US Stock MarketDetailed Quotes

PCSA Processa Pharmaceuticals

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  • 0.8372
  • -0.0128-1.51%
Close Dec 23 16:00 ET
  • 0.8137
  • -0.0235-2.81%
Post 20:01 ET
2.74MMarket Cap-0.17P/E (TTM)

Processa 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
-57.85%2.89M
-35.80%5.57M
-16.96%8.92M
-27.64%4.71M
-27.64%4.71M
-24.23%6.86M
-28.08%8.68M
-25.38%10.74M
-60.58%6.5M
-60.58%6.5M
-Cash and cash equivalents
-57.85%2.89M
-35.80%5.57M
-16.96%8.92M
-27.64%4.71M
-27.64%4.71M
-24.23%6.86M
-28.08%8.68M
-25.38%10.74M
-60.58%6.5M
-60.58%6.5M
Receivables
----
----
--22.3K
----
----
----
----
----
----
----
-Related party accounts receivable
----
----
--22.3K
----
----
----
----
----
----
----
Other current assets
85.97%1.95M
56.28%1.91M
-41.95%857.64K
-50.81%926.3K
-50.81%926.3K
-42.86%1.05M
-35.67%1.22M
-25.73%1.48M
7.04%1.88M
7.04%1.88M
Total current assets
-38.82%4.84M
-24.44%7.48M
-19.80%9.8M
-32.84%5.63M
-32.84%5.63M
-27.37%7.91M
-29.11%9.9M
-25.42%12.22M
-54.24%8.39M
-54.24%8.39M
Non current assets
Net PPE
-41.98%98.48K
-37.39%117.47K
-33.15%138.9K
-34.70%148.61K
-34.70%148.61K
-31.28%169.73K
549.38%187.61K
302.52%207.79K
206.80%227.59K
206.80%227.59K
-Gross PPE
-41.98%98.48K
-37.39%117.47K
-33.15%138.9K
-34.70%148.61K
-34.70%148.61K
-31.28%169.73K
549.38%187.61K
302.52%207.79K
206.80%227.59K
206.80%227.59K
Goodwill and other intangible assets
----
----
----
--0
--0
----
----
----
--0
--0
Related parties assets
----
----
--22.3K
----
----
----
----
----
----
----
Non current prepaid assets
0.00%5.54K
0.00%5.54K
0.00%5.54K
----
----
0.00%5.54K
0.00%5.54K
0.00%5.54K
----
----
Other non current assets
----
----
----
0.00%5.54K
0.00%5.54K
----
----
----
0.00%5.54K
0.00%5.54K
Total non current assets
-40.65%104.01K
-36.31%123K
-32.29%144.44K
-33.88%154.15K
-33.88%154.15K
-97.73%175.26K
-97.49%193.14K
-97.31%213.32K
-97.13%233.12K
-97.13%233.12K
Total assets
-38.86%4.94M
-24.67%7.6M
-20.01%9.94M
-32.87%5.79M
-32.87%5.79M
-56.55%8.08M
-53.41%10.09M
-48.84%12.43M
-67.43%8.62M
-67.43%8.62M
Liabilities
Current liabilities
Payables
31.53%711.71K
122.67%953.09K
-9.95%455.37K
-3.09%500.66K
-3.09%500.66K
-39.88%541.09K
-65.40%428.02K
-29.38%505.71K
-16.77%516.6K
-16.77%516.6K
-accounts payable
105.52%711.71K
298.74%953.09K
43.78%455.37K
-4.86%311.62K
-4.86%311.62K
11.33%346.3K
-63.12%239.02K
0.20%316.71K
49.63%327.55K
49.63%327.55K
-Due to related parties current
--0
--0
--0
-23.53%39
-23.53%39
--5.79K
--0
--0
-97.12%51
-97.12%51
-Other payable
----
----
----
0.00%189K
0.00%189K
-67.91%189K
-67.91%189K
-52.75%189K
-52.75%189K
-52.75%189K
Current accrued expenses
104.12%412.81K
62.25%505.4K
-70.42%465.62K
-63.71%146.27K
-63.71%146.27K
-6.55%202.24K
1.33%311.5K
437.98%1.57M
44.33%403.06K
44.33%403.06K
Current debt and capital lease obligation
14.42%94.68K
13.79%93.18K
10.49%89.68K
6.02%83.65K
6.02%83.65K
8.50%82.74K
208.41%81.89K
65.24%81.17K
11.00%78.9K
11.00%78.9K
-Current capital lease obligation
14.42%94.68K
13.79%93.18K
10.49%89.68K
6.02%83.65K
6.02%83.65K
8.50%82.74K
208.41%81.89K
65.24%81.17K
11.00%78.9K
11.00%78.9K
Current liabilities
47.59%1.22M
88.90%1.55M
-53.23%1.01M
-26.84%730.58K
