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FY'25FY'24FY'23FY'22
$64.79M+45.1%$44.66M+63.4%$27.33M+33.7%$20.44M-27.6%
$152K0.0%$152K0.0%$152K0.0%$152K0.0%
$9.74M+25.4%$7.77M+48.4%$5.23M-38.3%$8.48M+62.3%
$20.42M+122%$9.19M-36.7%$14.53M-1.0%$14.68M+7.9%
$7.47M+887%$757K-83.1%$4.48M+36.4%$3.28M
$3.09M+45.3%$2.13M-39.8%$3.54M+18.2%$2.99M
$9.86M+69.7%$5.81M-2.5%$5.96M-24.5%$7.9M
$1.31M-47.1%$2.48M+1.3%$2.45M-17.4%$2.97M+59.6%
$541K$0
$96.81M+51.0%$64.1M+29.4%$49.53M+6.4%$46.57M-4.8%
$1.32M-23.0%$1.72M-19.6%$2.14M-23.7%$2.8M-6.8%
219,200,000%+46,200,000%173,000,000%-67,000,000%240,000,000%-112,300,000%352,300,000%-82,900,000%
$5.66M+1,477%$359K-29.6%$510K-24.0%$671K-21.7%
$425K+15.5%$368K-3.9%$383K-22.9%$497K-31.3%
$106.41M+55.8%$68.28M+24.2%$54.96M+1.7%$54.06M-6.5%
$10.8M+26.6%$8.53M-16.7%$10.23M+5.7%$9.68M-7.1%
$7.72M-1.2%$7.82M-17.7%$9.49M+29.4%$7.34M+13.2%
$0
$399K-34.7%$611K+213%$195K+24.2%$157K-2.5%
$1M+2.0%$982K+42.1%$691K+1.6%$680K+28.8%
$2.67M+3.7%$2.58M-22.1%$3.31M-16.3%$3.96M-9.0%
$19.92M+11.0%$17.95M-13.0%$20.62M+15.4%$17.87M+1.5%
$1.82M+9.5%$1.66M-35.3%$2.56M-27.6%$3.54M-14.8%
$2.8M+7.7%$2.6M+632%$355K-91.5%$4.2M-10.6%
$29.87M+34.7%$22.18M-16.3%$26.51M+4.4%$25.39M-2.8%
150M+194,705%77K+2.7%75K+1.4%74K+8.8%
$240.99M+5.7%$227.93M+4.2%$218.85M+2.2%$214.09M+6.7%
-$164.53M+9.6%-$181.91M+4.5%-$190.46M-2.7%-$185.49M-9.8%
$76.53M+66.0%$46.09M+62.0%$28.46M-0.8%$28.67M-9.6%
$106.41M+55.8%$68.28M+24.2%$54.96M+1.7%$54.06M-6.5%
$147K+54.7%$95K+39.7%$68K-44.3%$122K
$147K+54.7%$95K+39.7%$68K-44.3%$122K
$1.31M-47.1%$2.48M+1.3%$2.45M-17.4%$2.97M+59.6%
$425K+15.5%$368K-3.9%$383K-22.9%$497K-31.3%
$2.19M+26.7%$1.73M-27.9%$2.4M-31.9%$3.52M-19.0%
$5.66M+1,477%$359K-29.6%$510K-24.0%$671K-21.7%
$2.19M+26.7%$1.73M-27.9%$2.4M-31.9%$3.52M-19.0%
$425K+15.5%$368K-3.9%$383K-22.9%$497K-31.3%
$1.32M-23.0%$1.72M-19.6%$2.14M-23.7%$2.8M-6.8%
$2.19M+26.7%$1.73M-27.9%$2.4M-31.9%$3.52M-19.0%
$425K+15.5%$368K-3.9%$383K-22.9%$497K-31.3%
$2.67M+3.7%$2.58M-22.1%$3.31M-16.3%$3.96M-9.0%
$7.72M-1.2%$7.82M-17.7%$9.49M+29.4%$7.34M+13.2%
$7.72M-1.2%$7.82M-17.7%$9.49M+29.4%$7.34M+13.2%
$2.67M+3.7%$2.58M-22.1%$3.31M-16.3%$3.96M-9.0%
$5.47M$0
$2.67M+3.7%$2.58M-22.1%$3.31M-16.3%$3.96M-9.0%
$2.8M+7.2%$2.61M+591%$378K-91.1%$4.24M-10.2%
$0.000.0%$0.000.0%$0.000.0%$0.00
79.7M+3.1%77.3M+3.1%75M+0.6%74.6M
$79K+2.6%$77K+2.7%$75K+1.4%$74K+8.8%
$147K+54.7%$95K+39.7%$68K-44.3%$122K
$00.0%$00.0%$00.0%$0
$150M0.0%$150M0.0%$150M0.0%$150M
$79.71M+3.1%$77.33M+3.1%$74.98M+0.6%$74.57M
$79.71M+3.1%$77.33M+3.1%$74.98M+0.6%$74.57M
$5.47M$0
$399K-34.7%$611K+213%$195K+24.2%$157K-2.5%
$7.47M+887%$757K-83.1%$4.48M+36.4%$3.28M
-$9K-125%-$4K0.0%-$4K-33.3%-$3K-50.0%

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Questions, answered.

What are Niagen Bioscience, Inc. Common Stock's total assets?
Niagen Bioscience, Inc. Common Stock (NAGE) holds $114.3M in total assets, up 40.6% year over year.
How much debt does Niagen Bioscience, Inc. Common Stock have?
Niagen Bioscience, Inc. Common Stock carries $2.6M in total debt against $82.3M of shareholders' equity, a debt-to-equity ratio of 0.03.
How much cash does Niagen Bioscience, Inc. Common Stock have?
Niagen Bioscience, Inc. Common Stock holds $66.5M in cash and equivalents.
Can Niagen Bioscience, Inc. Common Stock cover its short-term obligations?
Its current ratio is 4.61 — current assets exceed current liabilities.
Where does Niagen Bioscience, Inc. Common Stock's balance sheet data come from?
Every line is extracted from Niagen Bioscience, Inc. Common Stock's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.