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AVTX Avalo Therapeutics

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  • 7.0300
  • -0.4800-6.39%
Close Jan 8 16:00 ET
73.56MMarket Cap0.07P/E (TTM)

Avalo Therapeutics 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
704.11%81.86M
1,381.31%93.43M
560.26%110.18M
-43.71%7.42M
-43.71%7.42M
-39.92%10.18M
-43.93%6.31M
-56.62%16.69M
-75.87%13.17M
-75.87%13.17M
-Cash and cash equivalents
704.11%81.86M
1,381.31%93.43M
560.26%110.18M
-43.71%7.42M
-43.71%7.42M
-39.92%10.18M
-43.93%6.31M
-56.62%16.69M
-75.87%13.17M
-75.87%13.17M
Receivables
-35.11%998K
-25.00%33K
-95.92%35K
-92.91%136K
-92.91%136K
17.05%1.54M
-97.62%44K
-64.04%857K
-60.01%1.92M
-60.01%1.92M
-Accounts receivable
----
----
----
----
----
----
-93.01%38K
----
----
----
-Other receivables
-35.11%998K
450.00%33K
-95.92%35K
-92.91%136K
-92.91%136K
17.05%1.54M
-99.54%6K
-40.69%857K
-48.68%1.92M
-48.68%1.92M
Inventory
----
----
----
--0
--0
--0
-21.74%18K
-24.00%19K
-47.37%20K
-47.37%20K
Restricted cash
4,000.00%41K
--0
-93.65%4K
-93.33%1K
-93.33%1K
-98.11%1K
7.14%15K
-37.00%63K
-70.59%15K
-70.59%15K
Other current assets
245.85%3.25M
114.54%2.44M
-38.72%997K
-34.65%843K
-34.65%843K
-15.92%940K
-39.79%1.14M
-39.34%1.63M
-45.62%1.29M
-45.62%1.29M
Total current assets
580.53%86.15M
1,175.36%95.89M
477.64%111.21M
-48.86%8.4M
-48.86%8.4M
-34.92%12.66M
-49.94%7.52M
-55.90%19.25M
-73.46%16.42M
-73.46%16.42M
Non current assets
Net PPE
-19.17%1.67M
-18.20%1.78M
-22.93%1.88M
-18.50%1.97M
-18.50%1.97M
-17.39%2.07M
-15.23%2.18M
-6.22%2.44M
-10.54%2.41M
-10.54%2.41M
-Gross PPE
----
----
----
-11.26%2.51M
-11.26%2.51M
----
----
----
-5.23%2.83M
-5.23%2.83M
-Accumulated depreciation
----
----
----
-30.92%-542K
-30.92%-542K
----
----
----
-44.76%-414K
-44.76%-414K
Goodwill and other intangible assets
-27.11%10.5M
-27.11%10.5M
-27.11%10.5M
-27.11%10.5M
-27.11%10.5M
0.00%14.41M
0.00%14.41M
0.00%14.41M
-0.26%14.41M
-0.26%14.41M
-Goodwill
-27.11%10.5M
-27.11%10.5M
-27.11%10.5M
-27.11%10.5M
-27.11%10.5M
0.00%14.41M
0.00%14.41M
0.00%14.41M
0.00%14.41M
0.00%14.41M
Other non current assets
0.00%131K
0.00%131K
0.00%131K
0.00%131K
0.00%131K
-27.62%131K
-42.29%131K
-89.32%131K
-89.32%131K
-89.32%131K
Total non current assets
-25.91%12.31M
-25.74%12.41M
-26.30%12.52M
-25.68%12.6M
-25.68%12.6M
-2.84%16.61M
-2.83%16.72M
-6.90%16.98M
-7.72%16.95M
-7.72%16.95M
Total assets
236.37%98.46M
346.90%108.31M
241.46%123.73M
-37.08%20.99M
-37.08%20.99M
-19.91%29.27M
-24.79%24.24M
-41.46%36.24M
-58.40%33.37M
-58.40%33.37M
Liabilities
Current liabilities
Payables
160.08%2.05M
-12.92%654K
-83.54%916K
-86.84%446K
-86.84%446K
-45.47%789K
-69.30%751K
32.59%5.57M
-9.46%3.39M
-9.46%3.39M
-accounts payable
129.53%1.81M
-12.92%654K
-83.54%916K
-84.52%446K
-84.52%446K
-45.47%789K
-65.30%751K
48.12%5.57M
-14.46%2.88M
-14.46%2.88M
-Other payable
--241K
----
----
----
----
----
----
----
35.47%508K
