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AGPU

Axe Compute Inc.

Price Chart
Latest Quote

$2.81

Current Price
Previous Close $2.88
Open $2.75
Day High $2.90
Day Low $2.67
Volume 58,901
Fetched: 2026-02-03T06:00:52
Stock Information
Shares Outstanding 3.39M
Total Debt $1.89M
Cash Equivalents $182K
Revenue $1.66M
Net Income $-84.62M
Sector Technology
Industry Software - Infrastructure
Market Cap $9.52M
EPS (TTM) $-141.32
Exchange NCM
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📊 Custom Metrics & Score
Score: 9/42
Debt to Equity -10.52
Debt to Earnings 2.67
Current Ratio 0.62
Quick Ratio 0.41
Avg Revenue Growth 3.57%
Profit Margin -779.91%
Return on Equity 6250.62%
Avg FCF Growth -4.15%
FCF Yield -115.39%
Score Explanation: The perfect score is 42/42 based on debt levels, profitability, growth rates, and cash flow metrics. FCF Yield is weighted most heavily as it shows what return the business currently generates.
Recent Price History
Date Close Volume
2026-02-02 $2.81 58,901
2026-01-30 $2.86 301,900
2026-01-29 $2.51 232,200
2026-01-28 $3.37 278,800
2026-01-27 $5.04 55,400
2026-01-26 $4.90 105,600
2026-01-23 $5.51 45,500
2026-01-22 $5.99 75,400
2026-01-21 $6.25 86,000
2026-01-20 $5.99 174,300
2026-01-16 $6.43 432,200
2026-01-15 $7.08 3,864,600
2026-01-14 $6.86 47,100
2026-01-13 $7.21 36,400
2026-01-12 $6.91 10,300
2026-01-09 $6.82 12,500
2026-01-08 $6.76 40,300
2026-01-07 $6.63 33,100
2026-01-06 $6.42 15,800
2026-01-05 $6.59 70,200
About Axe Compute Inc.

Axe Compute Inc., a knowledge and science-driven company, applies artificial intelligence (AI) to support the discovery and development of cancer therapies. It operates through two segments, Pittsburgh and Eagan. The Pittsburgh segment provides services that include the application of AI using its proprietary biobank of 150,000+ tumor samples. This segment also creates proprietary 3D culture models used in drug development. Its Eagan segment produces the FDA-cleared STREAMWAY System and associated products for automated medical fluid waste management and patient-to-drain medical fluid disposal. Predictive Oncology Inc. has a strategic collaboration with Every Cure to identify and prioritize drugs for repurposing. The company was formerly known as Predictive Oncology Inc. and changed its name to Axe Compute Inc. in December 2025. Axe Compute Inc. was incorporated in 2002 and is headquartered in Pittsburgh, Pennsylvania.

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Income Statement (Annual)
Revenue
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Reconciled Cost Of Revenue $826,137 $609,212 $505,107 $487,024
Cost Of Revenue $826,137 $609,212 $505,107 $487,024
Total Revenue $1,623,817 $1,627,697 $1,505,459 $1,420,680
Operating Revenue $1,623,817 $1,627,697 $1,505,459 $1,420,680
Expenses
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Total Expenses $12,563,287 $13,745,433 $16,773,174 $14,892,244
Other Income Expense $79,265 $100,175 $-10,469,919 $-6,847,268
Other Non Operating Income Expenses $77,889 $87,718 $180,371 $-55,103
Operating Expense $11,737,150 $13,136,221 $16,268,067 $14,405,220
Other Operating Expenses $2,851,045 $3,268,165 $3,798,425 $2,698,565
Selling And Marketing Expense $1,466,213 $1,487,139 $1,358,907 $774,530
General And Administrative Expense $7,419,892 $8,380,917 $11,110,735 $10,932,125
Income & Earnings
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Net Income From Continuing Operation Net Minority Interest $-10,860,205 $-12,017,561 $-25,737,634 $-19,657,174
