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180 Life Sciences Corp

ATNF

3.180USD

-0.360-10.17%
Close 08/04, 16:00ETQuotes delayed by 15 min
19.20MMarket Cap
LossP/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
17.39%-853.72K
55.99%-950.66K
87.40%-223.66K
123.33%727.17K
73.30%-1.03M
26.20%-2.16M
50.63%-1.78M
11.74%-3.12M
-86.69%-3.87M
41.79%-2.93M
10.15%-3.60M
11.96%-3.53M
67.25%-2.07M
-84.14%-5.03M
-1117.95%-4.00M
-555.68%-4.01M
-3045.88%-6.33M
-834.95%-2.73M
-51.99%-328.64K
3.94%-611.76K
34.49%-201.22K
-51.47%-292.03K
19.48%-216.22K
-333.72%-636.84K
-69.62%-307.15K
29.96%-192.80K
-85.03%-268.52K
---146.83K
---181.08K
---275.28K
---145.12K
--0.00
Net income from continuing operations
-121.48%-2.37M
-248.26%-4.27M
91.85%-836.72K
100.32%11.78K
77.54%-1.07M
94.36%-1.23M
52.22%-10.27M
-225.21%-3.68M
-404.54%-4.76M
-2198.24%-21.74M
-217.44%-21.49M
112.53%2.94M
109.65%1.56M
155.09%1.04M
646.28%18.30M
-331.52%-23.46M
-7350.67%-16.20M
-547.98%-1.88M
-15271.01%-3.35M
-50097.49%-5.44M
-193.88%-217.41K
-186.32%-290.27K
-106.82%-21.79K
-105.13%-10.83K
33.52%231.59K
428.64%336.30K
521.03%319.61K
--211.18K
654.89%173.46K
--63.62K
--51.47K
---31.26K
Operating gains losses
----
6636.73%1.53M
-99.85%13.85K
-16.00%23.98K
8.29%23.58K
-99.87%22.66K
-51.83%9.10M
-22.75%28.55K
-17.72%21.77K
107313.85%18.05M
53922.39%18.88M
25.20%36.96K
-7.69%26.46K
-86.59%16.81K
--34.95K
--29.52K
--28.67K
--125.33K
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Deferred tax
----
-6177.74%-292.42K
----
----
----
99.51%-4.66K
---2.35M
----
100.00%0.00
-11374.55%-942.75K
100.00%0.00
500.79%22.33K
-313.33%-22.33K
59.78%-8.22K
---5.61K
---5.57K
---5.40K
---20.43K
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Other non-cash items
-97.99%4.75K
-93.97%30.21K
-97.18%16.46K
-95.95%22.31K
-57.65%236.06K
-20.52%501.41K
-4.49%583.99K
-30.66%551.31K
-6.55%557.42K
133.04%630.85K
29.12%611.46K
-41.88%795.05K
-39.29%596.47K
11.09%-1.91M
-67.42%473.56K
-28.38%1.37M
--982.49K
---2.15M
--1.45M
--1.91M
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Change in working capital
519.65%937.92K
134.55%509.78K
-43.48%620.04K
39130.56%826.28K
-161.01%-223.50K
-174.13%-1.48M
616.53%1.10M
-102.51%-2.12K
-57.44%366.32K
242.17%1.99M
70.43%-212.39K
106.07%84.23K
116.24%860.67K
-268.08%-1.40M
-146.30%-718.35K
-574.23%-1.39M
-10357.60%-5.30M
391.05%832.85K
2450.97%1.55M
208.34%292.57K
-3.53%51.68K
63.83%169.60K
248.84%60.82K
-311.92%-270.04K
62.58%53.57K
258.03%103.53K
-129.76%-40.87K
--127.43K
5.41%32.95K
---65.51K
--137.32K
--31.26K
-Change in receivables
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100.00%0.00
--0.00
--0.00
--0.00
---217.94K
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-Change in prepaid expenses
-47.28%253.33K
146.11%431.49K
-0.74%206.89K
18.19%756.05K
13.09%480.53K
-195.29%-935.75K
117.79%208.43K
140.76%639.69K
230.72%424.91K
205.17%981.96K
-41.12%95.70K
200.63%265.69K
4.97%-325.06K
-325.73%-933.72K
113.94%162.55K
-665.76%-264.03K
-956.51%-342.05K
-1275.05%-219.32K
3133.19%75.98K
-22.57%-34.48K
-221.88%-32.38K
-165.83%-15.95K
-92.03%2.35K
-845.61%-28.13K
-14.57%-10.06K
356.07%24.23K
1244.87%29.47K
---2.98K
---8.78K
---9.46K
---2.57K
--0.00
-Change in payables and accrued expense
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-1136.31%-1.89M
4729.14%1.32M