35.47%508K
Current accrued expenses
-4.28%4.05M
-24.49%4.93M
8.66%6.09M
-66.04%3.06M
-66.04%3.06M
-58.50%4.23M
-28.25%6.53M
-33.24%5.6M
-20.68%9M
-20.68%9M
Current debt and capital lease obligation
2.61%550K
-96.26%548K
-94.46%545K
-91.69%537K
-91.69%537K
-82.65%536K
2,695.80%14.65M
1,782.95%9.83M
1,232.37%6.46M
1,232.37%6.46M
-Current debt
----
----
----
----
----
----
--14.12M
--9.3M
--5.93M
--5.93M
-Current capital lease obligation
2.61%550K
2.43%548K
2.25%545K
0.94%537K
0.94%537K
1.90%536K
2.10%535K
2.11%533K
9.69%532K
9.69%532K
Current deferred liabilities
----
----
----
--0
--0
--0
--0
--111K
--88K
--88K
Other current liabilities
--51.83M
--87.86M
1,595,292.31%207.4M
----
----
----
----
225.00%13K
5,233.33%480K
5,233.33%480K
Current liabilities
910.39%60.67M
329.31%96.4M
827.94%215.7M
-79.12%4.62M
-79.12%4.62M
-66.91%6.01M
45.85%22.45M
29.91%23.25M
11.19%22.11M
11.19%22.11M
Non current liabilities
Long term debt and capital lease obligation
----
----
----
----
----
----
----
-68.45%10.47M
-58.93%13.49M
-58.93%13.49M
-Long term debt
----
----
----
----
----
----
----
-68.45%10.47M
-58.93%13.49M
-58.93%13.49M
Non current deferred liabilities
-6.10%154K
7.69%168K
9.46%162K
9.93%155K
9.93%155K
23.31%164K
21.88%156K
21.31%148K
24.78%141K
24.78%141K
Derivative product liabilities
138.59%11.81M
112.08%10.71M
13.17%5.67M
14.91%5.55M
14.91%5.55M
--4.95M
--5.05M
--5.01M
--4.83M
--4.83M
Preferred securities outside stock equity
--1.66M
--11.46M
----
----
----
----
----
----
----
----
Other non current liabilities
-10.79%3.08M
-10.19%3.18M
-9.59%3.28M
-9.30%3.37M
-9.30%3.37M
-8.84%3.46M
-10.03%3.54M
-16.73%3.63M
-13.66%3.71M
-13.66%3.71M
Total non current liabilities
94.92%16.71M
191.63%25.52M
-52.68%9.11M
-59.08%9.07M
-59.08%9.07M
-58.04%8.57M
-61.59%8.75M
-48.87%19.26M
-40.48%22.17M
-40.48%22.17M
Total liabilities
430.90%77.38M
290.70%121.92M
428.95%224.81M
-69.09%13.69M
-69.09%13.69M
-62.22%14.58M
-18.26%31.2M
-23.50%42.5M
-22.49%44.28M
-22.49%44.28M
Shareholders'equity
Share capital
-94.79%10K
-92.86%1K
88,038.46%11.46M
--1K
--1K
2,033.33%192K
55.56%14K
-88.50%13K
--0
--0
-common stock
-94.79%10K
-92.86%1K
-92.31%1K
--1K
--1K
2,033.33%192K
55.56%14K
-88.50%13K
--0
--0
-Preferred stock
----
----
--11.46M
----
----
----
----
----
----
----
Retained earnings
-2.43%-334.92M
-11.26%-357.96M
-45.46%-456.42M
-10.31%-335.13M
-10.31%-335.13M
-11.21%-326.97M
-8.25%-321.74M
-10.40%-313.78M
-15.89%-303.82M
-15.89%-303.82M
Paid-in capital
4.25%355.99M
9.40%344.35M
11.83%343.88M
16.91%342.44M
16.91%342.44M
16.95%341.47M
8.07%314.76M
5.87%307.5M
2.69%292.91M
2.69%292.91M
Total stockholders'equity
43.42%21.08M
-95.26%-13.61M
-1,512.97%-101.09M
166.92%7.3M
166.92%7.3M
824.61%14.7M
-17.11%-6.97M
-198.80%-6.27M
-147.29%-10.92M
-147.29%-10.92M
Total equity
43.42%21.08M
-95.26%-13.61M
-1,512.97%-101.09M
166.92%7.3M
166.92%7.3M
824.61%14.7M
-17.11%-6.97M
-198.80%-6.27M
-147.29%-10.92M
