US Stock MarketDetailed Quotes

MRZM Marizyme

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  • 0.090000
  • 0.0000000.00%
15min DelayClose May 20 09:30 ET
11.86MMarket Cap-62P/E (TTM)

Marizyme Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-70.94%148.47K
-70.94%148.47K
-59.83%474.94K
-89.96%205.23K
-89.61%329.81K
-87.46%510.87K
-87.46%510.87K
6,990.79%1.18M
97,094.68%2.04M
280.02%3.17M
-Cash and cash equivalents
-70.94%148.47K
-70.94%148.47K
-59.83%474.94K
-89.96%205.23K
-89.61%329.81K
-87.46%510.87K
-87.46%510.87K
6,990.79%1.18M
97,094.68%2.04M
280.02%3.17M
Receivables
-6.82%96.08K
-6.82%96.08K
15.55%78.99K
63.36%107.28K
284.96%113.4K
106.40%103.11K
106.40%103.11K
-29.01%68.36K
-44.94%65.67K
-17.68%29.46K
-Accounts receivable
-31.34%60.28K
-31.34%60.28K
-20.30%43.22K
37.47%72.98K
803.69%78.17K
915.04%87.8K
915.04%87.8K
-43.69%54.23K
-55.49%53.08K
-75.83%8.65K
-Other receivables
133.81%35.8K
133.81%35.8K
153.10%35.77K
172.51%34.31K
69.31%35.23K
-62.94%15.31K
-62.94%15.31K
--14.13K
--12.59K
--20.81K
Inventory
-88.47%24.86K
-88.47%24.86K
-60.58%99.02K
-47.94%139.72K
1,036.32%176.53K
864.37%215.57K
864.37%215.57K
1,532.14%251.19K
1,503.42%268.41K
-65.20%15.54K
Prepaid assets
-37.88%699.38K
-37.88%699.38K
-21.25%661.39K
157.60%606.35K
167.97%1.26M
337.75%1.13M
337.75%1.13M
2,299.48%839.82K
730.10%235.38K
644.71%469.91K
Total current assets
-50.45%968.78K
-50.45%968.78K
-43.87%1.31M
-59.51%1.06M
-49.05%1.88M
-55.58%1.96M
-55.58%1.96M
1,333.46%2.34M
1,470.51%2.61M
276.90%3.69M
Non current assets
Net PPE
-25.63%1.11M
-25.63%1.11M
-23.81%1.21M
-22.20%1.31M
26.26%1.4M
27.82%1.5M
27.82%1.5M
36.47%1.59M
36.42%1.68M
-11.98%1.11M
-Gross PPE
-25.63%1.11M
-25.63%1.11M
-23.81%1.21M
-22.20%1.31M
26.26%1.4M
27.82%1.5M
27.82%1.5M
35.56%1.59M
35.72%1.68M
-12.33%1.11M
Goodwill and other intangible assets
-43.27%19.78M
-43.27%19.78M
-42.39%34.23M
-42.24%34.45M
-42.09%34.66M
-41.95%34.87M
-41.95%34.87M
14.72%59.43M
43.45%59.64M
42.74%59.85M
-Goodwill
-24.68%5.42M
-24.68%5.42M
0.00%7.19M
0.00%7.19M
0.00%7.19M
0.00%7.19M
0.00%7.19M
32.77%7.19M
--7.19M
--7.19M
-Other intangible assets
-48.10%14.36M
-48.10%14.36M
-48.23%27.04M
-48.03%27.25M
-47.84%27.46M
-47.65%27.68M
-47.65%27.68M
12.61%52.24M
26.15%52.45M
25.59%52.66M
Non current prepaid assets
-58.69%152.46K
-58.69%152.46K
-56.65%159.99K
-53.71%170.84K
-9.80%332.91K
0.00%369.09K
0.00%369.09K
-0.51%369.09K
-0.51%369.09K
-0.51%369.09K
Total non current assets
-42.70%21.05M
-42.70%21.05M
-42.00%35.61M
-41.76%35.92M
-40.66%36.39M
-40.37%36.73M
-40.37%36.73M
15.09%61.38M
42.87%61.69M
40.79%61.33M
Total assets
-43.10%22.02M
-43.10%22.02M
-42.06%36.92M
-42.49%36.98M
-41.14%38.27M
-41.38%38.69M
-41.38%38.69M
19.11%63.73M
48.35%64.3M
45.97%65.01M
Liabilities
Current liabilities
Payables
99.79%2.45M
99.79%2.45M
139.16%2.32M
159.47%2.18M
79.36%1.96M
-52.87%1.22M
-52.87%1.22M
-52.27%971.61K
-42.97%840.7K
145.79%1.09M
-accounts payable
81.00%2.22M
81.00%2.22M
151.85%2.14M
230.29%2.04M
