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60 Degrees Pharmaceuticals (SXTP)

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  • 1.350
  • -0.030-2.17%
Trading Jun 12 14:15 ET
3.59MMarket Cap-0.20P/E (TTM)

60 Degrees Pharmaceuticals (SXTP) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-3.30%3.34M
-9.00%1.51M
-9.00%1.51M
-17.88%4.12M
24.76%1.97M
19.24%3.45M
-22.55%1.66M
-22.55%1.66M
125.92%5.01M
8,167.45%1.58M
-Cash and cash equivalents
-3.30%3.34M
-9.00%1.51M
-9.00%1.51M
24.69%4.12M
24.76%1.97M
19.24%3.45M
-22.55%1.66M
-22.55%1.66M
48.78%3.3M
8,167.45%1.58M
-Short-term investments
--0
----
----
--0
--0
--0
----
----
--1.71M
----
Receivables
-31.22%335.84K
4.70%509.64K
4.70%509.64K
108.15%674.04K
-0.45%295.03K
54.40%488.24K
110.41%486.75K
110.41%486.75K
134.64%323.82K
136.21%296.37K
-Accounts receivable
-31.22%335.84K
4.70%509.64K
4.70%509.64K
108.15%674.04K
-0.45%295.03K
54.40%488.24K
110.41%486.75K
110.41%486.75K
134.64%323.82K
136.21%296.37K
Inventory
17.76%910.6K
48.37%656.92K
48.37%656.92K
16.58%527K
87.65%799.42K
77.60%773.24K
-5.02%442.76K
-5.02%442.76K
-24.45%452.04K
-8.48%426.02K
Current deferred assets
----
-28.22%1.24M
-28.22%1.24M
----
----
----
--1.73M
--1.73M
----
-97.28%5.86K
Other current assets
78.85%1.68M
-8.50%978.13K
-8.50%978.13K
-10.02%992.39K
-46.31%782.97K
-78.00%937.25K
-75.72%1.07M
-75.72%1.07M
-81.43%1.1M
-69.93%1.46M
Total current assets
10.80%6.26M
-9.11%4.9M
-9.11%4.9M
-8.44%6.31M
2.16%3.84M
-28.53%5.65M
-25.63%5.39M
-25.63%5.39M
-22.53%6.89M
-33.69%3.76M
Non current assets
Net PPE
66.67%259.67K
64.45%246.37K
64.45%246.37K
46.69%227.75K
21.48%193.88K
171.63%155.79K
110.17%149.81K
110.17%149.81K
411.22%155.26K
242.71%159.59K
-Gross PPE
50.71%467.22K
46.11%437.22K
46.11%437.22K
34.82%403.44K
19.42%357.34K
50.62%310.02K
36.43%299.24K
36.43%299.24K
69.48%299.24K
59.79%299.24K
-Accumulated depreciation
-34.58%-207.55K
-27.72%-190.85K
-27.72%-190.85K
-22.02%-175.69K
-17.05%-163.46K
-3.87%-154.22K
-0.92%-149.43K
-0.92%-149.43K
1.51%-143.98K
0.75%-139.65K
Goodwill and other intangible assets
62.37%243.21K
42.83%224.36K
42.83%224.36K
-42.36%152.38K
-42.54%143.7K
-31.11%149.79K
-30.88%157.08K
-30.88%157.08K
17.46%264.35K
21.19%250.1K
-Other intangible assets
62.37%243.21K
42.83%224.36K
42.83%224.36K
-42.36%152.38K
-42.54%143.7K
-31.11%149.79K
-30.88%157.08K
-30.88%157.08K
17.46%264.35K
21.19%250.1K
Non current prepaid assets
----
--0
--0
--0
--0
-88.89%22.06K
-72.73%66.18K
-72.73%66.18K
--110.29K
-89.21%154.41K
Total non current assets
53.49%502.88K
26.18%470.73K
26.18%470.73K
-28.26%380.14K
-40.16%337.58K
-30.78%327.64K
-31.06%373.07K
-31.06%373.07K
107.47%529.9K
-66.50%564.11K
Total assets
13.14%6.76M
-6.83%5.37M
-6.83%5.37M
-9.86%6.69M
-3.36%4.18M
-28.66%5.98M
-26.01%5.76M
-26.01%5.76M
-18.90%7.42M
-41.20%4.33M
