Context Therapeutics Inc. (CNTX) Financial Statements (2026 and earlier)

Company Profile

Business Address 2001 MARKET STREET
PHILADELPHIA, PA 19103
State of Incorp. DE
Fiscal Year End December 31
Industry (SIC) 2834 - Pharmaceutical Preparations (benchmarking)
More info Complete Financial Analysis Financial Benchmarking

Balance Sheet (Statement of Financial Position) (USD)

6/30/2025
MRQ
12/31/2024
12/31/2023
12/31/2022
12/31/2021
ASSETS
Current Assets
Cash, cash equivalents, and short-term investments94,429,82414,449,82735,497,44549,635,197
Cash and cash equivalent94,429,82414,449,82735,497,44549,635,197
Deferred costs200,000   
Other undisclosed current assets3,266,1601,597,3842,356,2131,620,164
Total current assets:97,895,98416,047,21137,853,65851,255,361
Noncurrent Assets
Operating lease, right-of-use asset218,816 51,967 
Property, plant and equipment11,95915,52427,568 
Restricted cash and investments    50,389
Other noncurrent assets   32,750 
Total noncurrent assets:230,77515,524112,28550,389
TOTAL ASSETS:98,126,75916,062,73537,965,94351,305,750
LIABILITIES AND EQUITY
Liabilities
Current Liabilities
Accounts payable and accrued liabilities2,641,1174,191,7153,152,4993,033,415
Accounts payable1,452,1882,383,016936,3301,826,294
Accrued liabilities1,188,9291,808,6992,216,1691,207,121
Other undisclosed current liabilities107,316 55,078 
Total current liabilities:2,748,4334,191,7153,207,5773,033,415
Noncurrent Liabilities
Liabilities, other than long-term debt112,064   
Operating lease, liability112,064   
Total noncurrent liabilities:112,064   
Total liabilities:2,860,4974,191,7153,207,5773,033,415
Equity
Equity, attributable to parent95,266,26211,871,02034,758,36648,272,335
Common stock89,70415,96615,96615,966
Additional paid in capital189,956,25279,909,64478,832,77977,510,809
Accumulated deficit(94,779,694)(68,054,590)(44,090,379)(29,254,440)
Total equity:95,266,26211,871,02034,758,36648,272,335
TOTAL LIABILITIES AND EQUITY:98,126,75916,062,73537,965,94351,305,750

Income Statement (P&L) (USD)

6/30/2025
TTM
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating expenses(29,923,900)(25,072,616)(15,381,203)(10,525,819)
Operating loss:(29,923,900)(25,072,616)(15,381,203)(10,525,819)
Nonoperating income (expense)3,198,796(55,570)(2,004)123,872
Investment income, nonoperating3,200,224   
Interest and debt expense    (64,240)
Loss from continuing operations:(26,725,104)(25,128,186)(15,383,207)(10,466,187)
Loss before gain (loss) on sale of properties:(10,466,187)
Net loss:(26,725,104)(25,128,186)(15,383,207)(10,466,187)
Other undisclosed net income (loss) attributable to parent 1,163,975547,2689,317
Net loss available to common stockholders, diluted:(26,725,104)(23,964,211)(14,835,939)(10,456,870)

Comprehensive Income (USD)

6/30/2025
TTM
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Net loss:(26,725,104)(25,128,186)(15,383,207)(10,466,187)
Comprehensive loss, net of tax, attributable to parent:(26,725,104)(25,128,186)(15,383,207)(10,466,187)

Statements Sources

The financial statements are based on the Company's filings with the U.S. Securities and Exchange Commission (SEC) through the Electronic Data Gathering, Analysis, and Retrieval system (EDGAR). The information is derived from the 10-K and 10-Q reports submitted to the SEC in XBRL (eXtensible Business Reporting Language) format and presented according to the US GAAP Taxonomy. Please review the original filings for a more detailed information.

Login to ReadyRatios

 

Have you forgotten your password?

Are you a new user?

Login As
You can log in if you are registered at one of these services: