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Cadrenal Therapeutics Balance Sheet 2022-2025 | CVKD
Prices
Financials
Revenue & Profit
Assets & Liabilities
Margins
Price Ratios
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Income Statement
Balance Sheet
Cash Flow Statement
Key Financial Ratios
Format: Annual
Format: Quarterly
Format: Annual
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Annual Data | Millions of US $ except per share data
2023-12-31
2022-12-31
Cash On Hand
$8.403
$0.033
Receivables
-
-
Inventory
-
-
Pre-Paid Expenses
$0.09
$0.023
Other Current Assets
-
-
Total Current Assets
$8.492
$0.728
Property, Plant, And Equipment
$0.002
$0.001
Long-Term Investments
-
-
Goodwill And Intangible Assets
-
-
Other Long-Term Assets
$0.004
$0.006
Total Long-Term Assets
$0.027
$0.051
Total Assets
$8.519
$0.778
Total Current Liabilities
$0.827
$1.335
Long Term Debt
-
$0.553
Other Non-Current Liabilities
-
$4.42
Total Long Term Liabilities
-
$4.995
Total Liabilities
$0.827
$6.329
Common Stock Net
$0.013
$0.008
Retained Earnings (Accumulated Deficit)
$-15.071
$-6.714
Comprehensive Income
-
-
Other Share Holders Equity
-
-
Share Holder Equity
$7.692
$-5.551
Total Liabilities And Share Holders Equity
$8.519
$0.778