Breakdown | |||||
TTM | Dec 2023 | Dec 2022 | Dec 2021 | Dec 2020 | Dec 2019 |
---|---|---|---|---|---|
Income Statement | Total Revenue | ||||
981.14K | 2.16M | 6.69M | 4.60M | 1.71M | 2.31M | Gross Profit |
-1.64M | 358.70K | 2.61M | 2.99M | 1.43M | 1.71M | EBIT |
-9.60M | -7.49M | -14.17M | -10.27M | -4.36M | -4.58M | EBITDA |
-9.99M | -5.82M | -12.59M | -9.52M | -7.16M | -5.66M | Net Income Common Stockholders |
-12.15M | -9.74M | -14.92M | -12.17M | -5.72M | -4.59M |
Balance Sheet | Cash, Cash Equivalents and Short-Term Investments | ||||
29.01K | 34.01K | 73.19K | 449.00K | 457.80K | 46.54K | Total Assets |
1.34M | 10.13M | 15.56M | 16.47M | 5.69M | 6.93M | Total Debt |
218.21K | 9.18M | 9.04M | 7.07M | 2.08M | 132.28K | Net Debt |
189.20K | 9.15M | 8.97M | 6.62M | 1.62M | 85.74K | Total Liabilities |
217.77K | 11.13M | 12.86M | 10.86M | 2.44M | 564.67K | Stockholders Equity |
1.12M | -1.00M | 2.70M | 5.62M | 3.26M | 6.37M |
Cash Flow | Free Cash Flow | ||||
246.61K | -1.32M | -3.95M | -8.04M | -2.00M | -4.07M | Operating Cash Flow |
246.61K | -1.30M | -3.95M | -7.32M | -1.95M | -2.41M | Investing Cash Flow |
-9.97K | -84.63K | 0.00 | -860.79K | -25.25K | -1.66M | Financing Cash Flow |
-259.94K | 1.35M | 3.57M | 8.17M | 2.38M | 3.31M |
Can B Corp. underwent a holding company reorganization with Nascent Pharma Holdings, Inc. on October 25, 2024, converting all Can B stock into Nascent stock without tax implications for shareholders. The merger, executed under Florida law, transferred Can B’s assets and operations to Nascent, which now registers its shares under the Securities Exchange Act. While a new trading symbol is pending approval from FINRA, Can B’s equity compensation plans have been adjusted to reflect the transition to Nascent.