127.71%1.87M
-16.46%1.22M
-16.46%1.22M
-39.27%848.35K
-48.97%617.04K
84.82%822.56K
-Due to related parties current
--230.15K
--230.15K
51.78%187.1K
-35.91%143.35K
-67.20%89.02K
--0
--0
-80.70%123.27K
-15.60%223.66K
--271.37K
Current accrued expenses
--0
--0
----
----
----
-91.52%697
-91.52%697
----
----
----
Current debt and capital lease obligation
1,059.81%18.05M
1,059.81%18.05M
3,176.80%20.79M
1,897.61%13.18M
979.06%6.06M
284.33%1.56M
284.33%1.56M
143.93%634.48K
171.41%659.72K
84.82%562.06K
-Current debt
1,455.07%17.62M
1,455.07%17.62M
9,433.05%20.36M
5,181.81%12.75M
1,879.10%5.64M
786.42%1.13M
786.42%1.13M
--213.56K
--241.39K
--284.92K
-Current capital lease obligation
2.50%434.08K
2.50%434.08K
2.50%431.44K
2.50%428.79K
53.76%426.14K
52.81%423.5K
52.81%423.5K
61.82%420.91K
72.10%418.33K
-8.87%277.14K
Other current liabilities
----
----
--25.56M
--5.46M
----
----
----
----
----
----
Current liabilities
605.14%20.6M
605.14%20.6M
2,930.30%48.67M
1,287.72%20.82M
384.73%8.03M
-6.76%2.92M
-6.76%2.92M
-30.04%1.61M
-12.62%1.5M
121.04%1.66M
Non current liabilities
Long term debt and capital lease obligation
-82.50%667.13K
-82.50%667.13K
-71.28%805.37K
-43.92%1.17M
54.18%1.76M
176.93%3.81M
176.93%3.81M
150.12%2.8M
108.14%2.09M
16.44%1.14M
-Long term debt
----
----
-97.66%38.6K
-63.53%307.43K
149.07%792.21K
455.53%2.75M
455.53%2.75M
818.77%1.65M
24,046.26%842.95K
--318.06K
-Long term capital lease obligation
-37.15%667.13K
-37.15%667.13K
-33.64%766.77K
-30.68%865.65K
17.42%963.9K
20.40%1.06M
20.40%1.06M
22.70%1.16M
24.70%1.25M
-16.07%820.92K
Derivative product liabilities
--0
--0
--0
--0
26.22%4.82M
94.09%4.82M
94.09%4.82M
1,157.18%4.92M
5,802.63%4.42M
--3.82M
Other non current liabilities
-44.31%5.41M
-44.31%5.41M
-30.12%9.4M
-48.33%7.72M
-35.85%8.43M
-14.20%9.71M
-14.20%9.71M
42.20%13.44M
--14.94M
--13.14M
Total non current liabilities
-66.89%6.07M
-66.89%6.07M
-51.82%10.2M
-58.56%8.89M
-17.08%15.01M
20.88%18.34M
20.88%18.34M
93.06%21.17M
1,886.29%21.45M
1,750.80%18.1M
Total liabilities
25.44%26.68M
25.44%26.68M
158.45%58.87M
29.46%29.71M
16.59%23.04M
16.15%21.27M
16.15%21.27M
71.75%22.78M
720.52%22.95M
1,043.93%19.76M
Shareholders'equity
Share capital
225.19%131.79K
225.19%131.79K
14.30%46.67K
11.11%45.37K
-0.15%40.77K
0.00%40.53K
0.00%40.53K
13.64%40.83K
13.64%40.83K
13.64%40.83K
-common stock
225.19%131.79K
225.19%131.79K
14.30%46.67K
11.11%45.37K
-0.15%40.77K
0.00%40.53K
0.00%40.53K
13.64%40.83K
13.64%40.83K
13.64%40.83K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-75.99%-151.34M
-75.99%-151.34M
-126.78%-141.57M
-79.26%-109.12M
-64.13%-88.54M
-79.81%-85.99M
-79.81%-85.99M
-47.55%-62.43M
-44.60%-60.87M
-36.11%-53.95M
Paid-in capital
41.77%146.54M
41.77%146.54M
15.72%119.57M
13.86%116.34M
4.61%103.74M
8.27%103.37M
8.27%103.37M
25.24%103.33M
23.70%102.18M
20.33%99.16M
Total stockholders'equity
-126.75%-4.66M
-126.75%-4.66M
-153.60%-21.95M
-82.42%7.27M
-66.34%15.23M
-63.47%17.42M
-63.47%17.42M
1.76%40.95M
1.98%41.35M
