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TXMD TherapeuticsMD Inc

2.11
-0.02 (-0.94%)
01 Jun 2024 - Closed
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Quarter End Mar 2022Jun 2022Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023
USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)
Total Assets 133.38M146.2M133.91M90.46M59.6M53.69M50.49M43.31M
Total Current Assets 84.42M98.6M87.48M55.35M24.74M19.61M17.44M11.8M
Cash and Equivalents 30.38M26.3M27.08M38.07M17.25M13.73M10.17M4.33M
Total Non-Current Assets 50.04M48.31M46.98M35.19M34.92M34.12M33.07M31.51M
Total Liabilities 273.96M172.27M182.18M55.32M27.58M22.49M22.44M14.02M
Total Current Liabilities 264.84M163.99M174.07M46.84M19.34M14.36M14.51M6.85M
Total Non-Current Liabilities 9.13M8.28M8.11M8.48M8.24M8.13M7.93M7.17M
Common Equity 9k9k9k9k10k11k11k11k
Retained Earnings -1.1B-988.1M-1.02B-939.36M-942.97M-945.38M-948.76M-949.64M
Year End 31 December 2023 20162017201820192020202120222023
USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)
Total Assets 142.47M143.23M211.98M265.99M181.61M169.47M90.46M43.31M
Total Current Assets 139.41M139.55M186.78M208.42M128.4M119.47M55.35M11.8M
Cash and Equivalents 131.53M127.14M161.61M160.83M80.49M65.12M38.07M4.33M
Total Non-Current Assets 127.49M129.91M97.52M9.2M-124M-93.62M35.14M29.29M
Total Liabilities 14.98M13.32M114.46M256.79M305.61M263.09M55.32M14.02M
Total Current Liabilities 14.98M13.32M41.08M53.01M59.24M252.89M46.84M6.85M
Total Non-Current Liabilities 00146.76M398.42M484.07M10.2M8.48M7.17M
Total Equity 127.49M129.91M97.52M9.2M-124M-93.62M35.14M29.29M
Common Equity 197k216k240k271k300k430k9k11k
Retained Earnings -309.7M-386.66M-519.28M-695.42M-878.95M-1.05B-939.36M-949.64M