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NBTX Nanobiotix

Watchlist
5.875 -0.025-0.42% Close 12/06 16:00 ET
5.8750.0000.00% Post 16:00 ET
5.900High5.670Low12.55KVolume

Nanobiotix Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)2023/06/30
(FY)2022/12/31
(Q4)2022/12/31
(Q2)2022/06/30
(FY)2021/12/31
(Q4)2021/12/31
(Q2)2021/06/30
(FY)2020/12/31
(Q4)2020/12/31
(Q2)2020/06/30
Assets
Current assets
Cash, cash equivalents and short term investments
-65.68%21.63M
-50.68%41.39M
-50.68%41.39M
-38.42%63.02M
-29.57%83.92M
-29.57%83.92M
284.87%102.34M
239.52%119.15M
239.52%119.15M
-47.98%26.59M
-Cash and cash equivalents
-65.68%21.63M
-50.68%41.39M
-50.68%41.39M
-38.42%63.02M
-29.57%83.92M
-29.57%83.92M
284.87%102.34M
239.52%119.15M
239.52%119.15M
-47.98%26.59M
Receivables
16.02%9.76M
15.33%7.99M
15.33%7.99M
33.83%8.41M
78.51%6.93M
78.51%6.93M
12.49%6.29M
-53.61%3.88M
-53.61%3.88M
-20.53%5.59M
-Accounts receivable
357.98%1.09M
--101K
--101K
--238K
--0
--0
----
463.64%62K
463.64%62K
-17.74%51K
-Taxes receivable
53.51%6.93M
45.04%5.15M
45.04%5.15M
5.32%4.51M
22.43%3.55M
22.43%3.55M
2.76%4.28M
-59.22%2.9M
-59.22%2.9M
-28.73%4.17M
-Other receivables
-52.33%1.75M
-18.86%2.74M
-18.86%2.74M
82.88%3.67M
267.17%3.38M
267.17%3.38M
46.28%2M
-26.10%920K
-26.10%920K
21.99%1.37M
Prepaid assets
56.91%2.24M
34.70%2.98M
34.70%2.98M
-80.33%1.43M
-0.18%2.21M
-0.18%2.21M
134.65%7.25M
-17.00%2.22M
-17.00%2.22M
87.15%3.09M
Other current assets
200.00%1K
--1K
--1K
-200.00%-1K
----
----
200.00%1K
----
----
-200.00%-1K
Total current assets
-53.85%33.63M
-43.74%52.36M
-43.74%52.36M
-37.12%72.86M
-25.70%93.06M
-25.70%93.06M
228.56%115.87M
171.53%125.25M
171.53%125.25M
-41.02%35.27M
Non current assets
Net PPE
-12.53%6.48M
-13.02%7.12M
-13.02%7.12M
-1.63%7.41M
-0.85%8.19M
-0.85%8.19M
-15.91%7.54M
-12.04%8.26M
-12.04%8.26M
-7.26%8.96M
-Gross PPE
2.94%15.39M
1.88%15.3M
1.88%15.3M
9.12%14.95M
10.18%15.02M
10.18%15.02M
1.09%13.7M
3.28%13.63M
3.28%13.63M
6.17%13.55M
-Accumulated depreciation
-18.17%-8.9M
-19.75%-8.18M
-19.75%-8.18M
-22.26%-7.54M
-27.11%-6.83M
-27.11%-6.83M
-34.30%-6.16M
-41.01%-5.37M
-41.01%-5.37M
-48.03%-4.59M
Goodwill and other intangible assets
0.00%1K
-75.00%1K
-75.00%1K
-91.67%1K
-80.95%4K
-80.95%4K
-83.56%12K
-87.12%21K
-87.12%21K
-67.84%73K
-Other intangible assets
0.00%1K
-75.00%1K
-75.00%1K
-91.67%1K
-80.95%4K
-80.95%4K
-83.56%12K
-87.12%21K
-87.12%21K
-67.84%73K
Investments and advances
-99.72%1K
--0
--0
300.00%352K
-6.67%98K
-6.67%98K
51.72%88K
-19.85%105K
-19.85%105K
-98.97%58K
Non current prepaid assets
--294K
-30.88%291K
-30.88%291K
----
4.99%421K
4.99%421K
0.49%410K
0.50%401K
0.50%401K
--408K
Other non current assets
---1K
----
----
----
----
----
----
0.00%-1K
0.00%-1K
---1K
Total non current assets
-12.71%6.78M
