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Bright Minds Biosciences Inc

DRUG
82.120USD
-2.540-3.00%
Close 12/26, 16:00ETQuotes delayed by 15 min
627.05MMarket Cap
LossP/E TTM
You can check out the annual or quarterly balance sheets of Bright Minds Biosciences Inc here to evaluate the financial health, analyze fundamentals, and calculate key ratios for liquidity, leverage, and return on equity.
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
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FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
Total equity
Cash, cash equivalents and short-term investments
1420.07%60.58M
724.01%37.19M
814.76%39.90M
711.42%40.80M
-21.78%3.99M
-25.28%4.51M
-39.28%4.36M
-39.91%5.03M
-40.65%5.09M
-10.70%6.04M
-19.55%7.18M
-29.55%8.37M
-44.45%8.58M
-61.26%6.76M
-57.68%8.93M
612.20%11.88M
--15.45M
--17.46M
--21.10M
--1.67M
- Cash and cash equivalents
1420.07%60.58M
724.01%37.19M
814.76%39.90M
711.42%40.80M
-21.78%3.99M
-25.28%4.51M
-39.28%4.36M
-39.91%5.03M
-40.65%5.09M
-10.70%6.04M
-19.55%7.18M
-29.55%8.37M
-44.45%8.58M
-61.26%6.76M
-57.68%8.93M
612.20%11.88M
--15.45M
--17.46M
--21.10M
--1.67M
Receivables
338.33%153.38K
1470.09%197.33K
-58.85%167.37K
41.01%47.23K
25.33%34.99K
-83.68%12.57K
1541.69%406.77K
-24.30%33.49K
-75.72%27.92K
2.03%77.03K
-84.73%24.78K
-62.38%44.24K
33.52%115.00K
21.99%75.50K
432.66%162.27K
29642.77%117.61K
--86.13K
--61.89K
--30.46K
--395.41
-Other receivables
----
--113.97K
-67.98%127.49K
----
----
----
--398.17K
----
-100.00%0.00
-100.00%0.00
-100.00%0.00
--0.00
--30.46K
--25.05K
6033.48%24.92K
----
----
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--406.23
--395.41
Prepaid expenses
378.27%721.84K
1105.78%512.73K
2454.74%287.63K
662.20%181.77K
621.89%150.93K
-59.62%42.52K
-91.52%11.26K
-79.80%23.85K
-82.78%20.91K
67.53%105.31K
100.31%132.82K
5.69%118.05K
-7.72%121.39K
-38.15%62.86K
-68.36%66.31K
137.06%111.69K
--131.54K
--101.64K
--209.59K
--47.11K
Other current assets
--148.44K
--0.00
--0.00
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Total current assets
1376.85%61.60M
729.61%37.90M
744.28%40.35M
706.77%41.03M
-18.90%4.17M
-26.58%4.57M
-34.89%4.78M
-40.39%5.09M
-41.69%5.14M
-9.85%6.22M
-19.84%7.34M
-29.55%8.53M
-43.71%8.82M
-60.84%6.90M
-57.08%9.16M
598.47%12.11M
--15.67M
--17.63M
--21.34M
--1.73M
Non-current assets
Net Fixed Assets
-0.20%81.81K
960.24%93.35K
398.85%110.72K
247.26%124.72K
63.48%81.97K
-85.98%8.80K
-70.88%22.20K
-60.15%35.92K
-51.09%50.14K
--62.80K
--76.23K
--90.13K
--102.51K
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Goodwill and other intangible assets
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-100.00%0.00
----
-6.08%1.56K
-0.65%1.57K
--1.56K
--1.59K
--1.66K
--1.58K
Other non-current assets
--0.00
--0.00
--0.00
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Total non-current assets
----
960.24%93.35K
398.85%110.72K
247.26%124.72K
63.48%81.97K
-85.98%8.80K
-70.88%22.20K
-60.15%35.92K
-51.09%50.14K
3910.84%62.80K
4794.84%76.23K
5635.63%90.13K
6454.63%102.51K
-1.35%1.57K
-6.08%1.56K
-0.65%1.57K
--1.56K
--1.59K
--1.66K
--1.58K
Total assets
1350.31%61.68M
730.06%38.00M
742.68%40.47M