-26.84%730.58K
-30.74%826.07K
-47.72%821.41K
104.28%2.16M
2.84%998.56K
2.84%998.56K
Non current liabilities
Long term debt and capital lease obligation
-97.56%2.17K
-76.54%25.65K
-60.81%50.7K
-55.56%66.91K
-55.56%66.91K
-48.30%88.78K
2,248.59%109.33K
2,004.41%129.36K
1,938.65%150.55K
1,938.65%150.55K
-Long term capital lease obligation
-97.56%2.17K
-76.54%25.65K
-60.81%50.7K
-55.56%66.91K
-55.56%66.91K
-48.30%88.78K
2,248.59%109.33K
2,004.41%129.36K
1,938.65%150.55K
1,938.65%150.55K
Total non current liabilities
-97.56%2.17K
-76.54%25.65K
-60.81%50.7K
-55.56%66.91K
-55.56%66.91K
-48.30%88.78K
2,248.59%109.33K
2,004.41%129.36K
1,938.65%150.55K
1,938.65%150.55K
Total liabilities
33.51%1.22M
69.47%1.58M
-53.66%1.06M
-30.60%797.48K
-30.60%797.48K
-32.95%914.85K
-40.93%930.74K
115.26%2.29M
17.45%1.15M
17.45%1.15M
Shareholders'equity
Share capital
-86.78%327
-88.35%287
-88.39%286
61.25%129
61.25%129
54.56%2.47K
54.71%2.46K
54.61%2.46K
-94.91%80
-94.91%80
-common stock
-86.78%327
-88.35%287
-88.39%286
61.25%129
61.25%129
54.56%2.47K
54.71%2.46K
54.61%2.46K
-94.91%80
-94.91%80
Retained earnings
-15.80%-84.49M
-14.42%-81.11M
-14.39%-78.1M
-17.31%-75.37M
-17.31%-75.37M
-42.41%-72.96M
-56.77%-70.88M
-70.46%-68.27M
-74.48%-64.25M
-74.48%-64.25M
Paid-in capital
10.05%88.51M
8.82%87.43M
10.89%87.28M
12.00%80.66M
12.00%80.66M
16.95%80.43M
22.48%80.34M
23.78%78.71M
15.59%72.02M
15.59%72.02M
Less: Treasury stock
0.00%300K
0.00%300K
0.00%300K
0.00%300K
0.00%300K
0.00%300K
0.00%300K
0.00%300K
--300K
--300K
Total stockholders'equity
-48.09%3.72M
-34.24%6.02M
-12.41%8.88M
-33.22%4.99M
-33.22%4.99M
-58.42%7.17M
-54.39%9.16M
-56.35%10.14M
-70.69%7.47M
-70.69%7.47M
Total equity
-48.09%3.72M
-34.24%6.02M
-12.41%8.88M
-33.22%4.99M
-33.22%4.99M
-58.42%7.17M
-54.39%9.16M
-56.35%10.14M
-70.69%7.47M
-70.69%7.47M
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 -57.85%2.89M-35.80%5.57M-16.96%8.92M-27.64%4.71M-27.64%4.71M-24.23%6.86M-28.08%8.68M-25.38%10.74M-60.58%6.5M-60.58%6.5M
-Cash and cash equivalents -57.85%2.89M-35.80%5.57M-16.96%8.92M-27.64%4.71M-27.64%4.71M-24.23%6.86M-28.08%8.68M-25.38%10.74M-60.58%6.5M-60.58%6.5M
Receivables ----------22.3K----------------------------
-Related party accounts receivable ----------22.3K----------------------------
Other current assets 85.97%1.95M56.28%1.91M-41.95%857.64K-50.81%926.3K-50.81%926.3K-42.86%1.05M-35.67%1.22M-25.73%1.48M7.04%1.88M7.04%1.88M
Total current assets -38.82%4.84M-24.44%7.48M-19.80%9.8M-32.84%5.63M-32.84%5.63M-27.37%7.91M-29.11%9.9M-25.42%12.22M-54.24%8.39M-54.24%8.39M
Non current assets
Net PPE -41.98%98.48K-37.39%117.47K-33.15%138.9K-34.70%148.61K-34.70%148.61K-31.28%169.73K549.38%187.61K302.52%207.79K206.80%227.59K206.80%227.59K
-Gross PPE -41.98%98.48K-37.39%117.47K-33.15%138.9K-34.70%148.61K-34.70%148.61K-31.28%169.73K549.38%187.61K302.52%207.79K206.80%227.59K206.80%227.59K
Goodwill and other intangible assets --------------0--0--------------0--0
Related parties assets ----------22.3K----------------------------
Non current prepaid assets 0.00%5.54K0.00%5.54K0.00%5.54K--------0.00%5.54K0.00%5.54K0.00%5.54K--------
Other non current assets ------------0.00%5.54K0.00%5.54K------------0.00%5.54K0.00%5.54K
