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BullFrog AI (BFRG)

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  • 0.7745
  • -0.0353-4.36%
Close Apr 27 16:00 ET
  • 0.7850
  • +0.0105+1.36%
Post 18:59 ET
14.29MMarket Cap-1.23P/E (TTM)

BullFrog AI (BFRG) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Assets
Current assets
Cash, cash equivalents and short term investments
-59.83%2.18M
-59.83%2.18M
-53.04%1.99M
-55.94%2.47M
-45.77%3.8M
107.11%5.44M
107.11%5.44M
9.93%4.24M
2.83%5.61M
29.36%7.01M
-Cash and cash equivalents
-59.83%2.18M
-59.83%2.18M
-53.04%1.99M
-55.94%2.47M
-45.77%3.8M
107.11%5.44M
107.11%5.44M
9.93%4.24M
2.83%5.61M
29.36%7.01M
Receivables
----
----
--58.34K
----
----
----
----
----
----
----
-Accounts receivable
----
----
--58.34K
----
----
----
----
----
----
----
Prepaid assets
258.84%400.45K
258.84%400.45K
35.83%487.02K
-49.97%228.84K
-55.72%280.13K
-23.50%111.6K
-23.50%111.6K
1.73%358.54K
-20.54%457.36K
-21.54%632.6K
Total current assets
-53.42%2.58M
-53.42%2.58M
-44.84%2.54M
-55.49%2.7M
-46.59%4.08M
100.23%5.55M
100.23%5.55M
9.24%4.6M
0.60%6.07M
22.77%7.64M
Non current assets
Net PPE
-40.59%2.53K
-40.59%2.53K
-36.85%2.96K
-33.74%3.39K
-31.12%3.82K
-28.86%4.25K
-28.86%4.25K
-26.93%4.68K
-25.23%5.11K
-23.73%5.54K
-Gross PPE
0.00%8.74K
0.00%8.74K
----
----
----
0.00%8.74K
0.00%8.74K
----
----
----
-Accumulated depreciation
-38.38%-6.22K
-38.38%-6.22K
----
----
----
-62.24%-4.49K
-62.24%-4.49K
----
----
----
Investments and advances
--116.67K
--116.67K
--58.34K
--58.34K
----
--0
--0
----
----
----
Other non current assets
--105K
--105K
--105K
--105K
----
----
----
----
----
----
Total non current assets
5,175.18%224.2K
5,175.18%224.2K
3,452.47%166.29K
3,161.38%166.72K
-31.12%3.82K
-28.86%4.25K
-28.86%4.25K
-26.93%4.68K
-25.23%5.11K
-23.73%5.54K
Total assets
-49.42%2.81M
-49.42%2.81M
-41.28%2.7M
-52.78%2.87M
-46.58%4.09M
99.95%5.55M
99.95%5.55M
9.19%4.6M
0.57%6.08M
22.71%7.65M
Liabilities
Current liabilities
Payables
-61.43%168.15K
-61.43%168.15K
84.09%168.21K
121.66%181.79K
36.23%210.53K
320.56%435.93K
320.56%435.93K
-17.31%91.37K
-83.29%82.02K
-75.73%154.54K
-accounts payable
-61.43%168.15K
-61.43%168.15K
84.09%168.21K
121.66%181.79K
36.23%210.53K
320.56%435.93K
320.56%435.93K
-17.31%91.37K
-83.29%82.02K
-75.73%154.54K
Current accrued expenses
231.15%503.87K
231.15%503.87K
3.73%534.88K
35.57%363.92K
154.22%464.79K
88.56%152.16K
88.56%152.16K
321.78%515.66K
37.03%268.44K
-41.19%182.83K
Current debt and capital lease obligation
----
----
-67.67%55.61K
-67.66%110.29K
-67.65%164.07K
----
----
-19.36%172.01K
-19.39%341.04K
-19.43%507.15K
-Current debt
----
----
-67.67%55.61K
-67.66%110.29K
-67.65%164.07K
----
----
-19.36%172.01K
-19.39%341.04K
-19.43%507.15K
Current deferred liabilities
----
----
----
--25.08K
----
----
----
----
----
----
Current liabilities
14.27%672.02K
14.27%672.02K
-2.61%758.7K
-1.51%681.08K
-0.61%839.4K
219.01%588.09K
219.01%588.09K
74.65%779.04K
-39.43%691.49K
-47.52%844.53K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
14.27%672.02K
14.27%672.02K
-2.61%758.7K
-1.51%681.08K
-0.61%839.4K
219.01%588.09K
219.01%588.09K
74.65%779.04K
-39.43%691.49K
-47.52%844.53K
Shareholders'equity
Share capital
25.00%115
25.00%115
31.25%105
21.25%97
18.75%95
48.39%92
48.39%92
29.03%80
29.03%80
37.93%80
-common stock
25.27%114
25.27%114
31.65%104
21.52%96
18.99%94
49.18%91
49.18%91
29.51%79
29.51%79
38.60%79
-Preferred stock
0.00%1
0.00%1
0.00%1
0.00%1
0.00%1
0.00%1
0.00%1
0.00%1
0.00%1
0.00%1
Retained earnings
-38.69%-23.29M
-38.69%-23.29M
-44.92%-21.81M
-52.48%-20.26M
-61.12%-18.81M
-72.15%-16.79M
-72.15%-16.79M
-77.95%-15.05M
-84.42%-13.29M
-103.95%-11.68M
Paid-in capital
16.87%25.43M
16.87%25.43M
25.86%23.76M
20.22%22.45M
19.36%22.06M
76.21%21.76M
76.21%21.76M
54.36%18.87M
54.25%18.67M
78.58%18.48M
Total stockholders'equity
-56.96%2.14M
-56.96%2.14M
-49.16%1.94M
-59.37%2.19M