-14.89%7.41M
-14.89%7.41M
-3.48%7.77M
-0.83%8.71M
-0.83%8.71M
-15.31%8.05M
-12.86%8.78M
-12.86%8.78M
-38.75%9.5M
Total assets
-49.88%40.41M
-41.27%59.77M
-41.27%59.77M
-34.94%80.62M
-24.07%101.77M
-24.07%101.77M
176.81%123.92M
138.47%134.03M
138.47%134.03M
-40.56%44.77M
Liabilities
Current liabilities
Payables
16.20%14.98M
7.88%11.08M
7.88%11.08M
1.09%12.89M
-18.44%10.27M
-18.44%10.27M
-0.27%12.75M
9.81%12.6M
9.81%12.6M
54.09%12.79M
-accounts payable
59.47%8.8M
-19.96%4M
-19.96%4M
-23.77%5.52M
-10.37%5M
-10.37%5M
4.87%7.24M
-9.37%5.57M
-9.37%5.57M
117.89%6.91M
-Total tax payable
-3.66%5.9M
29.87%6.6M
29.87%6.6M
19.78%6.12M
-22.25%5.08M
-22.25%5.08M
1,439.76%5.11M
2,923.61%6.53M
2,923.61%6.53M
57.35%332K
-Other payable
-77.87%276K
145.23%488K
145.23%488K
213.32%1.25M
-59.47%199K
-59.47%199K
-92.83%398K
-90.38%491K
-90.38%491K
12.83%5.55M
Current accrued expenses
112.38%7.91M
262.99%5.39M
262.99%5.39M
136.90%3.72M
-3.00%1.49M
-3.00%1.49M
-19.92%1.57M
-5.43%1.53M
-5.43%1.53M
4.36%1.96M
Current provisions
91.01%340K
197.27%327K
197.27%327K
-58.60%178K
175.00%110K
175.00%110K
--430K
-75.61%40K
-75.61%40K
----
Current debt and capital lease obligation
9.53%9.97M
-44.42%4.56M
-44.42%4.56M
35.27%9.1M
68.39%8.2M
68.39%8.2M
181.47%6.73M
346.56%4.87M
346.56%4.87M
7.03%2.39M
-Current debt
10.31%8.83M
-49.17%3.6M
-49.17%3.6M
33.00%8M
92.60%7.08M
92.60%7.08M
396.37%6.02M
635.00%3.68M
635.00%3.68M
4.94%1.21M
-Current capital lease obligation
3.90%1.15M
-14.56%962K
-14.56%962K
54.48%1.1M
-5.93%1.13M
-5.93%1.13M
-39.44%714K
102.54%1.2M
102.54%1.2M
9.27%1.18M
Current deferred liabilities
-0.17%16.66M
-1.19%16.57M
-1.19%16.57M
0.78%16.68M
--16.77M
--16.77M
--16.56M
--0
--0
----
Other current liabilities
----
----
----
----
----
----
----
0.00%1K
0.00%1K
----
Current liabilities
17.08%49.85M
2.96%37.94M
2.96%37.94M
11.94%42.58M
93.50%36.85M
93.50%36.85M
121.93%38.04M
32.72%19.04M
32.72%19.04M
38.08%17.14M
Non current liabilities
Long term debt and capital lease obligation
22.30%44.03M
28.54%48.61M
28.54%48.61M
-18.15%36M
-14.26%37.82M
-14.26%37.82M
-11.04%43.99M
1.55%44.11M
1.55%44.11M
18.17%49.45M
-Long term debt
28.17%39.92M
35.83%44.04M
35.83%44.04M
-20.42%31.15M
-17.11%32.42M
-17.11%32.42M
-11.18%39.14M
3.97%39.12M
3.97%39.12M
22.78%44.06M
-Long term capital lease obligation
-15.41%4.11M
-15.30%4.57M
-15.30%4.57M
0.08%4.86M
8.05%5.39M
8.05%5.39M
-9.90%4.85M
-14.16%4.99M
-14.16%4.99M
-9.59%5.38M
Employee benefits
22.80%307K
-15.09%270K
-15.09%270K
-45.30%250K
-23.19%318K
-23.19%318K
23.18%457K
25.08%414K
25.08%414K
18.15%371K
Other non current liabilities
--1K
----
----
----
---1K
---1K
----
----
----
200.00%1K
Total non current liabilities
22.30%44.34M
28.18%48.88M
28.18%48.88M
-18.43%36.25M
-14.35%38.13M
-14.35%38.13M
-10.79%44.45M
