71%3.7M
-19.71%3.7M
--4.3M
390.64%4.61M
--4.61M
----
-78.60%940K
-Long term debt
-30.97%2.43M
-30.97%2.43M
-24.55%3M
-19.92%3.51M
-19.92%3.51M
--3.98M
366.70%4.39M
--4.39M
----
-78.60%940K
-Long term capital lease obligation
-28.42%136K
-28.42%136K
-50.46%163K
-15.56%190K
-15.56%190K
--329K
--225K
--225K
----
--0
Employee benefits
29.51%237K
29.51%237K
-3.59%188K
-10.73%183K
-10.73%183K
-3.47%195K
9.04%205K
--205K
45.32%202K
32.39%188K
Derivative product liabilities
--0
--0
--0
--0
--0
--0
--536K
--536K
----
----
Other non current liabilities
3.31%686K
3.31%686K
-21.27%559K
-26.71%664K
-26.71%664K
-37.77%710K
1.46%906K
--906K
12.97%1.14M
-11.23%893K
Total non current liabilities
-23.43%3.48M
-23.43%3.48M
-24.96%3.91M
-27.30%4.55M
-27.30%4.55M
287.86%5.21M
209.70%6.26M
--6.26M
-65.32%1.34M
-63.52%2.02M
Total liabilities
-33.68%15.85M
-33.68%15.85M
-41.90%17.97M
-17.79%23.9M
-17.79%23.9M
3.89%30.93M
16.55%29.07M
--29.07M
27.84%29.77M
-3.91%24.94M
Shareholders'equity
Share capital
-95.63%2.08M
-95.63%2.08M
-86.97%4.27M
75.28%47.66M
75.28%47.66M
41.46%32.77M
34.94%27.19M
--27.19M
111.20%23.16M
320.43%20.15M
-common stock
-95.63%2.08M
-95.63%2.08M
-86.97%4.27M
75.28%47.66M
75.28%47.66M
41.46%32.77M
34.94%27.19M
--27.19M
111.20%23.16M
320.43%20.15M
Retained earnings
59.54%-19.38M
59.54%-19.38M
58.12%-15.96M
2.26%-47.91M
2.26%-47.91M
-187.67%-38.1M
-21.69%-49.01M
---49.01M
-40.01%-13.25M
-112.58%-40.28M
Paid-in capital
949.06%13.48M
949.06%13.48M
-0.68%8.35M
-105.72%-1.59M
-105.72%-1.59M
-53.77%8.41M
23.26%27.78M
--27.78M
153.96%18.19M
-50.44%22.54M
Less: Treasury stock
-42.86%12K
-42.86%12K
-64.81%19K
-58.82%21K
-58.82%21K
12.50%54K
21.43%51K
--51K
14.29%48K
147.06%42K
Gains losses not affecting retained earnings
0.00%-25K
0.00%-25K
74.07%-7K
65.75%-25K
65.75%-25K
99.88%-27K
-1.39%-73K
---73K
-69.24%-22.06M
99.82%-72K
Other equity interest
---1K
---1K
4,100.00%42K
----
----
--1K
----
----
----
----
Total stockholders'equity
-105.27%-3.86M
-105.27%-3.86M
-210.99%-3.32M
-132.20%-1.88M
-132.20%-1.88M
-50.12%2.99M
153.81%5.84M
--5.84M
236.20%6M
127.86%2.3M
Noncontrolling interests
0.00%-32K
0.00%-32K
0.00%-32K
0.00%-32K
0.00%-32K
-3.23%-32K
-3.23%-32K
---32K
3.13%-31K
0.00%-31K
Total equity
-103.51%-3.89M
-103.51%-3.89M
-213.27%-3.35M
-132.93%-1.91M
-132.93%-1.91M
-50.40%2.96M
155.86%5.8M
--5.8M
234.52%5.97M
127.38%2.27M
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
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 with Explanatory Notes
--
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
(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(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -49.03%5.94M-49.03%5.94M-69.16%6.21M-53.11%11.64M-53.11%11.64M-13.92%20.15M32.28%24.83M--24.83M88.22%23.41M175.56%18.77M
-Cash and cash equivalents -49.63%5.57M-49.63%5.57M-70.72%5.78M-53.80%11.05M-53.80%11.05M-14.10%19.75M309.20%23.93M--23.93M88.68%22.99M-7.73%5.85M
-Short-term investments -37.63%368K-37.63%368K6.14%432K-34.73%590K-34.73%590K-4.01%407K-93.01%904K--904K66.27%424K2,620.84%12.92M
