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Gain Therapeutics Inc

GANX

1.470USD

+0.030+2.08%
Market hours ETQuotes delayed by 15 min
42.26MMarket 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
FY2020Q2
FY2020Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-6.55%-3.82M
38.97%-3.45M
-53.18%-6.08M
-14.64%-5.76M
14.96%-3.59M
-44.97%-5.66M
-20.60%-3.97M
0.59%-5.02M
-72.32%-4.22M
5.83%-3.90M
-50.03%-3.29M
-57.01%-5.05M
12.90%-2.45M
---4.15M
---2.19M
-658.41%-3.22M
-273.25%-2.81M
---424.19K
---752.82K
Net income from continuing operations
-12.85%-4.53M
20.23%-3.77M
4.93%-4.49M
-5.92%-8.14M
21.86%-4.01M
-1.06%-4.72M
-3.51%-4.72M
-51.18%-7.69M
-56.98%-5.14M
-45.17%-4.67M
2.26%-4.56M
-42.98%-5.09M
-33.55%-3.27M
---3.22M
---4.66M
-554.57%-3.56M
-319.40%-2.45M
---543.36K
---584.27K
Operating gains losses
0.64%20.66K
-9.67%21.31K
5.53%21.64K
1.75%20.59K
6.68%20.53K
30.25%23.59K
15.04%20.51K
1.09%20.24K
134.40%19.24K
212.89%18.11K
331.15%17.83K
827.76%20.02K
141.23%8.21K
--5.79K
--4.13K
-5.18%2.16K
61.97%3.40K
--2.28K
--2.10K
Other non-cash items
154.76%109.59K
508.25%553.98K
74.18%-44.18K
-462.31%-166.13K
-63.74%-200.15K
40.80%-135.70K
-426.59%-171.11K
252.60%45.85K
---122.24K
-230.49%-229.20K
-89.87%52.39K
-108.29%-30.05K
----
--175.65K
--517.00K
3151.83%362.55K
----
--11.15K
----
Change in working capital
-61.91%158.78K
54.98%-621.03K
-37071.39%-1.93M
-23.37%1.05M
-8.89%416.81K
-426.67%-1.38M
-100.61%-5.18K
624.31%1.37M
-10.39%457.47K
130.29%422.25K
-50.37%843.27K
-20.55%-261.16K
207.79%510.50K
---1.39M
--1.70M
-304.85%-216.63K
-177.52%-473.59K
--105.75K
---170.65K
-Change in receivables
----
----
----
----
----
----
----
----
----
-100.00%0.00
-100.00%0.00
----
----
--24.43K
--328.45K
203.33%169.12K
-916.14%-513.74K
---163.68K
--62.95K
-Change in prepaid expenses
-182.94%-844.48K
152.30%384.45K
-121.46%-39.33K
-201.82%-403.30K
45.47%-298.47K
-43.89%152.38K
-62.03%183.28K
17.50%396.09K
54.60%-547.30K
146.28%271.56K
-20.04%482.72K
161.13%337.09K
---1.21M
---586.78K
--603.73K
-922.01%-551.44K
----
--67.08K
----
-Change in other current assets
--927.00
84.22%-21.00K
----
----
----
12.23%-133.07K
-101.55%-2.36K
-122.93%-2.35K
77.23%-2.34K
-145.63%-151.62K
143.07%152.35K
225.49%10.26K
-27.05%-10.26K
--332.32K
---353.71K
---8.18K
---8.08K
----
----
-Change in other current liabilities
-1057.25%-111.81K
-119.59%-926.41K
76.81%-32.47K
-101.84%-30.43K
123.14%11.68K
-154.85%-421.88K
-51.52%-140.00K
655.70%1.65M
-127.70%-50.47K
25.69%769.16K
-115.74%-92.40K
-275.86%-297.54K
577.49%182.20K
--611.95K
---42.83K
275.75%169.19K
17.62%-38.16K
--45.03K
---46.32K
Cash from non-recurring investing activities
Cash from operating activities
-6.55%-3.82M
38.97%-3.45M
-53.18%-6.08M
-14.64%-5.76M
14.96%-3.59M
-44.97%-5.66M
-20.60%-3.97M
0.59%-5.02M
-72.32%-4.22M
5.83%-3.90M
-50.03%-3.29M
-57.01%-5.05M
12.90%-2.45M
---4.15M
---2.19M
-658.41%-3.22M
-273.25%-2.81M
---424.19K
---752.82K
Investing cash flow
Net cash from continuing investing activities
----
4873.68%945.00
-99.85%1.00
491.30%21.55K
----
-99.80%19.00
-98.86%650.00
-91.82%3.64K
41.15%11.04K
-15.32%9.40K
78.00%57.18K
97.98%44.55K
-72.53%7.83K
--11.10K
--32.12K
59318.42%22.50K
481.74%28.49K
---38.00
--4.90K
Capital expenditures
----
4873.68%945.00
-99.85%1.00
491.30%21.55K
----
-99.80%19.00
-98.86%650.00
-91.82%3.64K
41.15%11.04K
-15.32%9.40K
78.00%57.18K
97.98%44.55K
-72.53%7.83K
--11.10K
--32.12K
--22.50K
481.74%28.49K
----
--4.90K
Net cash flow from disposal of fixed assets
----
4873.68%945.00
-99.85%1.00
491.30%21.55K
----
-99.80%19.00
-98.86%650.00
-91.82%3.64K
41.15%11.04K
-15.32%9.40K
78.00%57.18K
97.98%44.55K
-72.53%7.83K
--11.10K
--32.12K
59318.42%22.50K
481.74%28.49K
---38.00
--4.90K
