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Coeptis Therapeutics, Inc. (COEP) 10-Year Financial Performance & Capital Metrics

COEP • • Industrial / General
HealthcareBiotechnologyOncology TherapeuticsHematologic Oncology
AboutCoeptis Therapeutics, Inc., a biopharmaceutical company, develops and commercializes generic and branded pharmaceutical products and cell therapy platforms for patients with cancer. Its product portfolio consists of CD38-GEAR-NK, a Vy-Gen drug product for the treatment of CD38-related cancers, including multiple myeloma, chronic lymphocytic leukemia, and acute myeloid leukemia; and CD38-Diagnostic, an in vitro screening tool to provide the ability to pre-determine which cancer patients are most likely to benefit from targeted anti-CD38 monoclonal antibodies therapies. The company has collaboration with Statera BioPharma to develop and commercialize STAT-201 for Crohn's disease; and Vici Health Sciences, LLC to co-develop and share ownership rights to CPT60621 for the treatment of Parkinson's Disease. Coeptis Therapeutics, Inc. was founded in 2017 and is headquartered in Wexford, Pennsylvania.Show more
  • Revenue $0
  • EBITDA -$9M +56.0%
  • Net Income -$11M +48.9%
  • EPS (Diluted) -5.65 -580.7%
  • Gross Margin -
  • EBITDA Margin -
  • Operating Margin -
  • Net Margin -
  • ROE -265.91% +45.2%
  • ROIC -171.34% +63.9%
  • Debt/Equity 0.36 +27.5%
  • Interest Coverage -25.38 +87.3%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Share count reduced 92.5% through buybacks

✗Weaknesses

  • ✗Weak Piotroski F-Score: 3/9
  • ✗Trading more than 30% below 52-week high
  • ✗Low asset turnover indicates capital-intensive operations

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y-
5Y-
3Y-
TTM-

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM15.99%

EPS CAGR

10Y-
5Y-
3Y-
TTM588.94%

ROCE

10Y Avg-415.56%
5Y Avg-415.56%
3Y Avg-437.04%
Latest-212.17%

Peer Comparison

Hematologic Oncology
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Sector-Specific
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INCYIncyte Corporation20.66B105.24701.6014.76%24.69%25.55%1.21%0.01
TGTXTG Therapeutics, Inc.4.88B30.71204.7340.8%13.31%21.87%1.14
AGIOAgios Pharmaceuticals, Inc.1.62B27.802.3936.07%-8.96%-31.24%0.04
CLRBCellectar Biosciences, Inc.15.48M3.65-0.09-200.99%0.03
CASICASI Pharmaceuticals, Inc.21.37M1.04-0.41-15.77%-183.93%-301.8%11.96
VORVor Biopharma Inc.308.06M14.06-0.41-94.52%0.33
FATEFate Therapeutics, Inc.121.12M1.05-0.64-78.55%-21.87%-66.69%0.27
KPTIKaryopharm Therapeutics Inc.121.95M6.66-0.71-0.55%-87.43%