Liabilities
Current liabilities
Payables
28.46%1.49M
44.82%1.46M
44.82%1.46M
105.33%1.39M
--905.81K
--1.16M
99.05%1.01M
99.05%1.01M
149.49%677.62K
----
-accounts payable
28.46%1.49M
44.82%1.46M
44.82%1.46M
105.33%1.39M
--905.81K
--1.16M
99.05%1.01M
99.05%1.01M
149.49%677.62K
----
Current debt and capital lease obligation
0.00%8.77K
0.00%8.77K
0.00%8.77K
0.00%8.77K
0.00%8.77K
0.00%8.77K
-60.88%8.77K
-60.88%8.77K
-75.34%8.77K
-99.96%8.77K
-Current debt
0.00%8.77K
0.00%8.77K
0.00%8.77K
0.00%8.77K
0.00%8.77K
0.00%8.77K
0.00%8.77K
0.00%8.77K
0.00%8.77K
-99.96%8.77K
-Current capital lease obligation
----
----
----
----
----
----
--0
--0
--0
--0
Other current liabilities
-40.33%379.31K
-41.52%374.74K
-41.52%374.74K
27.82%797.28K
36.88%776.17K
12.33%635.73K
-72.22%640.83K
-72.22%640.83K
-71.31%623.76K
-76.82%567.05K
Current liabilities
4.06%1.88M
11.20%1.84M
11.20%1.84M
67.72%2.2M
38.68%1.69M
63.24%1.8M
-41.55%1.66M
-41.55%1.66M
-47.20%1.31M
-95.78%1.22M
Non current liabilities
Long term debt and capital lease obligation
-2.26%143.2K
-2.12%144K
-2.12%144K
-1.96%144.99K
-2.15%145.48K
-1.98%146.5K
-2.08%147.12K
-2.08%147.12K
-3.08%147.9K
-89.17%148.67K
-Long term debt
-2.26%143.2K
-2.12%144K
-2.12%144K
-1.96%144.99K
-2.15%145.48K
-1.98%146.5K
-2.08%147.12K
-2.08%147.12K
-3.08%147.9K
-89.17%148.67K
Total non current liabilities
-2.26%143.2K
-2.12%144K
-2.12%144K
-1.96%144.99K
-2.15%145.48K
-1.98%146.5K
-2.08%147.12K
-2.08%147.12K
-3.08%147.9K
-89.17%148.67K
Total liabilities
3.59%2.02M
10.11%1.99M
10.11%1.99M
60.65%2.34M
34.24%1.84M
55.47%1.95M
-39.57%1.8M
-39.57%1.8M
-44.64%1.46M
-95.48%1.37M
Shareholders'equity
Share capital
0.00%9.57M
0.00%9.57M
0.00%9.57M
0.00%9.57M
-2.95%9.57M
-2.96%9.57M
-2.95%9.57M
-2.95%9.57M
-2.95%9.57M
4,141,976.47%9.86M
-common stock
79.59%264
728.57%116
728.57%116
120.43%410
44.12%147
-87.50%147
40.00%14
40.00%14
-67.93%186
-57.14%102
-Preferred stock
0.00%9.57M
0.00%9.57M
0.00%9.57M
0.00%9.57M
-2.95%9.57M
-2.95%9.57M
-2.95%9.57M
-2.95%9.57M
-2.95%9.57M
--9.86M
Retained earnings
-17.87%-49.98M
-18.17%-47.89M
-18.17%-47.89M
-20.71%-46.45M
-21.52%-44.14M
-31.89%-42.4M
-24.39%-40.53M
-24.39%-40.53M
-25.89%-38.48M
-4.52%-36.32M
Paid-in capital
22.47%45.1M
19.46%41.65M
19.46%41.65M
18.26%41.17M
25.51%36.86M
25.42%36.82M
26.96%34.86M
26.96%34.86M
28.08%34.82M
137.21%29.37M
Gains losses not affecting retained earnings
18.30%148.54K
5.26%142.6K
5.26%142.6K
3.47%144.04K
5.94%142.81K
-4.63%125.57K
-0.07%135.47K
-0.07%135.47K
71.05%139.21K
87.11%134.8K
Total stockholders'equity
17.49%4.83M
-14.18%3.46M
-14.18%3.46M
-26.65%4.43M
-20.00%2.43M
-42.91%4.11M
-17.14%4.04M
-17.14%4.04M
-7.85%6.04M
113.61%3.04M
Noncontrolling interests
-4.13%-84.7K
-3.93%-83.76K
-3.93%-83.76K
-8.55%-83.26K
-8.63%-82.55K
-9.16%-81.35K
-11.88%-80.59K
-11.88%-80.59K