Total non current assets -40.65%104.01K-36.31%123K-32.29%144.44K-33.88%154.15K-33.88%154.15K-97.73%175.26K-97.49%193.14K-97.31%213.32K-97.13%233.12K-97.13%233.12K
Total assets -38.86%4.94M-24.67%7.6M-20.01%9.94M-32.87%5.79M-32.87%5.79M-56.55%8.08M-53.41%10.09M-48.84%12.43M-67.43%8.62M-67.43%8.62M
Liabilities
Current liabilities
Payables 31.53%711.71K122.67%953.09K-9.95%455.37K-3.09%500.66K-3.09%500.66K-39.88%541.09K-65.40%428.02K-29.38%505.71K-16.77%516.6K-16.77%516.6K
-accounts payable 105.52%711.71K298.74%953.09K43.78%455.37K-4.86%311.62K-4.86%311.62K11.33%346.3K-63.12%239.02K0.20%316.71K49.63%327.55K49.63%327.55K
-Due to related parties current --0--0--0-23.53%39-23.53%39--5.79K--0--0-97.12%51-97.12%51
-Other payable ------------0.00%189K0.00%189K-67.91%189K-67.91%189K-52.75%189K-52.75%189K-52.75%189K
Current accrued expenses 104.12%412.81K62.25%505.4K-70.42%465.62K-63.71%146.27K-63.71%146.27K-6.55%202.24K1.33%311.5K437.98%1.57M44.33%403.06K44.33%403.06K
Current debt and capital lease obligation 14.42%94.68K13.79%93.18K10.49%89.68K6.02%83.65K6.02%83.65K8.50%82.74K208.41%81.89K65.24%81.17K11.00%78.9K11.00%78.9K
-Current capital lease obligation 14.42%94.68K13.79%93.18K10.49%89.68K6.02%83.65K6.02%83.65K8.50%82.74K208.41%81.89K65.24%81.17K11.00%78.9K11.00%78.9K
Current liabilities 47.59%1.22M88.90%1.55M-53.23%1.01M-26.84%730.58K-26.84%730.58K-30.74%826.07K-47.72%821.41K104.28%2.16M2.84%998.56K2.84%998.56K
Non current liabilities
Long term debt and capital lease obligation -97.56%2.17K-76.54%25.65K-60.81%50.7K-55.56%66.91K-55.56%66.91K-48.30%88.78K2,248.59%109.33K2,004.41%129.36K1,938.65%150.55K1,938.65%150.55K
-Long term capital lease obligation -97.56%2.17K-76.54%25.65K-60.81%50.7K-55.56%66.91K-55.56%66.91K-48.30%88.78K2,248.59%109.33K2,004.41%129.36K1,938.65%150.55K1,938.65%150.55K
Total non current liabilities -97.56%2.17K-76.54%25.65K-60.81%50.7K-55.56%66.91K-55.56%66.91K-48.30%88.78K2,248.59%109.33K2,004.41%129.36K1,938.65%150.55K1,938.65%150.55K
Total liabilities 33.51%1.22M69.47%1.58M-53.66%1.06M-30.60%797.48K-30.60%797.48K-32.95%914.85K-40.93%930.74K115.26%2.29M17.45%1.15M17.45%1.15M
Shareholders'equity
Share capital -86.78%327-88.35%287-88.39%28661.25%12961.25%12954.56%2.47K54.71%2.46K54.61%2.46K-94.91%80-94.91%80
-common stock -86.78%327-88.35%287-88.39%28661.25%12961.25%12954.56%2.47K54.71%2.46K54.61%2.46K-94.91%80-94.91%80
Retained earnings -15.80%-84.49M-14.42%-81.11M-14.39%-78.1M-17.31%-75.37M-17.31%-75.37M-42.41%-72.96M-56.77%-70.88M-70.46%-68.27M-74.48%-64.25M-74.48%-64.25M
Paid-in capital 10.05%88.51M8.82%87.43M10.89%87.28M12.00%80.66M12.00%80.66M16.95%80.43M22.48%80.34M23.78%78.71M15.59%72.02M15.59%72.02M
Less: Treasury stock 0.00%300K0.00%300K0.00%300K0.00%300K0.00%300K0.00%300K0.00%300K0.00%300K--300K--300K
Total stockholders'equity -48.09%3.72M-34.24%6.02M-12.41%8.88M-33.22%4.99M-33.22%4.99M-58.42%7.17M-54.39%9.16M-56.35%10.14M-70.69%7.47M-70.69%7.47M
Total equity -48.09%3.72M-34.24%6.02M-12.41%8.88M-33.22%4.99M-33.22%4.99M-58.42%7.17M-54.39%9.16M-56.35%10.14M-70.69%7.47M-70.69%7.47M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
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