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ENSC Ensysce Biosciences

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  • 0.6080
  • +0.0164+2.77%
Close May 1 16:00 ET
4.61MMarket Cap-129P/E (TTM)

Ensysce Biosciences 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
-64.30%1.12M
-64.30%1.12M
-67.48%1.46M
2.54%3.83M
-83.23%1.42M
-74.34%3.15M
-74.34%3.15M
-34.22%4.5M
-53.39%3.73M
--8.44M
-Cash and cash equivalents
-64.30%1.12M
-64.30%1.12M
-67.48%1.46M
2.54%3.83M
-83.23%1.42M
-74.34%3.15M
-74.34%3.15M
-34.22%4.5M
-53.39%3.73M
--8.44M
Receivables
-64.76%97.56K
-64.76%97.56K
-23.49%107.74K
-61.11%107.58K
-64.22%289.31K
-37.33%276.82K
-37.33%276.82K
62.10%140.81K
267.11%276.63K
--808.6K
-Other receivables
-64.76%97.56K
-64.76%97.56K
-23.49%107.74K
-61.11%107.58K
-64.22%289.31K
-37.33%276.82K
-37.33%276.82K
62.10%140.81K
267.11%276.63K
--808.6K
Prepaid assets
-43.18%1.05M
-43.18%1.05M
--1.17M
----
----
--1.85M
--1.85M
----
----
----
Other current assets
-33.74%18K
-33.74%18K
-99.64%10.72K
-39.75%1.92M
-30.86%1.67M
-99.08%27.17K
-99.08%27.17K
51.77%3.02M
1,075.02%3.18M
--2.41M
Total current assets
-56.81%2.29M
-56.81%2.29M
-64.01%2.76M
-18.62%5.86M
-71.09%3.37M
-66.17%5.3M
-66.17%5.3M
-14.11%7.66M
-13.92%7.19M
--11.66M
Non current assets
Net PPE
--0
--0
----
----
----
--0
--0
--0
--0
--0
Non current deferred assets
----
----
----
----
----
----
----
----
--82.82K
----
Other non current assets
-28.45%419.22K
-28.45%419.22K
-26.56%460.88K
-25.15%502.55K
-23.68%544.22K
-22.37%585.88K
-22.37%585.88K
-21.20%627.55K
-19.89%671.42K
--713.09K
Total non current assets
-28.45%419.22K
-28.45%419.22K
-26.56%460.88K
-33.37%502.55K
-23.68%544.22K
-22.37%585.88K
-22.37%585.88K
-21.20%627.55K
-10.01%754.24K
--713.09K
Total assets
-53.98%2.71M
-53.98%2.71M
-61.17%3.22M
-20.02%6.36M
-68.36%3.91M
-64.15%5.89M
-64.15%5.89M
-14.69%8.29M
-13.56%7.95M
--12.37M
Liabilities
Current liabilities
Payables
-34.23%1.94M
-34.23%1.94M
-56.06%916.42K
-58.18%1.27M
66.54%1.6M
877.67%2.94M
877.67%2.94M
341.98%2.09M
-2.95%3.05M
--959.63K
-accounts payable
-34.23%1.94M
-34.23%1.94M
-28.71%916.42K
-58.18%1.27M
66.54%1.6M
877.67%2.94M
877.67%2.94M
172.44%1.29M
-2.95%3.05M
--959.63K
-Due to related parties current
----
----
----
----
----
----
----
--800K
----
----
Current accrued expenses
-75.65%542.26K
-75.65%542.26K
-65.99%760.46K
-70.57%785.83K
34.67%2.36M
-34.66%2.23M
-34.66%2.23M
52.51%2.24M
548.29%2.67M
--1.75M
Current debt and capital lease obligation
-80.10%854.7K
-80.10%854.7K
-95.34%353.66K
-81.95%456.66K
-99.69%19.12K
-66.38%4.29M
-66.38%4.29M
168.24%7.59M
431.20%2.53M
--6.09M
-Current debt
-79.97%854.7K
-79.97%854.7K
-95.35%350.93K
-82.31%445.74K
----
-66.53%4.27M
-66.53%4.27M
170.01%7.55M
440.61%2.52M
--6.07M
-Current capital lease obligation
--0
--0
-92.28%2.73K
5.94%10.93K
7.93%19.12K
9.81%27.32K
9.81%27.32K
11.80%35.4K
1.11%10.31K
--17.72K
Current liabilities
-64.78%3.33M
-64.78%3.33M
-82.95%2.03M
-69.48%2.52M
-54.83%3.98M
-42.58%9.46M
-42.58%9.46M
69.38%11.91M
104.73%8.25M
--8.8M
Non current liabilities
Long term debt and capital lease obligation
----
----
----
----
----
-96.84%140.15K
-96.84%140.15K
-34.41%1.39M
--137.32K
--1.59M
-Long term debt
