CTXR

$0.00

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+0.00%

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Quote details

stock

Citius Pharmaceuticals Inc

NASDAQ | CTXR

1.31

USD

+0.00

(

+0.00%

)

AT CLOSE (AS OF Aug 14, 2025)

$14M

MARKET CAP

-

P/E Ratio

-4.87

EPS

$17

52 Week High

$0.65

52 Week Low

MANUFACTURING

Sector

CTXR Chart

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Price Action
1D
Candles

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CTXR Technicals

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CTXR Earnings

Yearly Income Statement (As of Sep 30, 2024)

Field Value (USD)
Gross Profit -$210K
Total Revenue $0
Cost Of Revenue $210K
Costof Goods And Services Sold $210K
Operating Income -$42M
Selling General And Administrative $18M
Research And Development $12M
Operating Expenses $42M
Investment Income Net -
Net Interest Income $758K
Interest Income $758K
Interest Expense -
Non Interest Income -
Other Non Operating Income -
Depreciation -
Depreciation And Amortization $210K
Income Before Tax -$39M
Income Tax Expense $576K
Interest And Debt Expense -
Net Income From Continuing Operations -$39M
Comprehensive Income Net Of Tax -
Ebit -$39M
Ebitda -$39M
Net Income -$39M

Revenue & Profitability

Earnings Performance

CTXR Financials

yearly Balance Sheet (As of Sep 30, 2024)

Field Value (USD)
Total Assets $117M
Total Current Assets $14M
Cash And Cash Equivalents At Carrying Value $3.3M
Cash And Short Term Investments $3.3M
Inventory $8.3M
Current Net Receivables -
Total Non Current Assets $102M
Property Plant Equipment -
Accumulated Depreciation Amortization Ppe -
Intangible Assets $93M
Intangible Assets Excluding Goodwill $93M
Goodwill $9.3M
Investments -
Long Term Investments -
Short Term Investments -
Other Current Assets $2.7M
Other Non Current Assets -
Total Liabilities $43M
Total Current Liabilities $36M
Current Accounts Payable $4.9M
Deferred Revenue -
Current Debt -
Short Term Debt $242K
Total Non Current Liabilities $6.7M
Capital Lease Obligations $263K
Long Term Debt -
Current Long Term Debt -
Long Term Debt Noncurrent -
Short Long Term Debt Total $263K
Other Current Liabilities $31M
Other Non Current Liabilities -
Total Shareholder Equity $70M
Treasury Stock -
Retained Earnings -$201M
Common Stock $7.2K
Common Stock Shares Outstanding $12M

yearly Cash Flow (As of Sep 30, 2024)

Field Value (USD)
Operating Cashflow -$28M
Payments For Operating Activities -
Proceeds From Operating Activities -
Change In Operating Liabilities -
Change In Operating Assets -
Depreciation Depletion And Amortization $210K
Capital Expenditures $0
Change In Receivables -
Change In Inventory -$2.1M
Profit Loss -
Cashflow From Investment -$5M
Cashflow From Financing $10M
Proceeds From Repayments Of Short Term Debt -
Payments For Repurchase Of Common Stock -
Payments For Repurchase Of Equity -
Payments For Repurchase Of Preferred Stock -
Dividend Payout -
Dividend Payout Common Stock -
Dividend Payout Preferred Stock -
Proceeds From Issuance Of Common Stock -
Proceeds From Issuance Of Long Term Debt And Capital Securities Net -
Proceeds From Issuance Of Preferred Stock -
Proceeds From Repurchase Of Equity -
Proceeds From Sale Of Treasury Stock -
Change In Cash And Cash Equivalents -
Change In Exchange Rate -
Net Income -$39M

yearly Income Statement (As of Sep 30, 2024)

Field Value (USD)
Gross Profit -$210K
Total Revenue $0
Cost Of Revenue $210K
Costof Goods And Services Sold $210K
Operating Income -$42M
Selling General And Administrative $18M
Research And Development $12M
Operating Expenses $42M
Investment Income Net -
Net Interest Income $758K
Interest Income $758K
Interest Expense -
Non Interest Income -
Other Non Operating Income -
Depreciation -
Depreciation And Amortization $210K
Income Before Tax -$39M
Income Tax Expense $576K
Interest And Debt Expense -
Net Income From Continuing Operations -$39M
Comprehensive Income Net Of Tax -
Ebit -$39M
Ebitda -$39M
Net Income -$39M

CTXR News

CTXR Profile

Citius Pharmaceuticals Inc Profile

Sector: MANUFACTURING

Industry: MOTOR VEHICLE PARTS & ACCESSORIES

Citius Pharmaceuticals, Inc., a specialty pharmaceutical company, develops and markets critical care products. The company is headquartered in Cranford, New Jersey.

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