-101.30%-76.71K
86.83%-75.99K
Total equity
17.76%4.74M
-14.55%3.38M
-14.55%3.38M
-27.10%4.35M
-20.74%2.35M
-43.46%4.03M
-17.57%3.96M
-17.57%3.96M
-8.49%5.96M
112.94%2.96M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Mar 31, 2026(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
Assets
Current assets
Cash, cash equivalents and short term investments -3.30%3.34M-9.00%1.51M-9.00%1.51M-17.88%4.12M24.76%1.97M19.24%3.45M-22.55%1.66M-22.55%1.66M125.92%5.01M8,167.45%1.58M
-Cash and cash equivalents -3.30%3.34M-9.00%1.51M-9.00%1.51M24.69%4.12M24.76%1.97M19.24%3.45M-22.55%1.66M-22.55%1.66M48.78%3.3M8,167.45%1.58M
-Short-term investments --0----------0--0--0----------1.71M----
Receivables -31.22%335.84K4.70%509.64K4.70%509.64K108.15%674.04K-0.45%295.03K54.40%488.24K110.41%486.75K110.41%486.75K134.64%323.82K136.21%296.37K
-Accounts receivable -31.22%335.84K4.70%509.64K4.70%509.64K108.15%674.04K-0.45%295.03K54.40%488.24K110.41%486.75K110.41%486.75K134.64%323.82K136.21%296.37K
Inventory 17.76%910.6K48.37%656.92K48.37%656.92K16.58%527K87.65%799.42K77.60%773.24K-5.02%442.76K-5.02%442.76K-24.45%452.04K-8.48%426.02K
Current deferred assets -----28.22%1.24M-28.22%1.24M--------------1.73M--1.73M-----97.28%5.86K
Other current assets 78.85%1.68M-8.50%978.13K-8.50%978.13K-10.02%992.39K-46.31%782.97K-78.00%937.25K-75.72%1.07M-75.72%1.07M-81.43%1.1M-69.93%1.46M
Total current assets 10.80%6.26M-9.11%4.9M-9.11%4.9M-8.44%6.31M2.16%3.84M-28.53%5.65M-25.63%5.39M-25.63%5.39M-22.53%6.89M-33.69%3.76M
Non current assets
Net PPE 66.67%259.67K64.45%246.37K64.45%246.37K46.69%227.75K21.48%193.88K171.63%155.79K110.17%149.81K110.17%149.81K411.22%155.26K242.71%159.59K
-Gross PPE 50.71%467.22K46.11%437.22K46.11%437.22K34.82%403.44K19.42%357.34K50.62%310.02K36.43%299.24K36.43%299.24K69.48%299.24K59.79%299.24K
-Accumulated depreciation -34.58%-207.55K-27.72%-190.85K-27.72%-190.85K-22.02%-175.69K-17.05%-163.46K-3.87%-154.22K-0.92%-149.43K-0.92%-149.43K1.51%-143.98K0.75%-139.65K
Goodwill and other intangible assets 62.37%243.21K42.83%224.36K42.83%224.36K-42.36%152.38K-42.54%143.7K-31.11%149.79K-30.88%157.08K-30.88%157.08K17.46%264.35K21.19%250.1K
-Other intangible assets 62.37%243.21K42.83%224.36K42.83%224.36K-42.36%152.38K-42.54%143.7K-31.11%149.79K-30.88%157.08K-30.88%157.08K17.46%264.35K21.19%250.1K
Non current prepaid assets ------0--0--0--0-88.89%22.06K-72.73%66.18K-72.73%66.18K--110.29K-89.21%154.41K
Total non current assets 53.49%502.88K26.18%470.73K26.18%470.73K-28.26%380.14K-40.16%337.58K-30.78%327.64K-31.06%373.07K-31.06%373.07K107.47%529.9K-66.50%564.11K
Total assets 13.14%6.76M-6.83%5.37M-6.83%5.37M-9.86%6.69M-3.36%4.18M-28.66%5.98M-26.01%5.76M-26.01%5.76M-18.90%7.42M-41.20%4.33M
Liabilities
Current liabilities
Payables 28.46%1.49M44.82%1.46M44.82%1.46M105.33%1.39M--905.81K--1.16M99.05%1.01M99.05%1.01M149.49%677.62K----