Net cash flow from investment products
----
-101.35%-42.50K
-100.00%0.00
-33.62%2.02M
42.53%3.02M
2093.62%3.14M
4115.55%1.93M
120.54%3.05M
--2.12M
--143.23K
--45.77K
---14.84M
----
----
----
----
----
----
----
Cash from non-current investing activities
Net cash flow from investing activities
----
-101.38%-43.45K
-100.00%-1.00
-34.25%2.00M
43.27%3.02M
2247.65%3.14M
17002.33%1.93M
120.45%3.05M
27026.26%2.11M
1305.89%133.83K
64.48%-11.41K
-66066.32%-14.89M
72.53%-7.83K
---11.10K
---32.12K
-59318.42%-22.50K
-481.74%-28.49K
--38.00
---4.90K
Financing cash flow
Cash flow from continuous financing activities
1744.05%2.40M
-75.81%2.31M
501.37%808.68K
356.75%10.04M
-119.47%-145.80K
44398.94%9.56M
753.38%134.47K
161115.26%2.20M
2072.16%748.91K
-121.69%-21.58K
---20.58K
100.64%1.36K
-100.09%-37.97K
---9.73K
--0.00
-1925.72%-213.79K
2915.04%41.99M
---10.55K
--1.39M
Net cash flow from debt Issuance/repayment
2.75%-22.24K
-0.89%-22.78K
-2.15%-23.12K
0.61%-22.11K
-5.83%-22.87K
-4.62%-22.58K
-9.96%-22.63K
-1732.13%-22.25K
43.09%-21.61K
1.68%-21.58K
---20.58K
--1.36K
---37.97K
---21.95K
--0.00
--0.00
-100.00%0.00
--0.00
--284.60K
Net cash flow from common stock issuance/repurchase
--2.42M
-75.63%2.34M
429.46%831.79K
352.55%10.04M
----
--9.58M
--157.10K
--2.22M
--770.52K
--0.00
--0.00
----
----
--0.00
--0.00
--0.00
--42.63M
----
----
Net cash flow from preferred stock issuance/repurchase
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
--0.00
--0.00
-100.00%0.00
----
--1.11M
Proceeds from stock option exercised by employees
----
--0.00
--0.00
--0.00
--57.71K
----
----
----
----
-100.00%0.00
----
----
----
--12.22K
----
----
----
----
----
Proceeds from issuance of warrants
----
---1.00
--1.00
--13.57K
--100.22K
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Net cash flow from other financing activities
----
--0.00
--0.00
--0.00
---280.87K
----
----
----
----
--0.00
--0.00
----
----
--0.00
--0.00
-1925.72%-213.79K
---639.69K
---10.55K
----
Net cash from non-recurrent financing activities
Net cash from financing activities
1744.05%2.40M
-75.81%2.31M
501.37%808.68K
356.75%10.04M
-119.47%-145.80K
44398.94%9.56M
753.38%134.47K
161115.26%2.20M
2072.16%748.91K
-121.69%-21.58K
---20.58K
100.64%1.36K
-100.09%-37.97K
---9.73K
--0.00
-1925.72%-213.79K
2915.04%41.99M
---10.55K
--1.39M
Net cash flow
Beginning cash balance
-11.93%10.42M
180.77%12.08M
167.14%16.97M
77.31%10.67M
61.10%11.83M
-60.55%4.30M
-55.69%6.35M
-82.49%6.02M
-80.11%7.34M
-73.40%10.91M
-66.82%14.34M
-26.30%34.37M
391.88%36.91M
--41.01M
--43.20M
4834.49%46.64M
2292.18%7.50M
--945.11K
--313.70K
Current period cash flow changes
-13.73%-1.31M
-122.14%-1.67M
-138.50%-4.88M
1793.79%6.30M
12.62%-1.16M
311.01%7.53M
40.24%-2.05M
101.66%332.42K
47.96%-1.32M
13.07%-3.57M
-56.49%-3.43M
-483.79%-20.03M
-106.50%-2.54M
---4.10M
---2.19M
-695.26%-3.43M
6097.57%39.13M
---431.51K
--631.41K
Effect of exchange rate changes
124.75%109.53K
-199.45%-480.59K
364.77%382.81K
-88.21%13.12K
-1251.69%-442.50K
113.78%483.25K
-36.43%-144.58K
217.72%111.31K
177.91%38.42K
250.42%226.05K
-407.61%-105.97K
-535.29%-94.56K
-147.77%-49.32K
--64.51K
--34.45K
580.33%21.72K
-457.07%-19.90K
--3.19K
---3.57K
Ending cash balance
-14.71%9.10M
-11.93%10.42M
180.77%12.08M
167.14%16.97M
77.31%10.67M
61.10%11.83M
-60.55%4.30M
-55.69%6.35M
-82.49%6.02M
-80.11%7.34M
-73.40%10.91M
-66.82%14.34M
-26.30%34.37M
--36.91M
--41.01M
8312.12%43.20M
4834.49%46.64M
--513.60K
--945.11K
Free cash flow
----
38.95%-3.46M
-53.15%-6.08M
-14.98%-5.78M
15.18%-3.59M
-44.62%-5.66M
-18.56%-3.97M
1.39%-5.03M
-72.22%-4.23M
5.86%-3.91M
-50.43%-3.35M
-57.29%-5.10M
13.50%-2.46M
---4.16M
---2.22M
-663.71%-3.24M
-274.60%-2.84M
---424.19K
---757.71K
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