-52.29%3.25M
91.48%4.96M
91.48%4.96M
1.44%3.82M
9.89%5.39M
47.16%6.8M
Total equity
-56.96%2.14M
-56.96%2.14M
-49.16%1.94M
-59.37%2.19M
-52.29%3.25M
91.48%4.96M
91.48%4.96M
1.44%3.82M
9.89%5.39M
47.16%6.8M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Assets
Current assets
Cash, cash equivalents and short term investments -59.83%2.18M-59.83%2.18M-53.04%1.99M-55.94%2.47M-45.77%3.8M107.11%5.44M107.11%5.44M9.93%4.24M2.83%5.61M29.36%7.01M
-Cash and cash equivalents -59.83%2.18M-59.83%2.18M-53.04%1.99M-55.94%2.47M-45.77%3.8M107.11%5.44M107.11%5.44M9.93%4.24M2.83%5.61M29.36%7.01M
Receivables ----------58.34K----------------------------
-Accounts receivable ----------58.34K----------------------------
Prepaid assets 258.84%400.45K258.84%400.45K35.83%487.02K-49.97%228.84K-55.72%280.13K-23.50%111.6K-23.50%111.6K1.73%358.54K-20.54%457.36K-21.54%632.6K
Total current assets -53.42%2.58M-53.42%2.58M-44.84%2.54M-55.49%2.7M-46.59%4.08M100.23%5.55M100.23%5.55M9.24%4.6M0.60%6.07M22.77%7.64M
Non current assets
Net PPE -40.59%2.53K-40.59%2.53K-36.85%2.96K-33.74%3.39K-31.12%3.82K-28.86%4.25K-28.86%4.25K-26.93%4.68K-25.23%5.11K-23.73%5.54K
-Gross PPE 0.00%8.74K0.00%8.74K------------0.00%8.74K0.00%8.74K------------
-Accumulated depreciation -38.38%-6.22K-38.38%-6.22K-------------62.24%-4.49K-62.24%-4.49K------------
Investments and advances --116.67K--116.67K--58.34K--58.34K------0--0------------
Other non current assets --105K--105K--105K--105K------------------------
Total non current assets 5,175.18%224.2K5,175.18%224.2K3,452.47%166.29K3,161.38%166.72K-31.12%3.82K-28.86%4.25K-28.86%4.25K-26.93%4.68K-25.23%5.11K-23.73%5.54K
Total assets -49.42%2.81M-49.42%2.81M-41.28%2.7M-52.78%2.87M-46.58%4.09M99.95%5.55M99.95%5.55M9.19%4.6M0.57%6.08M22.71%7.65M
Liabilities
Current liabilities
Payables -61.43%168.15K-61.43%168.15K84.09%168.21K121.66%181.79K36.23%210.53K320.56%435.93K320.56%435.93K-17.31%91.37K-83.29%82.02K-75.73%154.54K
-accounts payable -61.43%168.15K-61.43%168.15K84.09%168.21K121.66%181.79K36.23%210.53K320.56%435.93K320.56%435.93K-17.31%91.37K-83.29%82.02K-75.73%154.54K
Current accrued expenses 231.15%503.87K231.15%503.87K3.73%534.88K35.57%363.92K154.22%464.79K88.56%152.16K88.56%152.16K321.78%515.66K37.03%268.44K-41.19%182.83K
Current debt and capital lease obligation ---------67.67%55.61K-67.66%110.29K-67.65%164.07K---------19.36%172.01K-19.39%341.04K-19.43%507.15K
-Current debt ---------67.67%55.61K-67.66%110.29K-67.65%164.07K---------19.36%172.01K-19.39%341.04K-19.43%507.15K
Current deferred liabilities --------------25.08K------------------------
Current liabilities 14.27%672.02K14.27%672.02K-2.61%758.7K-1.51%681.08K-0.61%839.4K219.01%588.09K219.01%588.09K74.65%779.04K-39.43%691.49K-47.52%844.53K
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities 14.27%672.02K14.27%672.02K-2.61%758.7K-1.51%681.08K-0.61%839.4K219.01%588.09K219.01%588.09K74.65%779.04K-39.43%691.49K-47.52%844.53K
Shareholders'equity
Share capital 25.00%11525.00%11531.25%10521.25%9718.75%9548.39%9248.39%9229.03%8029.03%8037.93%80
-common stock 25.27%11425.27%11431.65%10421.52%9618.99%9449.18%9149.18%9129.51%7929.51%7938.60%79
-Preferred stock 0.00%10.00%10.00%10.00%10.00%10.00%10.00%10.00%10.00%10.00%1
Retained earnings -38.69%-23.29M-38.69%-23.29M-44.92%-21.81M-52.48%-20.26M-61.12%-18.81M-72.15%-16.79M-72.15%-16.79M-77.95%-15.05M-84.42%-13.29M-103.95%-11.68M
Paid-in capital 16.87%25.43M16.87%25.43M25.86%23.76M20.22%22.45M19.36%22.06M76.21%21.76M76.21%21.76M54.36%18.87M54.25%18.67M78.58%18.48M
Total stockholders'equity -56.96%2.14M-56.96%2.14M-49.16%1.94M-59.37%2.19M-52.29%3.25M91.48%4.96M91.48%4.96M1.44%3.82M9.89%5.39M47.16%6.8M
Total equity -56.96%2.14M-56.96%2.14M-49.16%1.94M-59.37%2.19M-52.29%3.25M91.48%4.96M91.48%4.96M1.44%3.82M9.89%5.39M47.16%6.8M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--------
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