Akari Therapeutics PlcAKTX

時価総額
$165.4億
PER
がん向け抗体薬物複合体(ADC)開発の新興企業。Trop-2標的の臨床候補AKTX-101や独自ADCプラットフォームを展開。2024年11月に戦略的合併を完了、従業員9名(2025年3月31日時点)で運営。米国・英国を中心に研究開発と特許出願を展開。
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Net loss-4-10-45,317,532-18,140,997-35,399,257-16,466,780-17,105,791-17,081,617-17,424,237-17,748,062-10-20
Depreciation and amortization---39,94442,40035,84819,2058,9074,1263,70800
Stock-based compensation2014321325,523314,650735,10712
Issuance of shares for services--750,000-------00
Fair Value Adjustment of Warrants---11,408,231------2--
Change in fair value of warrant liabilities--11933-60,640556,810-772
Unrealized foreign currency exchange losses (gains)------------0
Foreign currency exchange (gains) losses---90,588272,985-93,402104,71930,366490,782-242,503334,1680-
Prepaid expenses and other current assets---913,788785,876-807,408716,859-710,335-192,0542-1,698,991-0-1
Accounts payable and accrued expenses--4-671,78412,222-3,689,8602-247,683-241,309-877,098-15
Net cash used in operating activities-5-9-4,965,583--31,598,709-22,580,240-12,918,313-16,950,408-18,846,528-21,504,522-16-13
Cash Acquired from Acquisition--1--------0
Net cash provided by investing activities--01-10------0
Proceeds from Issuance of Common Stock0-75-17306,23213251425712
Proceeds from Convertible Debt1----------1
Repayment of convertible notes1----------1
Proceeds from issuance of restricted shares-----------0
Proceeds from employee vesting of restricted shares----------00
Payments on short-term financing arrangement-----------1
Proceeds from Warrant Exercises-------27,500----
Net cash provided by financing activities24869-16306,23213251425711
Effect of exchange rates on cash------6,93134,084--105,0880-0
Net decrease in cash------22,280,939-236,2768-4,694,5074-9-1
Financing costs in accounts payable and accrued expenses-----------0
Seller-financed purchases-----------1
Payroll taxes on stock-based compensation in accrued expenses-----------0
Stock Issued-----------28
Liabilities Assumed-----------2
Cash paid for interest-----------0