Receivables -48.92%2.74M-48.92%2.74M-40.07%5.01M4.73%5.36M4.73%5.36M20.19%8.36M-1.78%5.12M--5.12M110.47%6.96M-33.60%5.21M
-Accounts receivable -39.14%297K-39.14%297K-77.93%209K290.40%488K290.40%488K426.11%947K-1.57%125K--125K93.55%180K71.62%127K
-Taxes receivable -49.77%2.44M-49.77%2.44M-35.26%4.79M-1.80%4.86M-1.80%4.86M13.81%7.4M3.95%4.95M--4.95M105.18%6.5M-38.38%4.76M
-Other receivables ---------25.00%12K-72.73%12K-72.73%12K-94.20%16K-86.38%44K--44K527.27%276K572.92%323K
Prepaid assets -91.55%133K-91.55%133K-91.64%152K11.00%1.57M11.00%1.57M-19.41%1.82M4,789.66%1.42M--1.42M17,253.85%2.26M-36.96%29K
Other current assets 4,500.00%44K4,500.00%44K-300.00%-2K---1K---1K--1K------------0.00%-1K
Total current assets -52.36%8.85M-52.36%8.85M-62.50%11.38M-40.78%18.58M-40.78%18.58M-7.02%30.33M30.64%31.37M--31.37M107.05%32.63M63.28%24.01M
Non current assets
Net PPE -46.06%315K-46.06%315K-40.73%425K3.73%584K3.73%584K596.12%717K393.86%563K--563K-23.13%103K-38.38%114K
-Gross PPE -36.30%986K-36.30%986K-43.22%871K25.75%1.55M25.75%1.55M122.32%1.53M87.08%1.23M--1.23M9.87%690K1.54%658K
-Accumulated depreciation 30.39%-671K30.39%-671K45.41%-446K-44.31%-964K-44.31%-964K-39.18%-817K-22.79%-668K---668K-18.83%-587K-17.49%-544K
Goodwill and other intangible assets -0.68%2.64M-0.68%2.64M-0.49%2.65M-3.70%2.66M-3.70%2.66M2.98%2.66M3.14%2.76M--2.76M-0.12%2.58M11.38%2.67M
-Other intangible assets -0.68%2.64M-0.68%2.64M-0.49%2.65M-3.70%2.66M-3.70%2.66M2.98%2.66M3.14%2.76M--2.76M-0.12%2.58M11.38%2.67M
Investments and advances -34.21%25K-34.21%25K234.69%164K-47.22%38K-47.22%38K-54.21%49K-22.58%72K--72K189.19%107K50.00%93K
Non current prepaid assets -0.74%134K-0.74%134K----18.42%135K18.42%135K-60.63%126K-64.38%114K--114K-4.19%320K0.00%320K
Other non current assets 0.00%-1K0.00%-1K--1K---1K---1K--------------------
Total non current assets -8.82%3.11M-8.82%3.11M-8.87%3.24M-2.71%3.41M-2.71%3.41M14.10%3.55M9.56%3.51M--3.51M0.71%3.11M7.85%3.2M
Total assets -45.60%11.96M-45.60%11.96M-56.88%14.61M-36.95%21.99M-36.95%21.99M-5.18%33.89M28.16%34.87M--34.87M89.61%35.74M53.97%27.21M
Liabilities
Current liabilities
Payables -23.96%5.35M-23.96%5.35M-59.96%4.11M-9.16%7.04M-9.16%7.04M22.61%10.26M-7.50%7.75M--7.75M-17.51%8.37M-2.38%8.38M
-accounts payable -22.31%5.39M-22.31%5.39M-63.22%3.71M-8.76%6.94M-8.76%6.94M27.10%10.09M-4.75%7.61M--7.61M-17.27%7.94M1.51%7.99M
-Total tax payable -146.81%-44K-146.81%-44K10.17%65K-31.88%94K-31.88%94K-75.72%59K1.47%138K--138K-25.46%243K-71.78%136K
-Other payable 0.00%4K0.00%4K199.10%332K0.00%4K0.00%4K-40.32%111K-98.43%4K--4K-16.22%186K9.91%255K
Current accrued expenses 98.63%290K98.63%290K-----27.72%146K-27.72%146K------202K--202K--------
Current provisions 197.33%223K197.33%223K------75K--75K-95.04%75K--------468.05%1.51M--2K
Current debt and capital lease obligation -54.63%3.52M-54.63%3.52M-36.48%6.42M-7.32%7.76M-7.32%7.76M-30.69%10.11M-22.56%8.37M--8.37M91.34%14.58M81.73%10.81M
-Current debt -53.66%3.47M-53.66%3.47M-36.43%6.25M-8.24%7.48M-8.24%7.48M-32.58%9.83M-24.60%8.15M--8.15M91.34%14.58M81.73%10.81M