1.72%44.52M
1.72%44.52M
18.17%49.82M
Total liabilities
19.48%94.19M
15.79%86.81M
15.79%86.81M
-4.43%78.83M
17.96%74.98M
17.96%74.98M
23.18%82.48M
9.37%63.56M
9.37%63.56M
22.70%66.96M
Shareholders'equity
Share capital
1.05%1.06M
0.10%1.05M
0.10%1.05M
0.10%1.05M
1.16%1.05M
1.16%1.05M
53.23%1.05M
53.72%1.03M
53.72%1.03M
1.64%682K
-common stock
1.05%1.06M
0.10%1.05M
0.10%1.05M
0.10%1.05M
1.16%1.05M
1.16%1.05M
53.23%1.05M
53.72%1.03M
53.72%1.03M
1.64%682K
Retained earnings
89.00%-28.1M
-21.36%-57.04M
-21.36%-57.04M
-739.75%-255.45M
-39.93%-47M
-39.93%-47M
-47.82%-30.42M
34.03%-33.59M
34.03%-33.59M
13.97%-20.58M
Paid-in capital
-0.01%255.73M
-0.00%255.76M
-0.00%255.76M
-0.01%255.76M
0.01%255.77M
0.01%255.77M
68.31%255.78M
67.00%255.74M
67.00%255.74M
0.41%151.97M
Less: Treasury stock
-4.60%228K
12.87%228K
12.87%228K
12.74%239K
3.06%202K
3.06%202K
-12.76%212K
15.98%196K
15.98%196K
105.93%243K
Gains losses not affecting retained earnings
-41,729.50%-282.25M
-23.94%-226.58M
-23.94%-226.58M
100.37%678K
-19.87%-182.82M
-19.87%-182.82M
-19.96%-184.76M
-45.76%-152.51M
-45.76%-152.51M
-43.62%-154.02M
Total stockholders'equity
-3,101.34%-53.78M
-200.95%-27.05M
-200.95%-27.05M
-95.67%1.79M
-61.98%26.79M
-61.98%26.79M
286.67%41.43M
3,791.36%70.47M
3,791.36%70.47M
-207.05%-22.2M
Total equity
-3,101.34%-53.78M
-200.95%-27.05M
-200.95%-27.05M
-95.67%1.79M
-61.98%26.79M
-61.98%26.79M
286.67%41.43M
3,791.36%70.47M
3,791.36%70.47M
-207.05%-22.2M
Currency Unit
EUR
EUR
EUR
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EUR
EUR
EUR
EUR
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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
--
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Unqualified Opinion
--
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(Q2)2023/06/30(FY)2022/12/31(Q4)2022/12/31(Q2)2022/06/30(FY)2021/12/31(Q4)2021/12/31(Q2)2021/06/30(FY)2020/12/31(Q4)2020/12/31(Q2)2020/06/30
Assets
Current assets
Cash, cash equivalents and short term investments -65.68%21.63M-50.68%41.39M-50.68%41.39M-38.42%63.02M-29.57%83.92M-29.57%83.92M284.87%102.34M239.52%119.15M239.52%119.15M-47.98%26.59M
-Cash and cash equivalents -65.68%21.63M-50.68%41.39M-50.68%41.39M-38.42%63.02M-29.57%83.92M-29.57%83.92M284.87%102.34M239.52%119.15M239.52%119.15M-47.98%26.59M
Receivables 16.02%9.76M15.33%7.99M15.33%7.99M33.83%8.41M78.51%6.93M78.51%6.93M12.49%6.29M-53.61%3.88M-53.61%3.88M-20.53%5.59M
-Accounts receivable 357.98%1.09M--101K--101K--238K--0--0----463.64%62K463.64%62K-17.74%51K
-Taxes receivable 53.51%6.93M45.04%5.15M45.04%5.15M5.32%4.51M22.43%3.55M22.43%3.55M2.76%4.28M-59.22%2.9M-59.22%2.9M-28.73%4.17M
-Other receivables -52.33%1.75M-18.86%2.74M-18.86%2.74M82.88%3.67M267.17%3.38M267.17%3.38M46.28%2M-26.10%920K-26.10%920K21.99%1.37M
