enVVeno Medical CorpNVNO

Market cap
$3.23M
P/E ratio
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Net Loss-13,042,709-7,625,397-9,135,486-16,527,822-25-24
Share-based compensation2941,962693,109695
Depreciation and amortization133,419123,66097,549149,00200
Amortization of right-of-use assets--286,423303,90700
Unrealized loss from Investments----00
Gain on extinguishment of note payable1--312,700--
Prepaid expenses and other current assets6,76252,341117,82037,88300
Prepaid expenses and other current assets6,76252,341117,82037,88300
Security deposit and other assets---24,650-0-
Security deposit and other assets---24,650-0-
Accounts payable-294,122144,067169,173-832,7030-0
Accounts payable-294,122144,067169,173-832,7030-0
Accrued expenses-----00
Accrued expenses-----00
Operating lease liabilities----312,610-0-0
Operating lease liabilities----312,610-0-0
Total adjustments72159-
Prepaid expenses and other current assets6,76252,341117,82037,88300
Prepaid expenses and other current assets6,76252,341117,82037,88300
Security deposit and other assets---24,650-0-
Security deposit and other assets---24,650-0-
Accounts payable-294,122144,067169,173-832,7030-0
Accounts payable-294,122144,067169,173-832,7030-0
Accrued expenses-----00
Accrued expenses-----00
Operating lease liabilities----312,610-0-0
Operating lease liabilities----312,610-0-0
Total adjustments72159-
Net Cash Used in Operating Activities-6,355,838-5,896,400-7,677,210-11,845,846-16-19
Net Cash Used in Operating Activities-6,355,838-5,896,400-7,677,210-11,845,846-16-19
Maturities of investments----1449
Purchase of investments----4857
Maturities of investments----1449
Purchases of property and equipment12,422363,891180,291367,89000
Purchases of property and equipment12,422363,891180,291367,89000
Net Cash Used in Investing Activities-12,422-363,891-180,291-367,890-35-8
Purchase of investments----4857
Net Cash Used in Investing Activities-12,422-363,891-180,291-367,890-35-8
Maturities of investments----1449
Purchase of investments----4857
Maturities of investments----1449
Purchases of property and equipment12,422363,891180,291367,89000
Purchases of property and equipment12,422363,891180,291367,89000
Net Cash Used in Investing Activities-12,422-363,891-180,291-367,890-35-8
Purchase of investments----4857
Net Cash Used in Investing Activities-12,422-363,891-180,291-367,890-35-8
Proceeds from private placement offering-2570,341--26
Net Cash Provided by Financing Activities961558-26
Proceeds from shares issued under ATM---960,275--
Proceeds from registered direct offering---18--
Proceeds from public offerings, net8-1038--
Proceeds from warrant exercises--3245,250--
Net Cash Provided by Financing Activities961558-26
Proceeds from private placement offering-2570,341--26
Net Cash Provided by Financing Activities961558-26
Proceeds from shares issued under ATM---960,275--
Proceeds from registered direct offering---18--
Proceeds from public offerings, net8-1038--
Proceeds from warrant exercises--3245,250--
Net Cash Provided by Financing Activities961558-26
Net Decrease in Cash and Cash Equivalents--623,359745-50-1
Net Decrease in Cash and Cash Equivalents--623,359745-50-1
Interest received286,551933--0-
Gain on extinguishment of note payable----312,700--
Fair value of common stock issued in satisfaction of trade payable---35,576--
Fair value of warrants issued to Preferred Exchange Participants, SABR and re-priced placement agent warrant----211,976--