Normalized Income $-10,861,581 $-12,030,018 $-15,087,344 $-13,086,188
Net Income From Continuing And Discontinued Operation $-12,664,388 $-13,983,967 $-25,737,634 $-19,657,174
Total Operating Income As Reported $-10,939,470 $-12,117,736 $-26,033,652 $-20,428,631
Net Income Common Stockholders $-12,664,388 $-13,983,967 $-25,737,634 $-19,657,174
Net Income $-12,664,388 $-13,983,967 $-25,737,634 $-19,657,174
Net Income Including Noncontrolling Interests $-12,664,388 $-13,983,967 $-25,737,634 $-19,657,174
Net Income Discontinuous Operations $-1,804,183 $-1,966,406 - -
Net Income Continuous Operations $-10,860,205 $-12,017,561 $-25,737,634 $-19,657,174
Pretax Income $-10,860,205 $-12,017,561 $-25,737,634 $-20,318,832
Operating Income $-10,939,470 $-12,117,736 $-15,267,715 $-13,471,564
Gross Profit $797,680 $1,018,485 $1,000,352 $933,656
Special Income Charges - $-162,905 $-10,765,937 $-6,957,067
Per Share Metrics
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Diluted EPS $-34.80 $-52.20 $-104.70 $-108.00
Basic EPS $-34.80 $-52.20 $-104.70 $-108.00
Other
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Tax Effect Of Unusual Items $0 $0 $0 $-221,179
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $-10,245,183 $-11,405,385 $-3,304,350 $-5,339,098
Total Unusual Items $1,376 $12,457 $-10,650,290 $-6,792,165
Total Unusual Items Excluding Goodwill $1,376 $12,457 $-10,650,290 $-6,792,165
Reconciled Depreciation $695,663 $724,808 $1,313,075 $1,340,301
EBITDA (Bullshit earnings) $-10,243,807 $-11,392,928 $-13,954,640 $-12,131,263
EBIT $-10,939,470 $-12,117,736 $-15,267,715 $-13,471,564
Diluted Average Shares $363,575 $267,656 $245,730 $182,920
Basic Average Shares $363,575 $267,656 $245,730 $182,920
Diluted NI Availto Com Stockholders $-12,664,388 $-13,983,967 $-25,737,634 $-19,657,174
Gain On Sale Of Security $1,376 $12,457 $115,647 $164,902
Selling General And Administration $8,886,105 $9,868,056 $12,469,642 $11,706,655
Other Gand A $7,419,892 $8,380,917 $11,110,735 $10,932,125
Impairment Of Capital Assets - $162,905 $10,765,937 $6,957,067
Tax Provision - - $0 $-661,658
Otherunder Preferred Stock Dividend - - - $0
Fetched: 2026-02-02
Balance Sheet (Annual)
Assets
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Net Tangible Assets $-412,723 $8,030,441 $21,512,027 $29,445,777
Total Assets $4,972,517 $14,417,249 $25,734,644 $43,771,271
Total Non Current Assets $2,746,599 $4,338,818 $2,374,631 $14,312,997
Other Non Current Assets $102,509 $1,008,174 $75,618 $167,065
Goodwill And Other Intangible Assets $210,113 $241,339 $253,865 $10,819,907
Other Intangible Assets $210,113 $241,339 $253,865 $3,962,117
Current Assets $2,225,918 $10,078,431 $23,360,013 $29,458,273
Other Current Assets $306,302 $512,078 $526,801 $513,778
Assets Held For Sale Current $53,649 $79,249 - -
Inventory $385,728 $480,803 $430,493 $387,684
Receivables $745,566 $277,641 $331,196 $354,196
Accounts Receivable $745,566 $277,641 $331,196 $354,196
Allowance For Doubtful Accounts Receivable $-3,850 $-3,850 $0 $0
Gross Accounts Receivable $749,416 $281,491 $331,196 $354,196
Cash Cash Equivalents And Short Term Investments $734,673 $8,728,660 $22,071,523 $28,202,615
Cash And Cash Equivalents $734,673 $8,728,660 $22,071,523 $28,202,615
Cash Financial - $8,728,660 $22,071,523 -
Prepaid Assets - - - $513,778
Debt
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Total Debt $2,130,978 $2,726,282 $180,319 $879,326