Profit & Loss

Dec 2004Dec 2005Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales/Revenue+00030.76K75K000
Revenue Growth %----1.44%-1%--
Cost of Goods Sold+000964.22K01M1M1.04M
COGS % of Revenue---31.35%----
Gross Profit+000-933.46K75K-1M-1M-1.04M
Gross Margin %----30.35%1%---
Gross Profit Growth %----1.08%-14.35%0%-0.04%
Operating Expenses+10.08K308.31K05.93M14.12M33.19M20.49M9.02M
OpEx % of Revenue---192.71%188.28%---
Selling, General & Admin10.08K308.31K05.78M14.12M33.17M13.82M6.68M
SG&A % of Revenue---187.78%188.28%---
Research & Development0003.54K020.89K6.67M2.33M
R&D % of Revenue---0.12%----
Other Operating Expenses000148.19K0000
Operating Income+-10.08K-308K0-6.86M-14.05M-34.2M-21.49M-10.05M
Operating Margin %----223.06%-187.28%---
Operating Income Growth %--29.56%1%--1.05%-1.43%0.37%0.53%
EBITDA+2.65M-344K171.86K-6.54M-13.6M-33.19M-20.49M-9.02M
EBITDA Margin %----212.54%-181.31%---
EBITDA Growth %--1.13%1.5%-39.04%-1.08%-1.44%0.38%0.56%
D&A (Non-Cash Add-back)2.66M-36K171.86K323.43K447.41K1M1M1.04M
EBIT-10.08K-308K0-9.01M-13.26M-37.36M-21.16M-10.48M
Net Interest Income+000-148K-187K-218.41K-107.69K-396.12K
Interest Income00000000
Interest Expense000148.19K187.13K218.41K107.69K396.12K
Other Income/Expense2.66M0-2.23K-2.29M596.65K-3.38M224.59K-822.92K
Pretax Income+2.65M0-2.23K-9.16M-13.45M-37.57M-21.27M-10.88M
Pretax Margin %----297.66%-179.32%---
Income Tax+036K000000
Effective Tax Rate %1%-1%1%1%1%1%1%
Net Income+2.65M-344K-2.23K-9.16M-13.45M-37.57M-21.27M-10.88M
Net Margin %----297.66%-179.32%---
Net Income Growth %--1.13%0.99%-4097.61%-0.47%-1.79%0.43%0.49%
Net Income (Continuing)2.65M-344K-2.23K-9.16M-13.45M-37.57M-21.27M-10.88M
Discontinued Operations00000000
Minority Interest0000000682.06K
EPS (Diluted)+1421.16-184.81-0.00-0.45-13.16-2.87-0.83-5.65
EPS Growth %--1.13%1%--28.24%0.78%0.71%-5.81%
EPS (Basic)1421.16-184.81-0.00-0.45-13.16-2.87-0.83-5.65
Diluted Shares Outstanding1.86K1.86K10.78M20.44M1.02M14.3M25.69M1.93M
Basic Shares Outstanding1.86K1.86K10.78M20.44M1.02M14.3M25.69M1.93M
Dividend Payout Ratio--------

Balance Sheet

Dec 2004Dec 2005Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Current Assets+383153.56K505224.75K2.18M3.94M1.75M1.05M
Cash & Short-Term Investments383153.56K505202.97K2.18M3.79M1.47M532.88K
Cash Only383153.56K505202.97K2.18M3.79M1.47M532.88K
Short-Term Investments00000000
Accounts Receivable00021.79K08.07K38.98K0
Days Sales Outstanding---258.51----
Inventory00000000
Days Inventory Outstanding--------
Other Current Assets00000000
Total Non-Current Assets+46.54K0171.04K75.73K4.59M3.97M6.32M7.86M
Property, Plant & Equipment00073.73K31.85K71.46K108.88K59.78K
Fixed Asset Turnover---0.42x2.35x---
Goodwill00000000
Intangible Assets46.54K00003.55M2.55M541.88K
Long-Term Investments0000003.5M5.69M
Other Non-Current Assets00171.04K2K4.55M348.33K158.33K1.56M
Total Assets+46.92K153.56K171.54K300.48K6.77M7.92M8.07M8.91M
Asset Turnover---0.10x0.01x---
Asset Growth %-2.27%0.12%0.75%21.52%0.17%0.02%0.1%
Total Current Liabilities+310.94K705.22K155.85K5.28M2.76M2.17M2.99M4.51M
Accounts Payable215.94K55.22K4501.62M134.09K99.02K1.42M1.27M
Days Payables Outstanding---614.7-36.09517.55446.22
Short-Term Debt95K650K152.64K1.88M2.42M1.89M1.01M1.19M
Deferred Revenue (Current)002.76K1000K0000
Other Current Liabilities00000182K555.95K1.28M
Current Ratio0.00x0.22x0.00x0.04x0.79x1.81x0.59x0.23x
Quick Ratio0.00x0.22x0.00x0.04x0.79x1.81x0.59x0.23x
Cash Conversion Cycle--------
Total Non-Current Liabilities+000164.72K1.65M1.29M768.43K528.13K
Long-Term Debt000150K1.65M150K150K150K
Capital Lease Obligations00014.72K014.72K61.18K18.88K
Deferred Tax Liabilities00000000
Other Non-Current Liabilities000-101.13M557.25K359.25K
Total Liabilities310.94K705.22K155.85K5.44M4.41M3.46M3.76M5.04M
Total Debt+95K650K152.64K2.09M4.08M2.06M1.22M1.4M
Net Debt94.62K496.44K152.14K1.88M1.9M-1.73M-244.91K866.17K
Debt / Equity--9.73x-1.74x0.46x0.28x0.36x
Debt / EBITDA0.04x-0.89x-----
Net Debt / EBITDA0.04x-0.89x-----
Interest Coverage----46.30x-75.06x-156.57x-199.57x-25.38x
Total Equity+-264.01K-551.66K15.69K-5.14M2.35M4.45M4.31M3.87M
Equity Growth %--1.09%1.03%-328.77%1.46%0.89%-0.03%-0.1%
Book Value per Share-141.71-296.110.00-0.252.300.310.172.01
Total Shareholders' Equity-264.01K-551.66K15.69K-5.14M2.35M4.45M4.31M3.19M
Common Stock3.76K1.6K25K2.52K3.55K1.96K3.53K212
Retained Earnings-2.93M-3.33M-9.31K-14.1M-27.55M-66.09M-87.36M-98.23M
Treasury Stock0000-247.16K000
Accumulated OCI00000000
Minority Interest0000000682.06K

