Grace Therapeutics is in a pre-revenue, pipeline-driven phase as of QQ2 2026. The quarter shows no topline revenue, with a net loss of $0.938 million and an earnings per share of -$0.06, driven primarily by operating expenses of $2.529 million (R&D $0.568 million and G&A $1.961 million). Cash burn totaled $3.143 million for the quarter, reducing cash and cash equivalents to $16.862 million from $20.005 million at the start of the period. Management guidance is not explicitly provided in the disclosed materials, underscoring the high visibility risk inherent to early-stage biotech absent milestone-driven milestones. The balance sheet remains leveraged toward intangible assets and goodwill, with robust stockholders’ equity and no debt, suggesting liquidity runway is contingent on ongoing financing of the pipeline and potential partnering outcomes.
Looking ahead, the company’s near-term value creation hinges on the progression and potential milestone outcomes for GTX104 (intravenous infusion for subarachnoid hemorrhage) and the GTX102/ GTX101 programs. Absent revenue, investor focus centers on pipeline validation, regulatory milestones, potential licensing deals, and additional capital strategy. In the current environment, Grace Therapeutics presents a high-risk, high-reward profile typical of pre-commercial biotechnology peers: substantial upside if late-stage data or strategic collaborations materialize, tempered by liquidity risk and the need for external financing to sustain ongoing development.
Key Performance Indicators
Net Income
Increasing
-938.00K
QoQ: 72.10% | YoY: 64.16%
EPS
Increasing
-0.06
QoQ: 71.43% | YoY: 75.00%
Revenue Trend
Margin Analysis
Financial Highlights
Revenue: None reported (N/A)
Net Income: -$0.938 million for QQ2 2026; YoY change +64.16%; QoQ change +72.10% (per reported earnings metrics)
EPS: -$0.06 for QQ2 2026; YoY +75.00%; QoQ +71.43%
R&D Expenses: $0.568 million for QQ2 2026
General & Administrative Expenses: $1.961 million for QQ2 2026
Operating Expenses: $2.529 million
Income Before Tax: -$0.938 million
Net Cash Provided by Operating Activities: -$3.143 million
Free Cash Flow: -$3.143 million
Cash at End of Period: $16.862 million; Cash at Beginning of Period: $20.005 million; Net Change in Cash: -$3.143 million
Weighted Average Shares Outstanding: 15,924,522 (basic and diluted)
Total Assets: $66.576 million
Total Current Assets: $17.298 million
Total Non-Current Assets: $49.278 million (including Goodwill $8.138 million and Intangible Assets $41.128 million)
Total Liabilities: $3.758 million
Total Stockholders’ Equity: $62.818 million
Net Debt: -$16.862 million (net cash position)
Cumulative Retained Earnings: -$224.987 million
Accumulated Other Comprehensive Income/Loss: -$6.038 million
Income Statement
Metric
Value
YoY Change
QoQ Change
Net Income
-938.00K
64.16%
72.10%
EPS
-0.06
75.00%
71.43%
Key Financial Ratios
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