Long Term Debt And Capital Lease Obligation $1,558,239 $2,130,977 $86,082 $239,664
Current Debt And Capital Lease Obligation $572,739 $595,305 $94,237 $639,662
Current Debt - $150,408 - -
Liabilities
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Total Liabilities Net Minority Interest $5,175,127 $6,145,469 $3,968,752 $3,505,587
Total Non Current Liabilities Net Minority Interest $1,581,726 $2,194,438 $86,082 $265,079
Other Non Current Liabilities $23,487 $5,459 - $25,415
Liabilities Heldfor Sale Non Current $0 $58,002 - -
Current Liabilities $3,593,401 $3,951,031 $3,882,670 $3,240,508
Other Current Liabilities $164,771 $176,215 $13,833 $129,480
Current Deferred Liabilities $304,985 $302,499 $602,073 $186,951
Current Notes Payable $0 $150,408 $0 $0
Payables And Accrued Expenses $2,550,906 $2,877,012 $3,172,527 $2,284,415
Payables $1,142,919 $1,334,064 $943,452 $1,021,774
Accounts Payable $1,142,919 $1,334,064 $943,452 $1,021,774
Equity
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Common Stock Equity $-203,402 $8,270,988 $21,765,100 $40,264,892
Preferred Stock Equity $792 $792 $792 $792
Total Equity Gross Minority Interest $-202,610 $8,271,780 $21,765,892 $40,265,684
Stockholders Equity $-202,610 $8,271,780 $21,765,892 $40,265,684
Retained Earnings $-180,426,271 $-167,761,883 $-153,777,916 $-128,040,282
Other
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Ordinary Shares Number $444,466 $270,856 $262,542 $218,715
Share Issued $444,466 $270,856 $262,542 $218,715
Tangible Book Value $-413,515 $8,029,649 $21,511,235 $29,444,985
Invested Capital $-203,402 $8,421,396 $21,765,100 $40,264,892
Working Capital $-1,367,483 $6,127,400 $19,477,343 $26,217,765
Capital Lease Obligations $2,130,978 $2,575,874 $180,319 $879,326
Total Capitalization $-202,610 $8,271,780 $21,765,892 $40,265,684
Additional Paid In Capital $180,156,199 $175,992,242 $175,503,634 $167,649,028
Capital Stock $67,462 $41,421 $40,174 $656,938
Common Stock $66,670 $40,629 $39,382 $656,146
Preferred Stock $792 $792 $792 $792
Long Term Capital Lease Obligation $1,558,239 $2,130,977 $86,082 $239,664
Current Deferred Revenue $304,985 $302,499 $602,073 $186,951
Current Capital Lease Obligation $572,739 $444,897 $94,237 $639,662
Current Accrued Expenses $1,407,987 $1,542,948 $2,229,075 $1,262,641
Net PPE $2,433,977 $3,089,305 $2,045,148 $3,326,025
Accumulated Depreciation $-2,038,764 $-2,144,732 $-2,877,600 $-2,068,338
Gross PPE $4,472,741 $5,234,037 $4,922,748 $5,394,363
Leases $306,961 $306,961 $535,527 $428,596
Other Properties $3,788,291 $4,326,075 $3,923,929 $4,448,279
Machinery Furniture Equipment $237,726 $467,716 $463,292 $517,488
Buildings And Improvements $139,763 $133,285 - -
Properties $0 $0 $0 $0
Finished Goods $192,051 $253,693 $290,616 $193,287
Work In Process $18,500 $0 $6,694 $10,987
Raw Materials $175,177 $227,110 $133,183 $183,410
Goodwill - - $0 $6,857,790
Fetched: 2026-02-02
Cash Flow Statement (Annual)
Free Cash Flow
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Free Cash Flow $-10,984,078 $-11,831,620 $-12,846,497 $-13,171,251
Operating Activities
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Operating Cash Flow $-10,974,568 $-11,784,070 $-12,370,800 $-12,208,929
Cash Flow From Continuing Operating Activities $-10,974,568 $-11,784,070 $-12,370,800 $-12,208,929
Operating Gains Losses $4,165 $-11,554 $-101,301 $-159,044
Investing Activities
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Capital Expenditure $-9,510 $-47,550 $-475,697 $-962,322