Prepaid assets 56.91%2.24M34.70%2.98M34.70%2.98M-80.33%1.43M-0.18%2.21M-0.18%2.21M134.65%7.25M-17.00%2.22M-17.00%2.22M87.15%3.09M
Other current assets 200.00%1K--1K--1K-200.00%-1K--------200.00%1K---------200.00%-1K
Total current assets -53.85%33.63M-43.74%52.36M-43.74%52.36M-37.12%72.86M-25.70%93.06M-25.70%93.06M228.56%115.87M171.53%125.25M171.53%125.25M-41.02%35.27M
Non current assets
Net PPE -12.53%6.48M-13.02%7.12M-13.02%7.12M-1.63%7.41M-0.85%8.19M-0.85%8.19M-15.91%7.54M-12.04%8.26M-12.04%8.26M-7.26%8.96M
-Gross PPE 2.94%15.39M1.88%15.3M1.88%15.3M9.12%14.95M10.18%15.02M10.18%15.02M1.09%13.7M3.28%13.63M3.28%13.63M6.17%13.55M
-Accumulated depreciation -18.17%-8.9M-19.75%-8.18M-19.75%-8.18M-22.26%-7.54M-27.11%-6.83M-27.11%-6.83M-34.30%-6.16M-41.01%-5.37M-41.01%-5.37M-48.03%-4.59M
Goodwill and other intangible assets 0.00%1K-75.00%1K-75.00%1K-91.67%1K-80.95%4K-80.95%4K-83.56%12K-87.12%21K-87.12%21K-67.84%73K
-Other intangible assets 0.00%1K-75.00%1K-75.00%1K-91.67%1K-80.95%4K-80.95%4K-83.56%12K-87.12%21K-87.12%21K-67.84%73K
Investments and advances -99.72%1K--0--0300.00%352K-6.67%98K-6.67%98K51.72%88K-19.85%105K-19.85%105K-98.97%58K
Non current prepaid assets --294K-30.88%291K-30.88%291K----4.99%421K4.99%421K0.49%410K0.50%401K0.50%401K--408K
Other non current assets ---1K------------------------0.00%-1K0.00%-1K---1K
Total non current assets -12.71%6.78M-14.89%7.41M-14.89%7.41M-3.48%7.77M-0.83%8.71M-0.83%8.71M-15.31%8.05M-12.86%8.78M-12.86%8.78M-38.75%9.5M
Total assets -49.88%40.41M-41.27%59.77M-41.27%59.77M-34.94%80.62M-24.07%101.77M-24.07%101.77M176.81%123.92M138.47%134.03M138.47%134.03M-40.56%44.77M
Liabilities
Current liabilities
Payables 16.20%14.98M7.88%11.08M7.88%11.08M1.09%12.89M-18.44%10.27M-18.44%10.27M-0.27%12.75M9.81%12.6M9.81%12.6M54.09%12.79M
-accounts payable 59.47%8.8M-19.96%4M-19.96%4M-23.77%5.52M-10.37%5M-10.37%5M4.87%7.24M-9.37%5.57M-9.37%5.57M117.89%6.91M
-Total tax payable -3.66%5.9M29.87%6.6M29.87%6.6M19.78%6.12M-22.25%5.08M-22.25%5.08M1,439.76%5.11M2,923.61%6.53M2,923.61%6.53M57.35%332K
-Other payable -77.87%276K145.23%488K145.23%488K213.32%1.25M-59.47%199K-59.47%199K-92.83%398K-90.38%491K-90.38%491K12.83%5.55M
Current accrued expenses 112.38%7.91M262.99%5.39M262.99%5.39M136.90%3.72M-3.00%1.49M-3.00%1.49M-19.92%1.57M-5.43%1.53M-5.43%1.53M4.36%1.96M
Current provisions 91.01%340K197.27%327K197.27%327K-58.60%178K175.00%110K175.00%110K--430K-75.61%40K-75.61%40K----
Current debt and capital lease obligation 9.53%9.97M-44.42%4.56M-44.42%4.56M35.27%9.1M68.39%8.2M68.39%8.2M181.47%6.73M346.56%4.87M346.56%4.87M7.03%2.39M
-Current debt 10.31%8.83M-49.17%3.6M-49.17%3.6M33.00%8M92.60%7.08M92.60%7.08M396.37%6.02M635.00%3.68M635.00%3.68M4.94%1.21M
-Current capital lease obligation 3.90%1.15M-14.56%962K-14.56%962K54.48%1.1M-5.93%1.13M-5.93%1.13M-39.44%714K102.54%1.2M102.54%1.2M9.27%1.18M
