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DARE Stock Annual Balance Sheet. Download in Excel

Dare Bioscience Inc. logo

Dare Bioscience Inc.

Sector: Healthcare   

Industry: Biotechnology

3.20
 
USD
  
0.01
  
(0.31%)
Previous close: 3.19  Open: 3.18  Bid: 2.83  Ask: 3.25
52 week range    
2.67   
   7.56
Mkt Cap: 28 M  Avg Vol (90 Days): 81,203
Peers   
OTIC / 
OTLC / 
OVAT-CA / 
Last updated: Thursday 26th December 2024

Stock Rankings

33
MarketXLS Rank
60
Value
15
Technical
26
Quality
How are these ranks calculated?
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Financials

DARE Balance Sheet

Annual
Dec-14Dec-15Dec-16Dec-17Dec-18Dec-19Dec-20Dec-21Dec-22Dec-23
Accounts payable1 M2 M1 M308219.0459705.01 M1 M2 M2 M3 M
Accounts receivable2 M1 M2 M
Accrued expenses5 M9 M57735.0966653.01 M3 M4 M5 M13 M10 M
Accumulated depreciation & depletion-1 M-1 M-7 M-5 M
Additional paid in capital167 M210 M17123.026 M36 M45 M70 M149 M153 M167 M
Cash and equivalents51 M76 M44614.08 M7 M5 M5 M52 M35 M11 M
CashCashEquivalentsAndShortTermInvestments51 M76 M44614.08 M7 M5 M5 M52 M35 M11 M
CashEquivalents51 M76 M44614.08 M7 M
Common par2000.03000.091.0605.01143.01968.04159.08394.08482.09997.0
Common stock equity45 M49 M13 M13 M7 M440826.0-1 M39 M11 M-5 M
CommonStock2000.03000.091.0605.01143.01968.04159.08394.08482.09997.0
Cost in excess5 M
CurrentAccruedExpenses4 M6 M45057.0658434.0631351.02 M3 M3 M11 M3 M
CurrentCapitalLeaseObligation690000.0108570.0410896.0347712.0270546.0398391.0500000.0
CurrentDeferredRevenue3 M
CurrentDeferredTaxesAssets3977.04453.0
Deferred revenues3 M
DeferredFinancingCosts143002.0139203.0
Float term debt13 M4 M90346.0900000.0
GoodwillAndOtherIntangibleAssets5 M
Gross fixed assets (Plant Property & Equipment)342000.02 M2 M7 M5 M63531.037930.026041.0522833.02 M
InterestPayable2 M45057.0
Invested capital45 M61 M18 M13 M7 M440826.0-1 M39 M11 M-4 M
LineOfCredit35903.035903.035903.035000.0
LongTermCapitalLeaseObligation389000.0866000.0405000.0277700.090346.0900000.0
LongTermDebtAndCapitalLeaseObligation13 M4 M90346.0900000.0
Net fixed assets (net PP&E)342000.0576000.0668000.09396.063531.037930.026041.0522833.02 M
NonCurrentDeferredLiabilities2 M392.09711.01000000.01000000.01000000.01000000.0
NonCurrentDeferredRevenue2 M1000000.01000000.01000000.01000000.0
NonCurrentDeferredTaxesAssets60458.075951.059 M63 M-85 M-100 M104 M-112 M
NonCurrentPrepaidAssets43304.037554.010502.01 M
Notes payable697500.0367285.0
Other current assets193495.0924000.0935000.01 M2 M2 M3 M
Other equity adjustments-18080.0-96728.0-102625.0
Other fixed assets63531.037930.026041.0522833.02 M
Other non-current assets215000.0347000.012678.0723191.0577968.0935325.0528870.0485120.0254295.0599594.0
Other non-current liabilities7000.0473000.01 M9711.03 M2 M11 M18 M300000.0
Other receivable284206.031037.0555210.0460168.01 M2 M949211.0
OtherCapitalStock1.01.00.0
OtherCurrentBorrowings3 M8 M8 M
OtherCurrentLiabilities34000.01000000.02 M2 M14 M
OtherEquityAdjustments30502.04 M
OtherPayable12678.0966653.0631351.02 M4 M
Payables1 M2 M12678.0308219.0459705.01 M1 M2 M2 M7 M
Preferred securities of subsidiary trust0.00.05 M5 M5 M
PreferredStock0.00.05 M5 M5 M
Prepaid expenses311571.0403097.01 M2 M2 M7 M6 M
Restricted cash52 M35 M
Retained earnings-122 M-161 M-727835.0-12 M29 M-44 M-72 M-110 M-141 M-172 M
Short term debt3 M8 M697500.0367285.0
Total assets53 M78 M38 M14 M8 M7 M8 M56 M44 M21 M
Total current assets53 M77 M37 M8 M7 M6 M7 M55 M43 M18 M
Total current liabilities8 M16 M17 M966653.01 M4 M8 M16 M13 M24 M
Total equity45 M49 M13 M13 M7 M440826.0-1 M39 M11 M-5 M
Total liabilities8 M29 M755235.0967045.01 M7 M9 M17 M33 M26 M
Total non-current assets557000.0923000.012678.06 M587364.0998856.0566800.0511161.0787630.04 M
Total non-current liabilities7000.013 M8 M392.09711.03 M3 M12 M19 M2 M
TotalEquityGrossMinority45 M49 M-710621.013 M65 M440826.0-1 M39 M11 M-5 M
TotalEquityGrossMinorityInterest45 M49 M-710621.013 M65 M440826.0-1 M39 M11 M-5 M
TotalLiabilitiesAndTotalEquityGrossMinorityInterest53 M78 M38 M14 M8 M7 M8 M56 M44 M21 M
TotalNonCurrentLiabilitiesNetMinorityInteres7000.013 M8 M392.09711.03 M3 M12 M19 M2 M
Working capital45 M61 M20 M7 M6 M3 M-676689.039 M11 M-7 M
debtc3 M8 M697500.0410896.0714997.0270546.0398391.0500000.0
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