1154.72%492.32K
611.00%78.75K
493.26%182.06K
-73.57%27.24K
-571.34%-46.68K
119.55%11.08K
152.45%30.69K
1982.08%103.08K
---6.95K
-281.20%-56.64K
---58.51K
--4.95K
--31.26K
-Change in other current assets
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--0.00
--163.80K
---163.80K
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----
-Change in other current liabilities
----
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--0.00
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Cash from non-recurring investing activities
Cash from operating activities
17.39%-853.72K
55.99%-950.66K
87.40%-223.66K
123.33%727.17K
73.30%-1.03M
26.20%-2.16M
50.63%-1.78M
11.74%-3.12M
-86.69%-3.87M
41.79%-2.93M
10.15%-3.60M
11.96%-3.53M
67.25%-2.07M
-84.14%-5.03M
-1117.95%-4.00M
-555.68%-4.01M
-3045.88%-6.33M
-834.95%-2.73M
-51.99%-328.64K
3.94%-611.76K
34.49%-201.22K
-51.47%-292.03K
19.48%-216.22K
-333.72%-636.84K
-69.62%-307.15K
29.96%-192.80K
-85.03%-268.52K
---146.83K
---181.08K
---275.28K
---145.12K
--0.00
Investing cash flow
Net cash flow from investment products
----
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----
----
----
----
----
----
----
----
----
----
----
----
----
----
228.23%276.45K
56.56%-187.31K
---22.29K
---66.86K
---215.58K
---431.16K
----
----
--0.00
--0.00
--0.00
----
--0.00
--0.00
----
Net cash flow from other investing activities
----
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----
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----
----
----
----
----
----
----
----
----
----
-67.84%12.60M
2594.84%1.16M
-95.62%728.88K
-100.00%0.00
27057.32%39.18M
-81.08%43.07K
37641.98%16.65M
90067.47%53.00M
-35.88%144.27K
--227.69K
--44.13K
--58.78K
--225.00K
----
--0.00
Cash from non-current investing activities
Net cash flow from investing activities
----
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----
----
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----
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----
-66.95%12.88M
350.81%973.39K
-95.76%706.60K
-100.13%-66.86K
26907.89%38.97M
-270.45%-388.09K
37641.98%16.65M
90067.47%53.00M
-35.88%144.27K
--227.69K
--44.13K
--58.78K
--225.00K
--0.00
--0.00
Financing cash flow
Cash flow from continuous financing activities
98.74%-3.32K
243.45%5.04M
-119.45%-476.06K
-110.76%-264.91K
43.72%-264.39K
-77.04%1.47M
-55.41%2.45M
598.09%2.46M
8.85%-469.81K
312.88%6.40M
-60.03%5.49M
-116.31%-494.34K
-104.97%-515.42K
118.51%1.55M
1423.46%13.73M
-134.25%-228.53K
214356.50%10.36M
78.52%-8.37M
-177.99%-1.04M
104.16%667.23K
100.01%4.83K
-19408.48%-38.96M
7765.02%1.33M
-5348.11%-16.04M
-155562.86%-52.83M
-894.28%-199.72K
-19.63%16.91K
--305.67K
--33.98K
--25.14K
--21.04K
--0.00
Net cash flow from debt Issuance/repayment
98.75%-3.32K
-147.00%-327.64K
-84.78%-476.06K
-2.78%-264.91K
43.62%-264.88K
-20.83%697.11K
46.57%-257.63K
47.86%-257.73K
8.85%-469.81K
-43.15%880.56K
-219.07%-482.22K
-116.31%-494.34K
-39.86%-515.42K
230.55%1.55M
-222.53%-151.13K
-116.37%-228.53K
-7726.90%-368.53K
-2045.14%-1.19M
-80.52%123.35K
221.44%1.40M
-90.29%4.83K
--61.00K
--633.13K
--434.33K
--49.77K
--0.00
--0.00
--0.00
----
--0.00
--0.00
----
Net cash flow from common stock issuance/repurchase
----
209.69%2.57M
----
----
----
-84.94%830.77K
-62.70%2.42M
--3.00M
----
--5.51M
-56.67%6.50M
-100.00%0.00
-100.00%0.00
----
