SolarWindow Technologies, Inc.WNDW

Market cap
$19.68M
P/E ratio
Aug 31,
2012
Aug 31,
2013
Aug 31,
2014
Aug 31,
2015
Aug 31,
2016
Aug 31,
2017
Aug 31,
2018
Aug 31,
2019
Aug 31,
2020
Aug 31,
2021
Aug 31,
2023
Net loss--------78-
Depreciation10,36416,5076,1039,62311,50413,92515,92018,34924,46527,79414,709
Stock based compensation expense---------5159,382
Depreciation10,36416,5076,1039,62311,50413,92515,92018,34924,46527,79414,709
Loss on disposal of assets-5,307-5,307--------8,775-
Stock based compensation expense---------5159,382
Deferred research and development costs32,595150,000-43,865-243,167258,098-42,771446,904-6,148-452,399-97,101
Prepaid expenses and other assets28,23322,379-8,1226,895-5,40094642,121-11,9879,31512,502124,063
Deferred research and development costs32,595150,000-43,865-243,167258,098-42,771446,904-6,148-452,399-97,101
Accounts payable and accrued expenses93,403-58,95321,883-46,80187,30545,441-136,5683,933-44,1211,938-
Prepaid expenses and other assets28,23322,379-8,1226,895-5,40094642,121-11,9879,31512,502124,063
Operating lease assets and liabilities--------266-353-
Accounts payable and accrued expenses----------99,078
Related party payable-------57,93341,2451,56465,454
Security deposits--------2,200--18,951-
Deferred research and development costs32,595150,000-43,865-243,167258,098-42,771446,904-6,148-452,399-97,101
Prepaid expenses and other assets28,23322,379-8,1226,895-5,40094642,121-11,9879,31512,502124,063
Deferred research and development costs32,595150,000-43,865-243,167258,098-42,771446,904-6,148-452,399-97,101
Accounts payable and accrued expenses93,403-58,95321,883-46,80187,30545,441-136,5683,933-44,1211,938-
Prepaid expenses and other assets28,23322,379-8,1226,895-5,40094642,121-11,9879,31512,502124,063
Operating lease assets and liabilities--------266-353-
Accounts payable and accrued expenses----------99,078
Related party payable-------57,93341,2451,56465,454
Security deposits--------2,200--18,951-
Net cash used in operating activities-2,248,809-1,905,909-2,545,379-2,594,725-2,634,060-2,766,529-2,920,772-2,545,151-2,447,457-2,659,240-2,084,734
Net loss from continuing operations-2,191,221-4,272,532---------2,064,513
Net loss from discontinued operations-242,210-404,307---------331,882
Depreciation10,36416,5076,1039,62311,50413,92515,92018,34924,46527,79414,709
Stock based compensation expense---------5159,382
Depreciation10,36416,5076,1039,62311,50413,92515,92018,34924,46527,79414,709
Loss on disposal of assets-5,307-5,307--------8,775-
Stock based compensation expense---------5159,382
Deferred research and development costs32,595150,000-43,865-243,167258,098-42,771446,904-6,148-452,399-97,101
Prepaid expenses and other assets28,23322,379-8,1226,895-5,40094642,121-11,9879,31512,502124,063
Deferred research and development costs32,595150,000-43,865-243,167258,098-42,771446,904-6,148-452,399-97,101
Accounts payable and accrued expenses93,403-58,95321,883-46,80187,30545,441-136,5683,933-44,1211,938-
Prepaid expenses and other assets28,23322,379-8,1226,895-5,40094642,121-11,9879,31512,502124,063
Operating lease assets and liabilities--------266-353-
Accounts payable and accrued expenses----------99,078
Related party payable-------57,93341,2451,56465,454
Security deposits--------2,200--18,951-
Net cash used in operating activities-2,248,809-1,905,909-2,545,379-2,594,725-2,634,060-2,766,529-2,920,772-2,545,151-2,447,457-2,659,240-2,084,734
Purchase of short-term investments---------56
Purchase of short-term investments---------56
Redemption of short-term investments----------500,000
Capital expenditures---------76,338-
Proceeds from the sale of assets---------2,161-
Net cash provided by (used in) investing activities-24,458-35,637-16,877-15,561-2,300-45,547-2,581-1,347,664-5,031-5,074,177-5,500,000
Purchase of short-term investments---------56
Purchase of short-term investments---------56
Redemption of short-term investments----------500,000
Capital expenditures---------76,338-
Proceeds from the sale of assets---------2,161-
Net cash provided by (used in) investing activities-24,458-35,637-16,877-15,561-2,300-45,547-2,581-1,347,664-5,031-5,074,177-5,500,000
Net cash provided by (used in) investing activities-24,458-35,637-16,877-15,561-2,300-45,547-2,581-1,347,664-5,031-5,074,177-5,500,000
Effect of exchange rate changes on cash and cash equivalents-----------505
Proceeds from the issuance of equity securities-------20-724,872-
Net cash from financing activities1314325973,714320-724,872-
Effect of exchange rate changes on cash and cash equivalents----------15,522-
Net increase (decrease) in cash and cash equivalents----------7,024,067-7,585,239
Net increase (decrease) in cash and cash equivalents----------7,024,067-7,585,239