-Current capital lease obligation -80.71%54K-80.71%54K-38.18%170K26.70%280K26.70%280K--275K--221K--221K------0
Current deferred liabilities 0.00%178K0.00%178K----1.71%178K1.71%178K-42.77%178K1,246.15%175K--175K--311K--13K
Other current liabilities -42.78%1.41M-42.78%1.41M-30.46%2.69M-44.62%2.47M-44.62%2.47M58.52%3.87M84.93%4.45M--4.45M1,132.32%2.44M-52.84%2.41M
Current liabilities -36.09%12.37M-36.09%12.37M-45.33%14.06M-15.18%19.35M-15.18%19.35M-9.53%25.72M-0.48%22.81M--22.81M46.41%28.43M12.27%22.92M
Non current liabilities
Long term debt and capital lease obligation -30.84%2.56M-30.84%2.56M-26.53%3.16M-19.71%3.7M-19.71%3.7M--4.3M390.64%4.61M--4.61M-----78.60%940K
-Long term debt -30.97%2.43M-30.97%2.43M-24.55%3M-19.92%3.51M-19.92%3.51M--3.98M366.70%4.39M--4.39M-----78.60%940K
-Long term capital lease obligation -28.42%136K-28.42%136K-50.46%163K-15.56%190K-15.56%190K--329K--225K--225K------0
Employee benefits 29.51%237K29.51%237K-3.59%188K-10.73%183K-10.73%183K-3.47%195K9.04%205K--205K45.32%202K32.39%188K
Derivative product liabilities --0--0--0--0--0--0--536K--536K--------
Other non current liabilities 3.31%686K3.31%686K-21.27%559K-26.71%664K-26.71%664K-37.77%710K1.46%906K--906K12.97%1.14M-11.23%893K
Total non current liabilities -23.43%3.48M-23.43%3.48M-24.96%3.91M-27.30%4.55M-27.30%4.55M287.86%5.21M209.70%6.26M--6.26M-65.32%1.34M-63.52%2.02M
Total liabilities -33.68%15.85M-33.68%15.85M-41.90%17.97M-17.79%23.9M-17.79%23.9M3.89%30.93M16.55%29.07M--29.07M27.84%29.77M-3.91%24.94M
Shareholders'equity
Share capital -95.63%2.08M-95.63%2.08M-86.97%4.27M75.28%47.66M75.28%47.66M41.46%32.77M34.94%27.19M--27.19M111.20%23.16M320.43%20.15M
-common stock -95.63%2.08M-95.63%2.08M-86.97%4.27M75.28%47.66M75.28%47.66M41.46%32.77M34.94%27.19M--27.19M111.20%23.16M320.43%20.15M
Retained earnings 59.54%-19.38M59.54%-19.38M58.12%-15.96M2.26%-47.91M2.26%-47.91M-187.67%-38.1M-21.69%-49.01M---49.01M-40.01%-13.25M-112.58%-40.28M
Paid-in capital 949.06%13.48M949.06%13.48M-0.68%8.35M-105.72%-1.59M-105.72%-1.59M-53.77%8.41M23.26%27.78M--27.78M153.96%18.19M-50.44%22.54M
Less: Treasury stock -42.86%12K-42.86%12K-64.81%19K-58.82%21K-58.82%21K12.50%54K21.43%51K--51K14.29%48K147.06%42K
Gains losses not affecting retained earnings 0.00%-25K0.00%-25K74.07%-7K65.75%-25K65.75%-25K99.88%-27K-1.39%-73K---73K-69.24%-22.06M99.82%-72K
Other equity interest ---1K---1K4,100.00%42K----------1K----------------
Total stockholders'equity -105.27%-3.86M-105.27%-3.86M-210.99%-3.32M-132.20%-1.88M-132.20%-1.88M-50.12%2.99M153.81%5.84M--5.84M236.20%6M127.86%2.3M
Noncontrolling interests 0.00%-32K0.00%-32K0.00%-32K0.00%-32K0.00%-32K-3.23%-32K-3.23%-32K---32K3.13%-31K0.00%-31K
Total equity -103.51%-3.89M-103.51%-3.89M-213.27%-3.35M-132.93%-1.91M-132.93%-1.91M-50.40%2.96M155.86%5.8M--5.8M234.52%5.97M127.38%2.27M
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion with Explanatory Notes----Unqualified Opinion----Unqualified Opinion----Unqualified Opinion

Analysis

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