----
----
----
----
----
-96.84%140.15K
-96.84%140.15K
-34.41%1.39M
--137.32K
--1.59M
Derivative product liabilities
-91.50%26.39K
-91.50%26.39K
-97.85%30.47K
-86.78%47.7K
-82.07%91.32K
-90.61%310.35K
-90.61%310.35K
--1.41M
--360.8K
--509.19K
Other non current liabilities
----
----
----
----
----
----
----
----
----
--362.22K
Total non current liabilities
-94.14%26.39K
-94.14%26.39K
-98.91%30.47K
-90.42%47.7K
-96.29%91.32K
-94.43%450.49K
-94.43%450.49K
-8.78%2.8M
--498.11K
--2.46M
Total liabilities
-66.12%3.36M
-66.12%3.36M
-85.99%2.06M
-70.68%2.56M
-63.88%4.07M
-59.66%9.91M
-59.66%9.91M
45.62%14.71M
117.10%8.75M
--11.26M
Shareholders'equity
Share capital
494.34%315
494.34%315
29.86%287
-92.49%267
-95.73%128
-57.26%53
-57.26%53
-90.89%221
46.52%3.55K
--3K
-common stock
494.34%315
494.34%315
29.86%287
-92.49%267
-95.73%128
-57.26%53
-57.26%53
-90.89%221
46.52%3.55K
--3K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-9.58%-121.56M
-9.58%-121.56M
-11.99%-118.05M
-20.78%-115.36M
-29.27%-113.13M
-29.22%-110.93M
-29.22%-110.93M
-40.54%-105.41M
-65.12%-95.51M
---87.51M
Paid-in capital
13.07%121.23M
13.07%121.23M
20.36%119.54M
25.75%119.48M
27.44%113.29M
37.51%107.22M
37.51%107.22M
32.60%99.31M
50.22%95.02M
--88.9M
Total stockholders'equity
91.31%-322.86K
91.31%-322.86K
124.37%1.49M
937.82%4.12M
-88.01%166.73K
52.85%-3.71M
52.85%-3.71M
-5,666.61%-6.09M
-109.09%-491.64K
--1.39M
Noncontrolling interests
-4.19%-328.41K
-4.19%-328.41K
-0.00%-327.44K
-6.62%-326.21K
-14.13%-319.15K
-12.65%-315.21K
-12.65%-315.21K
-17.11%-327.43K
-25.56%-305.94K
---279.63K
Total equity
83.84%-651.27K
83.84%-651.27K
118.03%1.16M
575.54%3.79M
-113.72%-152.42K
50.61%-4.03M
50.61%-4.03M
-1,566.79%-6.42M
-115.44%-797.58K
--1.11M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
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 -64.30%1.12M-64.30%1.12M-67.48%1.46M2.54%3.83M-83.23%1.42M-74.34%3.15M-74.34%3.15M-34.22%4.5M-53.39%3.73M--8.44M
-Cash and cash equivalents -64.30%1.12M-64.30%1.12M-67.48%1.46M2.54%3.83M-83.23%1.42M-74.34%3.15M-74.34%3.15M-34.22%4.5M-53.39%3.73M--8.44M
Receivables -64.76%97.56K-64.76%97.56K-23.49%107.74K-61.11%107.58K-64.22%289.31K-37.33%276.82K-37.33%276.82K62.10%140.81K267.11%276.63K--808.6K
-Other receivables -64.76%97.56K-64.76%97.56K-23.49%107.74K-61.11%107.58K-64.22%289.31K-37.33%276.82K-37.33%276.82K62.10%140.81K267.11%276.63K--808.6K
Prepaid assets -43.18%1.05M-43.18%1.05M--1.17M----------1.85M--1.85M------------
Other current assets -33.74%18K-33.74%18K-99.64%10.72K-39.75%1.92M-30.86%1.67M-99.08%27.17K-99.08%27.17K51.77%3.02M1,075.02%3.18M--2.41M
Total current assets -56.81%2.29M-56.81%2.29M-64.01%2.76M-18.62%5.86M-71.09%3.37M-66.17%5.3M-66.17%5.3M-14.11%7.66M-13.92%7.19M--11.66M
Non current assets
Net PPE --0--0--------------0--0--0--0--0
Non current deferred assets ----------------------------------82.82K----
Other non current assets -28.45%419.22K-28.45%419.22K-26.56%460.88K-25.15%502.55K-23.68%544.22K-22.37%585.88K-22.37%585.88K-21.20%627.55K-19.89%671.42K--713.09K
Total non current assets -28.45%419.22K-28.45%419.22K-26.56%460.88K-33.37%502.55K-23.68%544.22K-22.37%585.88K-22.37%585.88K-21.20%627.55K-10.01%754.24K--713.09K