-accounts payable 28.46%1.49M44.82%1.46M44.82%1.46M105.33%1.39M--905.81K--1.16M99.05%1.01M99.05%1.01M149.49%677.62K----
Current debt and capital lease obligation 0.00%8.77K0.00%8.77K0.00%8.77K0.00%8.77K0.00%8.77K0.00%8.77K-60.88%8.77K-60.88%8.77K-75.34%8.77K-99.96%8.77K
-Current debt 0.00%8.77K0.00%8.77K0.00%8.77K0.00%8.77K0.00%8.77K0.00%8.77K0.00%8.77K0.00%8.77K0.00%8.77K-99.96%8.77K
-Current capital lease obligation --------------------------0--0--0--0
Other current liabilities -40.33%379.31K-41.52%374.74K-41.52%374.74K27.82%797.28K36.88%776.17K12.33%635.73K-72.22%640.83K-72.22%640.83K-71.31%623.76K-76.82%567.05K
Current liabilities 4.06%1.88M11.20%1.84M11.20%1.84M67.72%2.2M38.68%1.69M63.24%1.8M-41.55%1.66M-41.55%1.66M-47.20%1.31M-95.78%1.22M
Non current liabilities
Long term debt and capital lease obligation -2.26%143.2K-2.12%144K-2.12%144K-1.96%144.99K-2.15%145.48K-1.98%146.5K-2.08%147.12K-2.08%147.12K-3.08%147.9K-89.17%148.67K
-Long term debt -2.26%143.2K-2.12%144K-2.12%144K-1.96%144.99K-2.15%145.48K-1.98%146.5K-2.08%147.12K-2.08%147.12K-3.08%147.9K-89.17%148.67K
Total non current liabilities -2.26%143.2K-2.12%144K-2.12%144K-1.96%144.99K-2.15%145.48K-1.98%146.5K-2.08%147.12K-2.08%147.12K-3.08%147.9K-89.17%148.67K
Total liabilities 3.59%2.02M10.11%1.99M10.11%1.99M60.65%2.34M34.24%1.84M55.47%1.95M-39.57%1.8M-39.57%1.8M-44.64%1.46M-95.48%1.37M
Shareholders'equity
Share capital 0.00%9.57M0.00%9.57M0.00%9.57M0.00%9.57M-2.95%9.57M-2.96%9.57M-2.95%9.57M-2.95%9.57M-2.95%9.57M4,141,976.47%9.86M
-common stock 79.59%264728.57%116728.57%116120.43%41044.12%147-87.50%14740.00%1440.00%14-67.93%186-57.14%102
-Preferred stock 0.00%9.57M0.00%9.57M0.00%9.57M0.00%9.57M-2.95%9.57M-2.95%9.57M-2.95%9.57M-2.95%9.57M-2.95%9.57M--9.86M
Retained earnings -17.87%-49.98M-18.17%-47.89M-18.17%-47.89M-20.71%-46.45M-21.52%-44.14M-31.89%-42.4M-24.39%-40.53M-24.39%-40.53M-25.89%-38.48M-4.52%-36.32M
Paid-in capital 22.47%45.1M19.46%41.65M19.46%41.65M18.26%41.17M25.51%36.86M25.42%36.82M26.96%34.86M26.96%34.86M28.08%34.82M137.21%29.37M
Gains losses not affecting retained earnings 18.30%148.54K5.26%142.6K5.26%142.6K3.47%144.04K5.94%142.81K-4.63%125.57K-0.07%135.47K-0.07%135.47K71.05%139.21K87.11%134.8K
Total stockholders'equity 17.49%4.83M-14.18%3.46M-14.18%3.46M-26.65%4.43M-20.00%2.43M-42.91%4.11M-17.14%4.04M-17.14%4.04M-7.85%6.04M113.61%3.04M
Noncontrolling interests -4.13%-84.7K-3.93%-83.76K-3.93%-83.76K-8.55%-83.26K-8.63%-82.55K-9.16%-81.35K-11.88%-80.59K-11.88%-80.59K-101.30%-76.71K86.83%-75.99K
Total equity 17.76%4.74M-14.55%3.38M-14.55%3.38M-27.10%4.35M-20.74%2.35M-43.46%4.03M-17.57%3.96M-17.57%3.96M-8.49%5.96M112.94%2.96M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------
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