Peak Bio, Inc. (PKBO)

USD 0.07

(204.35%)

Annual Balance Sheets

(In USD)
Breakdown 2023 2022 2021 2020 2019
Total Assets 2.59 Million 7.52 Million 1.07 Million 10.3 Thousand 11.85 Thousand
Total Current Assets 2.37 Million 3.23 Million 459.14 Thousand 7849.05 11.07 Thousand
Cash And Short Term Investments 381.64 Thousand 654.89 Thousand 205.47 Thousand 7670.81 11.04 Thousand
Cash and Cash Equivalents 381.64 Thousand 654.89 Thousand 205.47 Thousand 7670.81 11.04 Thousand
Short Term Investments - - - - -
Net Receivables 75.19 Thousand 244.97 Thousand - - -
Inventory 1.91 Million -2575.89 Billion - - -
Other Current Assets 116.04 2575.9 Billion 253.66 Thousand 178.24 28.20
Total Non-Current Assets 222.3 Thousand 4.29 Million 619.11 Thousand 2460.60 785.94
Net PPE 153.1 Thousand 4.05 Million 380.61 Thousand 245.09 140.52
Good Will And Intangible Assets - - - - -
Good Will - - - - -
Intangible Assets - - - - -
Long-Term Investments 16.54 26.70 43.14 - -
Tax Assets - - - - -
Other Non Current Assets 69.18 Thousand 241.17 Thousand 238.45 Thousand 2215.51 645.42
Other Assets - -0.00 - -0.65 0.06
Total Liabilities 20.75 Million 15.62 Million 3.01 Million 166.98 555.45
Total Current Liabilities 20.52 Million 10.8 Million 2.79 Million 166.98 555.45
Account Payables 5.86 Million 3.61 Million 301.46 Thousand 145.43 493.75
Tax Payables - - 107.47 Thousand - -
Short Term Debt 10.72 Million 2.09 Million 1.5 Million - -
Deferred Revenue -8.83 Million 4.85 Million -1.5 Million - -
Other Current Liabilities 12.77 Million 231.3 Thousand 2.49 Million 21.55 61.69
Total Non Current Liabilities 230.65 Thousand 4.82 Million 221.57 Thousand - -
Long-Term Debt - 3.5 Million - - -
Deferred Revenue Non Current - - - - -
Deferred Tax Liabilities Non Current - - - - -
Other Non Current Liabilities 230.65 Thousand 1.31 Million 186.57 Thousand - -
Other Liabilities - - - - -
Total Equity -18.15 Million -8.09 Million -1.93 Million 10.14 Thousand 11.3 Thousand
Stock Holders Equity -18.15 Million -8.09 Million -1.93 Million 10.14 Thousand 11.3 Thousand
Common Stock 2312.00 1978.00 1716.00 13.94 Thousand 4094.30
Retained Earnings -38.17 Million -25.34 Million -8.45 Million -4771.01 -2266.29
Accumulated other comprehensive income 93.62 Thousand 29.51 Thousand 88.44 Thousand 967.18 9474.07
Common Stock Equity -18.15 Million -8.09 Million -1.93 Million 10.14 Thousand 11.3 Thousand
Capital Lease Obligation 4.43 Million 4.22 Million - - -
Total Investments 16.54 26.70 43.14 - -
Total Debt 10.72 Million 5.6 Million 1.5 Million - -
Net Debt 10.34 Million 4.94 Million 1.29 Million -7670.81 -11.04 Thousand

Balance Sheet Charts