Total assets -53.98%2.71M-53.98%2.71M-61.17%3.22M-20.02%6.36M-68.36%3.91M-64.15%5.89M-64.15%5.89M-14.69%8.29M-13.56%7.95M--12.37M
Liabilities
Current liabilities
Payables -34.23%1.94M-34.23%1.94M-56.06%916.42K-58.18%1.27M66.54%1.6M877.67%2.94M877.67%2.94M341.98%2.09M-2.95%3.05M--959.63K
-accounts payable -34.23%1.94M-34.23%1.94M-28.71%916.42K-58.18%1.27M66.54%1.6M877.67%2.94M877.67%2.94M172.44%1.29M-2.95%3.05M--959.63K
-Due to related parties current ------------------------------800K--------
Current accrued expenses -75.65%542.26K-75.65%542.26K-65.99%760.46K-70.57%785.83K34.67%2.36M-34.66%2.23M-34.66%2.23M52.51%2.24M548.29%2.67M--1.75M
Current debt and capital lease obligation -80.10%854.7K-80.10%854.7K-95.34%353.66K-81.95%456.66K-99.69%19.12K-66.38%4.29M-66.38%4.29M168.24%7.59M431.20%2.53M--6.09M
-Current debt -79.97%854.7K-79.97%854.7K-95.35%350.93K-82.31%445.74K-----66.53%4.27M-66.53%4.27M170.01%7.55M440.61%2.52M--6.07M
-Current capital lease obligation --0--0-92.28%2.73K5.94%10.93K7.93%19.12K9.81%27.32K9.81%27.32K11.80%35.4K1.11%10.31K--17.72K
Current liabilities -64.78%3.33M-64.78%3.33M-82.95%2.03M-69.48%2.52M-54.83%3.98M-42.58%9.46M-42.58%9.46M69.38%11.91M104.73%8.25M--8.8M
Non current liabilities
Long term debt and capital lease obligation ---------------------96.84%140.15K-96.84%140.15K-34.41%1.39M--137.32K--1.59M
-Long term debt ---------------------96.84%140.15K-96.84%140.15K-34.41%1.39M--137.32K--1.59M
Derivative product liabilities -91.50%26.39K-91.50%26.39K-97.85%30.47K-86.78%47.7K-82.07%91.32K-90.61%310.35K-90.61%310.35K--1.41M--360.8K--509.19K
Other non current liabilities --------------------------------------362.22K
Total non current liabilities -94.14%26.39K-94.14%26.39K-98.91%30.47K-90.42%47.7K-96.29%91.32K-94.43%450.49K-94.43%450.49K-8.78%2.8M--498.11K--2.46M
Total liabilities -66.12%3.36M-66.12%3.36M-85.99%2.06M-70.68%2.56M-63.88%4.07M-59.66%9.91M-59.66%9.91M45.62%14.71M117.10%8.75M--11.26M
Shareholders'equity
Share capital 494.34%315494.34%31529.86%287-92.49%267-95.73%128-57.26%53-57.26%53-90.89%22146.52%3.55K--3K
-common stock 494.34%315494.34%31529.86%287-92.49%267-95.73%128-57.26%53-57.26%53-90.89%22146.52%3.55K--3K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -9.58%-121.56M-9.58%-121.56M-11.99%-118.05M-20.78%-115.36M-29.27%-113.13M-29.22%-110.93M-29.22%-110.93M-40.54%-105.41M-65.12%-95.51M---87.51M
Paid-in capital 13.07%121.23M13.07%121.23M20.36%119.54M25.75%119.48M27.44%113.29M37.51%107.22M37.51%107.22M32.60%99.31M50.22%95.02M--88.9M
Total stockholders'equity 91.31%-322.86K91.31%-322.86K124.37%1.49M937.82%4.12M-88.01%166.73K52.85%-3.71M52.85%-3.71M-5,666.61%-6.09M-109.09%-491.64K--1.39M
Noncontrolling interests -4.19%-328.41K-4.19%-328.41K-0.00%-327.44K-6.62%-326.21K-14.13%-319.15K-12.65%-315.21K-12.65%-315.21K-17.11%-327.43K-25.56%-305.94K---279.63K
Total equity 83.84%-651.27K83.84%-651.27K118.03%1.16M575.54%3.79M-113.72%-152.42K50.61%-4.03M50.61%-4.03M-1,566.79%-6.42M-115.44%-797.58K--1.11M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--------

Analysis

Analyst Rating

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Price Target

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