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Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$64.29M-23.2%$59.41M+53.3%$51.79M+41.1%$41.95M-6.8%$83.66M-0.1%
$963K+0.1%$963K+0.1%$962K0.0%$962K0.0%$962K0.0%
$4.81M+19.8%$5.54M+60.3%$4M+466%$4.18M+1,739%$4.01M+223%
$220.96M-19.3%$241.42M+59.9%$252.33M$266.75M$273.68M
$2.07M-13.5%$2.23M-9.8%$2.14M$2.25M$2.39M
$2.28M+31.6%$2.12M+35.1%$1.97M$1.88M$1.73M
$6.68M-12.3%$6.93M-11.6%$7.17M$7.4M$7.62M
$585K$0-100%$0$0$0
$73.78M-13.2%$74.42M+263%$76.67M$74.7M$85.02M
$0$0$0$0
$305.04M-17.5%$325.95M+75.5%$339.27M$352.05M$369.67M
$2.11M-58.0%$769K-35.2%$1.48M+184%$914K$5.02M+201%
$1.49M+51.0%$4.74M$3.07M$1.99M$989K
$1.32M+18.1%$1.27M+18.4%$1.22M$1.17M$1.12M
$9.78M+2.6%$11.71M+12.4%$9.85M$7.55M$9.53M
$7.06M-15.8%$7.41M-14.6%$7.75M$8.07M$8.38M
$8.68M
$16.83M-6.0%$19.12M+0.1%$17.6M$15.62M$17.91M
$0$0$0$0$0
500M0.0%500M+9,999,900%500M500M500M
$571.38M+4.1%$562.6M+3,209%$557.12M$551.84M$548.99M
-$283.13M-43.3%-$256.35M-41.6%-$235.91M-$215.64M-$197.57M
-$84K-128%$540K+46.7%$420K$183K$301K
$288.21M-18.1%$306.83M+287%$321.67M+317%$336.43M+351%$351.77M+379%
$305.04M-17.5%$325.95M+75.5%$339.27M$352.05M$369.67M
$152.83M-18.3%$177.43M+61.7%$197.5M$221.59M$186.97M
$226.69M-16.6%$251.31M+93.5%$273.75M$296.1M$271.69M
$289.9M-18.3%$325M$337.3M$354.7M
$152.83M-18.3%$177.43M+61.7%$197.5M$221.59M$186.97M
$585K$0-100%$0$0$0
$6.68M-12.3%$6.93M-11.6%$7.17M$7.4M$7.62M
$73.92M-13.0%$74.16M+264%$76.49M$74.62M$84.96M
$6.68M-12.3%$6.93M-11.6%$7.17M$7.4M$7.62M
$585K$0-100%$0$0$0
$4.35M+5.4%$4.35M+7.7%$4.11M$4.12M$4.12M
$6.68M-12.3%$6.93M-11.6%$7.17M$7.4M$7.62M
$585K$0-100%$0$0$0
$1.49M+51.0%$4.74M+59.5%$3.07M$1.99M$989K
$6.33M+86.7%$9.67M+18.5%$6.93M$5.47M$3.39M
$6.33M+86.7%$9.67M+18.5%$6.93M$5.47M$3.39M
$1.49M+51.0%$4.74M+59.5%$3.07M$1.99M$989K
$17K$6K$224K
$532K-35.4%$522K-29.2%$693K$782K$823K
$8.38M-11.8%$8.68M-11.0%$8.97M$9.24M$9.5M
$0.000.0%$0.000.0%$0.00$0.00$0.00
45.1M+2.2%44.7M+832%44.5M44.1M44.1M
10M0.0%10M10M10M10M
00000
00000
$45K+2.3%$45K+800%$44K$44K$44K
$0$0$0$0$0
2.3M+31.2%2.1M2.1M1.7M
$0.000.0%$0.000.0%$0.00$0.00$0.00
7.1M+26.1%5.8M+55.9%5.7M6M5.6M
$78.3M+134%$32M$34.1M$33.5M
$19.13+90.3%$12.01+105%$10.72$10.31$10.05
$4.35M+5.4%$4.35M+7.7%$4.11M$4.12M$4.12M
$134K$0
$532K-35.4%$522K-29.2%$693K$782K$823K
$4.07M+181%$4.31M+8.7%$3.11M$2.66M$1.45M
$00.0%$00.0%$0$0$0
$500M0.0%$500M+806%$500M$500M$500M
$45.08M+2.2%$44.72M+832%$44.46M$44.13M$44.12M
$45.08M+2.2%$44.72M+847%$44.46M$44.13M$44.09M
$0$0$0$0
$226.69M-16.6%$251.31M+93.5%$273.75M$296.1M$271.69M
$152.77M-18.2%$177.15M+61.8%$197.26M$221.48M$186.74M
$226.61M-16.7%$251.85M+93.4%$274.17M$296.29M$271.99M
$78.3M+134%$32M$34.1M$33.5M
$95K+6.7%$101K$61K$35K$89K
$00.0%$00.0%$0$0$0
$10M0.0%$10M$10M$10M$10M
$0$0$0$0$0
$0$0$0$0$0
$2.28M+31.2%$2.11M$2.1M$1.74M
$7.13M+26.1%$5.77M+55.9%$5.71M$5.97M$5.65M
$19.13+90.3%$12.01+105%$10.72$10.31$10.05
$9.45+65.8%$7.01$6.39$5.7
$149.39M+779%$168.01M+917%$106.79M$43.34M$16.99M
$69.99M+717%$47.2M$23.09M$8.56M

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Questions, answered.

Can Sionna Therapeutics, Inc. Common Stock cover its short-term obligations?
Its current ratio is 22.60 — current assets exceed current liabilities.
Where does Sionna Therapeutics, Inc. Common Stock's balance sheet data come from?
Every line is extracted from Sionna Therapeutics, 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.