Cash Flow

Dec 2004Dec 2005Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+1.55M-417.02K-90.07K-3.14M-4.49M-3.88M-7.24M-6.65M
Operating CF Margin %----101.95%-59.86%---
Operating CF Growth %--1.27%0.78%-33.82%-0.43%0.14%-0.87%0.08%
Net Income2.65M-344.31K-2.23K-9.16M-13.45M-37.57M-21.27M-10.88M
Depreciation & Amortization000323.43K447.41K1M1.04M1.04M
Stock-Based Compensation00001.9M0477.5K1.1M
Deferred Taxes00005.34M000
Other Non-Cash Items00-88.28K3.03M4.26M33.25M10.79M2.21M
Working Capital Changes-1.09M-72.72K4502.66M-2.98M-550.34K1.73M-125.26K
Change in Receivables000-14.91K21.79K-8.07K-30.9K-234.74K
Change in Inventory000732.15K-422.02K000
Change in Payables0001.47M-1.58M-35.07K1.32M-149.94K
Cash from Investing+000-75.75M-1.75M000
Capital Expenditures0000-1.75M000
CapEx % of Revenue----23.33%---
Acquisitions--------
Investments--------
Other Investing00000000
Cash from Financing+-1.55M570.2K90.57K2.9M8.22M5.49M4.92M5.71M
Debt Issued (Net)--------
Equity Issued (Net)--------
Dividends Paid00000000
Share Repurchases--------
Other Financing-1.55M570.2K90.57K0-50.9K4.63M200K500K
Net Change in Cash--------
Free Cash Flow+1.55M-417.02K-90.07K-3.14M-6.24M-3.88M-7.24M-6.65M
FCF Margin %----101.95%-83.19%---
FCF Growth %--1.27%0.78%-33.82%-0.99%0.38%-0.87%0.08%
FCF per Share834.05-223.85-0.01-0.15-6.11-0.27-0.28-3.45
FCF Conversion (FCF/Net Income)0.59x1.21x40.32x0.34x0.33x0.10x0.34x0.61x
Interest Paid00000000
Taxes Paid00000000

Key Ratios

Metric20042005201920202021202220232024
Return on Equity (ROE)---14.24%--572.16%-1104.48%-485.13%-265.91%
Return on Invested Capital (ROIC)-----2118.9%-735.8%-474.95%-171.34%
Gross Margin----3034.54%100%---
Net Margin----29765.89%-17932.37%---
Debt / Equity--9.73x-1.74x0.46x0.28x0.36x
Interest Coverage----46.30x-75.06x-156.57x-199.57x-25.38x
FCF Conversion0.59x1.21x40.32x0.34x0.33x0.10x0.34x0.61x
Revenue Growth----143.82%-100%--

Frequently Asked Questions

Growth & Financials

Coeptis Therapeutics, Inc. (COEP) reported $0.5M in revenue for fiscal year 2024.

Coeptis Therapeutics, Inc. (COEP) grew revenue by 0.0% over the past year. Growth has been modest.

Coeptis Therapeutics, Inc. (COEP) reported a net loss of $9.8M for fiscal year 2024.

Dividend & Returns

Coeptis Therapeutics, Inc. (COEP) has a return on equity (ROE) of -265.9%. Negative ROE indicates the company is unprofitable.

Coeptis Therapeutics, Inc. (COEP) had negative free cash flow of $8.4M in fiscal year 2024, likely due to heavy capital investments.

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