-147.29%-10.92M
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 with Explanatory Notes
--
(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 704.11%81.86M 1,381.31%93.43M 560.26%110.18M -43.71%7.42M -43.71%7.42M -39.92%10.18M -43.93%6.31M -56.62%16.69M -75.87%13.17M -75.87%13.17M
-Cash and cash equivalents 704.11%81.86M 1,381.31%93.43M 560.26%110.18M -43.71%7.42M -43.71%7.42M -39.92%10.18M -43.93%6.31M -56.62%16.69M -75.87%13.17M -75.87%13.17M
Receivables -35.11%998K -25.00%33K -95.92%35K -92.91%136K -92.91%136K 17.05%1.54M -97.62%44K -64.04%857K -60.01%1.92M -60.01%1.92M
-Accounts receivable ---- ---- ---- ---- ---- ---- -93.01%38K ---- ---- ----
-Other receivables -35.11%998K 450.00%33K -95.92%35K -92.91%136K -92.91%136K 17.05%1.54M -99.54%6K -40.69%857K -48.68%1.92M -48.68%1.92M
Inventory ---- ---- ---- --0 --0 --0 -21.74%18K -24.00%19K -47.37%20K -47.37%20K
Restricted cash 4,000.00%41K --0 -93.65%4K -93.33%1K -93.33%1K -98.11%1K 7.14%15K -37.00%63K -70.59%15K -70.59%15K
Other current assets 245.85%3.25M 114.54%2.44M -38.72%997K -34.65%843K -34.65%843K -15.92%940K -39.79%1.14M -39.34%1.63M -45.62%1.29M -45.62%1.29M
Total current assets 580.53%86.15M 1,175.36%95.89M 477.64%111.21M -48.86%8.4M -48.86%8.4M -34.92%12.66M -49.94%7.52M -55.90%19.25M -73.46%16.42M -73.46%16.42M
Non current assets
Net PPE -19.17%1.67M -18.20%1.78M -22.93%1.88M -18.50%1.97M -18.50%1.97M -17.39%2.07M -15.23%2.18M -6.22%2.44M -10.54%2.41M -10.54%2.41M
-Gross PPE ---- ---- ---- -11.26%2.51M -11.26%2.51M ---- ---- ---- -5.23%2.83M -5.23%2.83M
-Accumulated depreciation ---- ---- ---- -30.92%-542K -30.92%-542K ---- ---- ---- -44.76%-414K -44.76%-414K
Goodwill and other intangible assets -27.11%10.5M -27.11%10.5M -27.11%10.5M -27.11%10.5M -27.11%10.5M 0.00%14.41M 0.00%14.41M 0.00%14.41M -0.26%14.41M -0.26%14.41M
-Goodwill -27.11%10.5M -27.11%10.5M -27.11%10.5M -27.11%10.5M -27.11%10.5M 0.00%14.41M 0.00%14.41M 0.00%14.41M 0.00%14.41M 0.00%14.41M
Other non current assets 0.00%131K 0.00%131K 0.00%131K 0.00%131K 0.00%131K -27.62%131K -42.29%131K -89.32%131K -89.32%131K -89.32%131K
Total non current assets -25.91%12.31M -25.74%12.41M -26.30%12.52M -25.68%12.6M -25.68%12.6M -2.84%16.61M -2.83%16.72M -6.90%16.98M -7.72%16.95M -7.72%16.95M
Total assets 236.37%98.46M 346.90%108.31M 241.46%123.73M -37.08%20.99M -37.08%20.99M -19.91%29.27M -24.79%24.24M -41.46%36.24M -58.40%33.37M -58.40%33.37M
Liabilities
Current liabilities
Payables 160.08%2.05M -12.92%654K -83.54%916K -86.84%446K -86.84%446K -45.47%789K -69.30%751K 32.59%5.57M -9.46%3.39M -9.46%3.39M
-accounts payable 129.53%1.81M -12.92%654K -83.54%916K -84.52%446K -84.52%446K -45.47%789K -65.30%751K 48.12%5.57M -14.46%2.88M -14.46%2.88M
-Other payable --241K ---- ---- ---- ---- ---- ---- ---- 35.47%508K 35.47%508K
Current accrued expenses -4.28%4.05M -24.49%4.93M 8.66%6.09M -66.04%3.06M -66.04%3.06M -58.50%4.23M -28.25%6.53M -33.24%5.6M -20.68%9M -20.68%9M
Current debt and capital lease obligation 2.61%550K -96.26%548K -94.46%545K -91.69%537K -91.69%537K -82.65%536K 2,695.80%14.65M 1,782.95%9.83M 1,232.37%6.46M 1,232.37%6.46M
-Current debt ---- ---- ---- ---- ---- ---- --14.12M --9.3M --5.93M --5.93M
-Current capital lease obligation 2.61%550K 2.43%548K 2.25%545K 0.94%537K 0.94%537K 1.90%536K 2.10%535K 2.11%533K 9.69%532K 9.69%532K
Current deferred liabilities ---- ---- ---- --0 --0 --0 --0 --111K --88K --88K
Other current liabilities --51.83M --87.86M 1,595,292.31%207.4M ---- ---- ---- ---- 225.00%13K 5,233.33%480K 5,233.33%480K
Current liabilities 910.39%60.67M 329.31%96.4M 827.94%215.7M -79.12%4.62M -79.12%4.62M -66.91%6.01M 45.85%22.45M 29.91%23.25M 11.19%22.11M 11.19%22.11M
Non current liabilities
Long term debt and capital lease obligation ---- ---- ---- ---- ---- ---- ---- -68.45%10.47M -58.93%13.49M -58.93%13.49M
-Long term debt ---- ---- ---- ---- ---- ---- ---- -68.45%10.47M -58.93%13.49M -58.93%13.49M
Non current deferred liabilities -6.10%154K 7.69%168K 9.46%162K 9.93%155K 9.93%155K 23.31%164K 21.88%156K 21.31%148K 24.78%141K 24.78%141K
Derivative product liabilities 138.59%11.81M 112.08%10.71M 13.17%5.67M 14.91%5.55M 14.91%5.55M --4.95M --5.05M --5.01M --4.83M --4.83M
Preferred securities outside stock equity --1.66M --11.46M ---- ---- ---- ---- ---- ---- ---- ----
Other non current liabilities -10.79%3.08M -10.19%3.18M -9.59%3.28M -9.30%3.37M -9.30%3.37M -8.84%3.46M -10.03%3.54M -16.73%3.63M -13.66%3.71M -13.66%3.71M
Total non current liabilities 94.92%16.71M 191.63%25.52M -52.68%9.11M -59.08%9.07M -59.08%9.07M -58.04%8.57M -61.59%8.75M -48.87%19.26M -40.48%22.17M -40.48%22.17M
Total liabilities 430.90%77.38M 290.70%121.92M 428.95%224.81M -69.09%13.69M -69.09%13.69M -62.22%14.58M -18.26%31.2M -23.50%42.5M -22.49%44.28M -22.49%44.28M
Shareholders'equity
Share capital -94.79%10K -92.86%1K 88,038.46%11.46M --1K --1K 2,033.33%192K 55.56%14K -88.50%13K --0 --0
-common stock -94.79%10K -92.86%1K -92.31%1K --1K --1K 2,033.33%192K 55.56%14K -88.50%13K --0 --0
-Preferred stock ---- ---- --11.46M ---- ---- ---- ---- ---- ---- ----
Retained earnings -2.43%-334.92M -11.26%-357.96M -45.46%-456.42M -10.31%-335.13M -10.31%-335.13M -11.21%-326.97M -8.25%-321.74M -10.40%-313.78M -15.89%-303.82M -15.89%-303.82M
Paid-in capital 4.25%355.99M 9.40%344.35M 11.83%343.88M 16.91%342.44M 16.91%342.44M 16.95%341.47M 8.07%314.76M 5.87%307.5M 2.69%292.91M 2.69%292.91M
Total stockholders'equity 43.42%21.08M -95.26%-13.61M -1,512.97%-101.09M 166.92%7.3M 166.92%7.3M 824.61%14.7M -17.11%-6.97M -198.80%-6.27M -147.29%-10.92M -147.29%-10.92M
Total equity 43.42%21.08M -95.26%-13.61M -1,512.97%-101.09M 166.92%7.3M 166.92%7.3M 824.61%14.7M -17.11%-6.97M -198.80%-6.27M -147.29%-10.92M -147.29%-10.92M
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 with Explanatory Notes --
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