Investing Cash Flow $-9,510 $-47,550 $-475,697 $-10,607,536
Cash Flow From Continuing Investing Activities $-9,510 $-47,550 $-475,697 $-10,607,536
Net Other Investing Changes - - - $-55,000
Financing Activities
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Repurchase Of Capital Stock $0 $-1,509 $-27,654 $-11,526
Issuance Of Capital Stock $4,960,562 $0 $6,743,059 $51,199,117
Financing Cash Flow $3,939,194 $148,899 $6,715,405 $50,340,748
Cash Flow From Continuing Financing Activities $3,939,194 $148,899 $6,715,405 $50,340,748
Net Other Financing Charges $-870,960 - - $-1,197,970
Net Common Stock Issuance $4,960,562 $-1,509 $6,715,405 $51,187,591
Common Stock Issuance $4,960,562 $0 $6,743,059 $51,199,117
Other
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Repayment Of Debt $-425,506 $-214,313 $0 $-4,162,744
Issuance Of Debt $275,098 $364,721 $0 $0
Interest Paid Supplemental Data $11,466 $13,904 $3,821 $690,508
End Cash Position $734,673 $8,728,660 $22,071,523 $28,202,615
Beginning Cash Position $8,728,660 $22,071,523 $28,202,615 $678,332
Changes In Cash $-7,993,987 $-13,342,863 $-6,131,092 $27,524,283
Cash Flow From Discontinued Operation $-949,103 $-1,660,142 - -
Common Stock Payments $0 $-1,509 $-27,654 $-11,526
Net Issuance Payments Of Debt $-150,408 $150,408 $0 $-4,162,744
Net Short Term Debt Issuance $-150,408 $150,408 $0 -
Short Term Debt Payments $-425,506 $-214,313 $0 -
Short Term Debt Issuance $275,098 $364,721 $0 -
Net Intangibles Purchase And Sale $0 $-26,017 $-55,828 $-51,893
Purchase Of Intangibles $0 $-26,017 $-55,828 $-51,893
Net PPE Purchase And Sale $-9,510 $-21,533 $-419,869 $-910,429
Purchase Of PPE $-9,510 $-21,533 $-419,869 $-910,429
Change In Working Capital $-914,562 $-780,360 $866,686 $-1,194,382
Change In Other Working Capital $2,486 $-266,803 $41,819 $54,548
Change In Other Current Liabilities $-426,868 $-441,024 $-25,415 $-85,790
Change In Payables And Accrued Expense $-326,106 $15,058 $791,665 $-849,859
Change In Accrued Expense $-134,961 $-384,149 $869,987 $-499,563
Change In Payable $-191,145 $399,207 $-78,322 $-350,296
Change In Account Payable $-191,145 $399,207 $-78,322 $-350,296
Change In Prepaid Assets $208,776 $-41,146 $78,425 $-194,363
Change In Inventory $95,075 $-65,448 $-42,808 $-98,149
Change In Receivables $-467,925 $19,003 $23,000 $-20,769
Changes In Account Receivables $-467,925 $19,003 $23,000 $-20,769
Other Non Cash Items $100,371 $300,597 $522,437 $1,165,961
Depreciation Amortization Depletion $695,663 $724,808 $1,313,075 $1,340,301
Depreciation And Amortization $695,663 $724,808 $1,313,075 $1,340,301
Amortization Cash Flow $26,488 $26,463 $414,706 $374,328
Amortization Of Intangibles $26,488 $26,463 $414,706 $374,328
Depreciation $669,175 $698,345 $898,369 $965,973
Gain Loss On Investment Securities $-1,376 $-12,457 $-115,647 $-164,902
Gain Loss On Sale Of PPE $5,541 $903 $14,346 $5,858
Net Income From Continuing Operations $-10,860,205 $-12,017,561 $-25,737,634 $-19,657,174
Asset Impairment Charge - $162,905 $10,765,937 $6,957,067
Proceeds From Stock Option Exercised - - $0 $4,513,871
Net Long Term Debt Issuance - - $0 $-4,162,744
Long Term Debt Payments - - $0 $-4,162,744
Net Business Purchase And Sale - - $0 $-9,590,214
Purchase Of Business - - $0 $-9,590,214
Deferred Tax - - $0 $-661,658
Deferred Income Tax - - $0 $-661,658
Long Term Debt Issuance - - - $0
Sale Of PPE - - - $0
Unrealized Gain Loss On Investment Securities - - - $-164,902
Fetched: 2026-02-02