1392.33%15.00M
228.30%935.13K
--10.73M
77.16%-8.93M
---1.16M
95.58%-728.88K
100.00%0.00
---39.12M
--0.00
---16.48M
---52.83M
--0.00
--0.00
--0.00
----
--0.00
--0.00
----
Proceeds from issuance of warrants
----
850336.47%2.80M
-100.00%0.00
-100.00%0.00
--489.00
27.52%329.00
-57.42%66.00
--117.00
----
--258.00
--155.00
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Net cash flow from other financing activities
----
4399.02%2.57M
----
----
----
---59.85K
152.83%279.99K
---279.99K
----
--0.00
52.68%-529.98K
----
----
-100.00%0.00
---1.12M
---935.13K
----
1686.24%1.75M
----
----
100.00%0.00
149.11%98.08K
4021.14%696.93K
-100.00%0.00
-260.43%-54.52K
-894.28%-199.72K
-19.63%16.91K
--305.67K
--33.98K
--25.14K
--21.04K
--0.00
Net cash from non-recurrent financing activities
Net cash from financing activities
98.74%-3.32K
243.45%5.04M
-119.45%-476.06K
-110.76%-264.91K
43.72%-264.39K
-77.04%1.47M
-55.41%2.45M
598.09%2.46M
8.85%-469.81K
312.88%6.40M
-60.03%5.49M
-116.31%-494.34K
-104.97%-515.42K
118.51%1.55M
1423.46%13.73M
-134.25%-228.53K
214356.50%10.36M
78.52%-8.37M
-177.99%-1.04M
104.16%667.23K
100.01%4.83K
-19408.48%-38.96M
7765.02%1.33M
-5348.11%-16.04M
-155562.86%-52.83M
-894.28%-199.72K
-19.63%16.91K
--305.67K
--33.98K
--25.14K
--21.04K
--0.00
Net cash flow
Beginning cash balance
132.07%4.59M
-92.68%194.92K
-42.93%1.15M
-74.45%675.98K
-71.65%1.98M
-25.81%2.66M
23.59%2.01M
-53.32%2.65M
-15.25%6.97M
-69.30%3.59M
-11.46%1.63M
-6.34%5.67M
290.06%8.22M
6063.61%11.69M
75.58%1.84M
2035.85%6.05M
285.73%2.11M
-77.32%189.63K
847.90%1.05M
110.50%283.39K
101.80%546.64K
61.04%836.03K
-79.69%110.29K
-60.41%134.63K
-36.77%270.88K
14.47%519.13K
-5.98%543.05K
--340.09K
537.02%428.39K
--453.53K
--577.61K
--67.25K
Current period cash flow changes
33.79%-860.61K
739.30%4.39M
-245.49%-951.37K
173.77%470.31K
69.94%-1.30M
-120.31%-686.72K
-66.69%653.91K
84.23%-637.58K
-69.19%-4.32M
197.64%3.38M
-80.07%1.96M
4.12%-4.04M
-164.79%-2.56M
-280.48%-3.46M
2609.46%9.85M
-653.39%-4.22M
1598.36%3.94M
763.07%1.92M
-154.10%-392.60K
3231.59%762.07K
-93.20%-263.24K
-16.58%-289.40K
3133.91%725.74K
-111.99%-24.34K
-54.30%-136.26K
-887.62%-248.25K
80.72%-23.92K
--202.97K
---88.31K
---25.14K
---124.08K
--0.00
Effect of exchange rate changes
-77.57%-3.57K
5938.12%297.80K
-1323.89%-251.64K
-52.63%8.05K
-112.75%-2.01K
105.64%4.93K
-124.52%-17.67K
195.47%16.99K
-51.84%15.78K
-675.75%-87.46K
-42.78%72.08K
-179.12%-17.80K
137.15%32.76K
-89.17%15.19K
--125.96K
--22.50K
---88.17K
--140.31K
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Ending cash balance
450.98%3.72M
132.07%4.59M
-92.68%194.92K
-42.93%1.15M
-74.45%675.98K
-71.65%1.98M
-25.81%2.66M
23.59%2.01M
-53.32%2.65M
-15.25%6.97M
-69.30%3.59M
-11.46%1.63M
-6.34%5.67M
290.06%8.22M
1690.23%11.69M
75.58%1.84M
2035.85%6.05M
285.73%2.11M
-21.91%652.87K
847.90%1.05M
110.50%283.39K
101.80%546.64K
61.04%836.03K
-79.69%110.29K
-60.41%134.63K
-36.77%270.88K
14.47%519.13K
--543.05K
405.71%340.09K
--428.39K
--453.53K
--67.25K
Free cash flow
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----
----
----
----
----
-834.95%-2.73M
-51.99%-328.64K
3.94%-611.76K
34.49%-201.22K
-51.47%-292.03K
19.48%-216.22K
-333.72%-636.84K
-69.62%-307.15K
29.96%-192.80K
-85.03%-268.52K
---146.83K
---181.08K
---275.28K
---145.12K
--0.00
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