InMed Pharmaceuticals
Balance Sheet

Last updated:

The balance sheet is a financial statement presenting the value of assets, liabilities and equity of a company. How has InMed Pharmaceuticals's balance sheet done over the years? Its assets were worth $11,822,782 last year, which is less than in the previous period. 22% of InMed Pharmaceuticals’s total assets is currently financed by debt. Its liabilities reached the amount of $2,616,673, which means an increase by 30% compared compared to last year.

Debt to Assets

InMed Pharmaceuticals Inc. (TSX:IN.TO): Debt to assets
2014 1589914 70.10K 4.41%
2015 1338017 62.50K 4.67%
2016 1216745 456.16K 37.49%
2017 6409645 284.24K 4.43%
2018 21337548 713.01K 3.34%
2019 15073785 1.19M 7.9%
2020 7500459 1.92M 25.6%
2021 9781216 2.40M 24.58%
2023 14106340 2.01M 14.3%
2024 11822782 2.61M 22.13%

IN.TO Balance Sheet (2014 – 2024)

2024 2023 2021 2020 2019 2018 2017 2016 2015 2014
Assets
Current assets:
Cash and cash equivalents
6.57M8.91M7.36M5.79M9.80M18.35M5.15M41.92K134.18K7.11K
Short term investments
43.06M44.42M46.46K42.29K3.93M1.78M0000
Net receivables
352.83K260.39K11.91K45.24K64.73K40.58K065.79K022.53K
Inventory
1.24M1.61M01022010
Other current assets
520.81K-8.94B956.76K418K323.18K154.71K273.07K37.33K74.48K312.13K
Total current assets
8.68M11.33M8.37M6.29M14.12M20.32M5.33M145.05K202.03K185.71K
Non-current assets:
Property, Plant and Equipment
1.24M723.42K326.59K402.59K42.52K42.37K20.79K3.65K5.09K1.99K
Goodwill
0000000000
Intangible assets
1.78M1.94M1.06M799.26K902.43K968.42K1.04M1.06M1.13M1.40M
Long term investments
0000000000
Other non-current assets
100K104.90K14.65K0100000
Total non-current assets
3.13M2.77M1.40M1.20M944.96K1.01M1.07M1.07M1.13M1.40M
Total assets
11.82M14.10M9.78M7.50M15.07M21.33M6.40M1.21M1.33M1.58M
Liabilities
Current liabilities:
Accounts payable
Deferred revenue
0-1.99B00000000
Short term debt
317.79K375.71K80.48K68.81K000000
Total current liabilities
1.97M2.00M2.21M1.67M1.19M713.01K284.24K456.16K62.50K70.10K
Non-current liabilities:
Long term debt
644.86K15.99K189.28K247.46K000000
Deferred tax
0000000000
Other non-current liabilities
0000000000
Total non-current liabilities
644.86K15.99K189.28K247.46K00284.24K057.92K57.72K
Total liabilities
2.61M2.01M2.40M1.92M1.19M713.01K284.24K456.16K62.50K70.10K
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