5.71%45.25M
Total equity
-126.75%-4.66M
-126.75%-4.66M
-153.60%-21.95M
-82.42%7.27M
-66.34%15.23M
-63.47%17.42M
-63.47%17.42M
1.76%40.95M
1.98%41.35M
5.71%45.25M
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, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -70.94%148.47K-70.94%148.47K-59.83%474.94K-89.96%205.23K-89.61%329.81K-87.46%510.87K-87.46%510.87K6,990.79%1.18M97,094.68%2.04M280.02%3.17M
-Cash and cash equivalents -70.94%148.47K-70.94%148.47K-59.83%474.94K-89.96%205.23K-89.61%329.81K-87.46%510.87K-87.46%510.87K6,990.79%1.18M97,094.68%2.04M280.02%3.17M
Receivables -6.82%96.08K-6.82%96.08K15.55%78.99K63.36%107.28K284.96%113.4K106.40%103.11K106.40%103.11K-29.01%68.36K-44.94%65.67K-17.68%29.46K
-Accounts receivable -31.34%60.28K-31.34%60.28K-20.30%43.22K37.47%72.98K803.69%78.17K915.04%87.8K915.04%87.8K-43.69%54.23K-55.49%53.08K-75.83%8.65K
-Other receivables 133.81%35.8K133.81%35.8K153.10%35.77K172.51%34.31K69.31%35.23K-62.94%15.31K-62.94%15.31K--14.13K--12.59K--20.81K
Inventory -88.47%24.86K-88.47%24.86K-60.58%99.02K-47.94%139.72K1,036.32%176.53K864.37%215.57K864.37%215.57K1,532.14%251.19K1,503.42%268.41K-65.20%15.54K
Prepaid assets -37.88%699.38K-37.88%699.38K-21.25%661.39K157.60%606.35K167.97%1.26M337.75%1.13M337.75%1.13M2,299.48%839.82K730.10%235.38K644.71%469.91K
Total current assets -50.45%968.78K-50.45%968.78K-43.87%1.31M-59.51%1.06M-49.05%1.88M-55.58%1.96M-55.58%1.96M1,333.46%2.34M1,470.51%2.61M276.90%3.69M
Non current assets
Net PPE -25.63%1.11M-25.63%1.11M-23.81%1.21M-22.20%1.31M26.26%1.4M27.82%1.5M27.82%1.5M36.47%1.59M36.42%1.68M-11.98%1.11M
-Gross PPE -25.63%1.11M-25.63%1.11M-23.81%1.21M-22.20%1.31M26.26%1.4M27.82%1.5M27.82%1.5M35.56%1.59M35.72%1.68M-12.33%1.11M
Goodwill and other intangible assets -43.27%19.78M-43.27%19.78M-42.39%34.23M-42.24%34.45M-42.09%34.66M-41.95%34.87M-41.95%34.87M14.72%59.43M43.45%59.64M42.74%59.85M
-Goodwill -24.68%5.42M-24.68%5.42M0.00%7.19M0.00%7.19M0.00%7.19M0.00%7.19M0.00%7.19M32.77%7.19M--7.19M--7.19M
-Other intangible assets -48.10%14.36M-48.10%14.36M-48.23%27.04M-48.03%27.25M-47.84%27.46M-47.65%27.68M-47.65%27.68M12.61%52.24M26.15%52.45M25.59%52.66M
Non current prepaid assets -58.69%152.46K-58.69%152.46K-56.65%159.99K-53.71%170.84K-9.80%332.91K0.00%369.09K0.00%369.09K-0.51%369.09K-0.51%369.09K-0.51%369.09K
Total non current assets -42.70%21.05M-42.70%21.05M-42.00%35.61M-41.76%35.92M-40.66%36.39M-40.37%36.73M-40.37%36.73M15.09%61.38M42.87%61.69M40.79%61.33M
Total assets -43.10%22.02M-43.10%22.02M-42.06%36.92M-42.49%36.98M-41.14%38.27M-41.38%38.69M-41.38%38.69M19.11%63.73M48.35%64.3M45.97%65.01M
Liabilities
Current liabilities
Payables 99.79%2.45M99.79%2.45M139.16%2.32M159.47%2.18M79.36%1.96M-52.87%1.22M-52.87%1.22M-52.27%971.61K-42.97%840.7K145.79%1.09M
-accounts payable 81.00%2.22M81.00%2.22M151.85%2.14M230.29%2.04M127.71%1.87M-16.46%1.22M-16.46%1.22M-39.27%848.35K-48.97%617.04K84.82%822.56K
-Due to related parties current --230.15K--230.15K51.78%187.1K-35.91%143.35K-67.20%89.02K--0--0-80.70%123.27K-15.60%223.66K--271.37K
