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CTXR Citius Pharmaceuticals Inc

0.71
0.003 (0.42%)
04 May 2024 - Closed
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Quarter End Jun 2021Sep 2021Dec 2021Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023
USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)
Total Assets 146.59M142.43M137.52M114M111.71M104.24M110.41M103.61M
Total Current Assets 116.94M72.81M67.95M44.57M42.32M34.9M41.11M34.37M
Cash and Equivalents 115.66M70.07M65.42M41.71M36.89M29.07M33.28M26.48M
Total Non-Current Assets 29.66M69.62M69.57M69.43M69.39M69.34M69.29M69.24M
Total Liabilities 9.31M9.65M12.96M10.57M10.67M12.43M12.11M12.18M
Total Current Liabilities 3.6M3.98M7.34M4.53M4.54M6.21M5.79M5.78M
Total Non-Current Liabilities 5.71M5.66M5.62M6.04M6.13M6.22M6.31M6.4M
Common Equity 146k146k146k146k146k146k159k158k
Retained Earnings -91.09M-96.05M-105.27M-129.69M-133.28M-143.81M-152.29M-162.23M
Year End 30 September 2023 20162017201820192020202120222023
USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)
Total Assets 21.95M24.42M31.05M28.99M43.77M142.43M114M103.61M
Total Current Assets 892k3.42M10.06M7.94M13.98M72.81M44.57M34.37M
Cash and Equivalents 294k3.2M9.18M7.89M13.86M70.07M41.71M26.48M
Total Non-Current Assets 16.77M21.95M27.87M24.38M33.67M132.78M103.43M91.43M
Total Liabilities 5.18M2.47M3.19M4.61M10.1M9.65M10.57M12.18M
Total Current Liabilities 5.18M2.47M3.19M4.61M4.1M3.98M4.53M5.78M
Total Non-Current Liabilities 00006.17M5.66M6.04M6.4M
Total Equity 16.77M21.95M27.87M24.38M33.67M132.78M103.43M91.43M
Common Equity 73k8k16k29k56k146k146k158k
Retained Earnings -17.34M-27.72M-40.26M-55.82M-70.59M-96.05M-129.69M-162.23M

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