Current deferred liabilities -0.17%16.66M-1.19%16.57M-1.19%16.57M0.78%16.68M--16.77M--16.77M--16.56M--0--0----
Other current liabilities ----------------------------0.00%1K0.00%1K----
Current liabilities 17.08%49.85M2.96%37.94M2.96%37.94M11.94%42.58M93.50%36.85M93.50%36.85M121.93%38.04M32.72%19.04M32.72%19.04M38.08%17.14M
Non current liabilities
Long term debt and capital lease obligation 22.30%44.03M28.54%48.61M28.54%48.61M-18.15%36M-14.26%37.82M-14.26%37.82M-11.04%43.99M1.55%44.11M1.55%44.11M18.17%49.45M
-Long term debt 28.17%39.92M35.83%44.04M35.83%44.04M-20.42%31.15M-17.11%32.42M-17.11%32.42M-11.18%39.14M3.97%39.12M3.97%39.12M22.78%44.06M
-Long term capital lease obligation -15.41%4.11M-15.30%4.57M-15.30%4.57M0.08%4.86M8.05%5.39M8.05%5.39M-9.90%4.85M-14.16%4.99M-14.16%4.99M-9.59%5.38M
Employee benefits 22.80%307K-15.09%270K-15.09%270K-45.30%250K-23.19%318K-23.19%318K23.18%457K25.08%414K25.08%414K18.15%371K
Other non current liabilities --1K---------------1K---1K------------200.00%1K
Total non current liabilities 22.30%44.34M28.18%48.88M28.18%48.88M-18.43%36.25M-14.35%38.13M-14.35%38.13M-10.79%44.45M1.72%44.52M1.72%44.52M18.17%49.82M
Total liabilities 19.48%94.19M15.79%86.81M15.79%86.81M-4.43%78.83M17.96%74.98M17.96%74.98M23.18%82.48M9.37%63.56M9.37%63.56M22.70%66.96M
Shareholders'equity
Share capital 1.05%1.06M0.10%1.05M0.10%1.05M0.10%1.05M1.16%1.05M1.16%1.05M53.23%1.05M53.72%1.03M53.72%1.03M1.64%682K
-common stock 1.05%1.06M0.10%1.05M0.10%1.05M0.10%1.05M1.16%1.05M1.16%1.05M53.23%1.05M53.72%1.03M53.72%1.03M1.64%682K
Retained earnings 89.00%-28.1M-21.36%-57.04M-21.36%-57.04M-739.75%-255.45M-39.93%-47M-39.93%-47M-47.82%-30.42M34.03%-33.59M34.03%-33.59M13.97%-20.58M
Paid-in capital -0.01%255.73M-0.00%255.76M-0.00%255.76M-0.01%255.76M0.01%255.77M0.01%255.77M68.31%255.78M67.00%255.74M67.00%255.74M0.41%151.97M
Less: Treasury stock -4.60%228K12.87%228K12.87%228K12.74%239K3.06%202K3.06%202K-12.76%212K15.98%196K15.98%196K105.93%243K
Gains losses not affecting retained earnings -41,729.50%-282.25M-23.94%-226.58M-23.94%-226.58M100.37%678K-19.87%-182.82M-19.87%-182.82M-19.96%-184.76M-45.76%-152.51M-45.76%-152.51M-43.62%-154.02M
Total stockholders'equity -3,101.34%-53.78M-200.95%-27.05M-200.95%-27.05M-95.67%1.79M-61.98%26.79M-61.98%26.79M286.67%41.43M3,791.36%70.47M3,791.36%70.47M-207.05%-22.2M
Total equity -3,101.34%-53.78M-200.95%-27.05M-200.95%-27.05M-95.67%1.79M-61.98%26.79M-61.98%26.79M286.67%41.43M3,791.36%70.47M3,791.36%70.47M-207.05%-22.2M
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes----Unqualified Opinion----------
Paper Trade Start
Symbol
Direction
Buy
Sell
Types
LMT Order
Price
QTY
Amount
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