703.55%41.15M
-18.11%4.25M
-27.18%4.58M
-35.26%4.80M
-40.59%5.12M
-41.79%5.19M
-8.96%6.29M
-19.02%7.42M
-28.81%8.62M
-43.06%8.92M
-60.83%6.90M
-57.08%9.16M
597.93%12.11M
--15.67M
--17.63M
--21.34M
--1.74M
Liabilities
Current liabilities
-Other payables
--30.14K
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Accrued expenses
1257.80%394.96K
5.88%11.58K
-12.28%6.45K
--10.73K
54.11%29.09K
--10.94K
-98.55%7.35K
-100.00%0.00
-83.84%18.88K
--0.00
7401.61%508.17K
1745.84%101.52K
255.54%116.77K
--0.00
--6.77K
--5.50K
--32.84K
--0.00
--0.00
--0.00
Short-term debt and lease liabilities
11.67%61.76K
453.73%56.59K
118.18%55.71K
26.20%51.20K
-0.40%55.31K
-82.23%10.22K
-53.27%25.54K
-22.25%40.57K
10.74%55.53K
--57.50K
--54.65K
--52.18K
--50.15K
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-Short-term lease liabilities
11.67%61.76K
453.73%56.59K
118.18%55.71K
26.20%51.20K
-0.40%55.31K
-82.23%10.22K
-53.27%25.54K
-22.25%40.57K
10.74%55.53K
--57.50K
--54.65K
--52.18K
--50.15K
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Other current liabilities
--30.14K
----
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Total current liabilities
371.44%1.74M
236.19%437.89K
-16.25%520.83K
-48.80%325.22K
73.71%368.34K
-75.68%130.25K
-16.75%621.86K
61.14%635.16K
-80.49%212.05K
77.53%535.55K
-4.40%746.96K
2.47%394.16K
117.69%1.09M
17.74%301.67K
130.30%781.37K
243.57%384.66K
--499.35K
--256.22K
--339.28K
--111.96K
Non-current liabilities
Long-term debt and lease liabilities
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
Total non-current liabilities
----
--45.48K
--63.67K
--77.56K
--27.57K
----
----
-100.00%0.00
-100.00%0.00
--10.41K
--25.79K
--40.73K
--53.14K
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Total liabilities
338.61%1.74M
271.11%483.38K
-16.25%520.83K
-36.59%402.78K
86.71%395.92K
-76.14%130.25K
-19.53%621.86K
46.05%635.16K
-81.40%212.05K
80.98%545.96K
-1.10%772.76K
13.06%434.89K
128.33%1.14M
17.74%301.67K
130.30%781.37K
243.57%384.66K
--499.35K
--256.22K
--339.28K
--111.96K
Shareholders' equity
Common equity
238.20%93.98M
135.98%68.27M
129.50%66.64M
122.35%64.92M
-3.51%27.79M
3.16%28.93M
4.24%29.04M
4.38%29.20M
12.37%28.80M
20.87%28.04M
22.03%27.86M
22.67%27.97M
14.42%25.63M
3.42%23.20M
-2.25%22.83M
779.52%22.80M
--22.40M
--22.43M
--23.35M
--2.59M
Retained earnings
-42.21%-34.03M
-25.62%-30.76M
-7.39%-26.69M
2.19%-24.17M
-0.48%-23.93M
-9.77%-24.48M
-17.18%-24.86M
-24.89%-24.71M
-33.46%-23.82M
-34.29%-22.30M
-46.81%-21.21M
-79.02%-19.79M
-147.80%-17.85M
-229.95%-16.61M
-520.30%-14.45M
-1039.84%-11.05M
---7.20M
---5.03M
---2.33M
---969.67K
Capital reserves
26.30%3.93M
-5.36%3.19M
-32.07%2.22M
-30.19%2.19M
-2.68%3.11M
18.57%3.37M
22.45%3.27M
10.70%3.14M
74.52%3.19M
48.55%2.85M
59.54%2.67M
95.27%2.83M
49.56%1.83M
97.97%1.92M
117.96%1.67M
556.76%1.45M
--1.22M
--967.74K
--767.33K
--220.89K
Total equity
1454.16%59.95M
743.50%37.51M
855.58%39.94M
808.34%40.75M
-22.57%3.86M
-22.52%4.45M
-37.09%4.18M
-45.20%4.49M
-35.99%4.98M
-13.07%5.74M
-20.69%6.64M
-30.18%8.19M
-48.70%7.78M
-61.99%6.60M
-60.11%8.38M
622.37%11.72M
--15.17M
--17.37M
--21.00M
--1.62M
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