Current accrued expenses --0--0-------------91.52%697-91.52%697------------
Current debt and capital lease obligation 1,059.81%18.05M1,059.81%18.05M3,176.80%20.79M1,897.61%13.18M979.06%6.06M284.33%1.56M284.33%1.56M143.93%634.48K171.41%659.72K84.82%562.06K
-Current debt 1,455.07%17.62M1,455.07%17.62M9,433.05%20.36M5,181.81%12.75M1,879.10%5.64M786.42%1.13M786.42%1.13M--213.56K--241.39K--284.92K
-Current capital lease obligation 2.50%434.08K2.50%434.08K2.50%431.44K2.50%428.79K53.76%426.14K52.81%423.5K52.81%423.5K61.82%420.91K72.10%418.33K-8.87%277.14K
Other current liabilities ----------25.56M--5.46M------------------------
Current liabilities 605.14%20.6M605.14%20.6M2,930.30%48.67M1,287.72%20.82M384.73%8.03M-6.76%2.92M-6.76%2.92M-30.04%1.61M-12.62%1.5M121.04%1.66M
Non current liabilities
Long term debt and capital lease obligation -82.50%667.13K-82.50%667.13K-71.28%805.37K-43.92%1.17M54.18%1.76M176.93%3.81M176.93%3.81M150.12%2.8M108.14%2.09M16.44%1.14M
-Long term debt ---------97.66%38.6K-63.53%307.43K149.07%792.21K455.53%2.75M455.53%2.75M818.77%1.65M24,046.26%842.95K--318.06K
-Long term capital lease obligation -37.15%667.13K-37.15%667.13K-33.64%766.77K-30.68%865.65K17.42%963.9K20.40%1.06M20.40%1.06M22.70%1.16M24.70%1.25M-16.07%820.92K
Derivative product liabilities --0--0--0--026.22%4.82M94.09%4.82M94.09%4.82M1,157.18%4.92M5,802.63%4.42M--3.82M
Other non current liabilities -44.31%5.41M-44.31%5.41M-30.12%9.4M-48.33%7.72M-35.85%8.43M-14.20%9.71M-14.20%9.71M42.20%13.44M--14.94M--13.14M
Total non current liabilities -66.89%6.07M-66.89%6.07M-51.82%10.2M-58.56%8.89M-17.08%15.01M20.88%18.34M20.88%18.34M93.06%21.17M1,886.29%21.45M1,750.80%18.1M
Total liabilities 25.44%26.68M25.44%26.68M158.45%58.87M29.46%29.71M16.59%23.04M16.15%21.27M16.15%21.27M71.75%22.78M720.52%22.95M1,043.93%19.76M
Shareholders'equity
Share capital 225.19%131.79K225.19%131.79K14.30%46.67K11.11%45.37K-0.15%40.77K0.00%40.53K0.00%40.53K13.64%40.83K13.64%40.83K13.64%40.83K
-common stock 225.19%131.79K225.19%131.79K14.30%46.67K11.11%45.37K-0.15%40.77K0.00%40.53K0.00%40.53K13.64%40.83K13.64%40.83K13.64%40.83K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -75.99%-151.34M-75.99%-151.34M-126.78%-141.57M-79.26%-109.12M-64.13%-88.54M-79.81%-85.99M-79.81%-85.99M-47.55%-62.43M-44.60%-60.87M-36.11%-53.95M
Paid-in capital 41.77%146.54M41.77%146.54M15.72%119.57M13.86%116.34M4.61%103.74M8.27%103.37M8.27%103.37M25.24%103.33M23.70%102.18M20.33%99.16M
Total stockholders'equity -126.75%-4.66M-126.75%-4.66M-153.60%-21.95M-82.42%7.27M-66.34%15.23M-63.47%17.42M-63.47%17.42M1.76%40.95M1.98%41.35M5.71%45.25M
Total equity -126.75%-4.66M-126.75%-4.66M-153.60%-21.95M-82.42%7.27M-66.34%15.23M-63.47%17.42M-63.47%17.42M1.76%40.95M1.98%41.35M5.71%45.25M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--------

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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