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AKAN

Akanda Corp.

Price Chart
Latest Quote

$9.19

-0.38 (-3.97%)
Current Price
Previous Close $9.57
Open $9.19
Day High $9.33
Day Low $9.01
Volume 7,757
Fetched: 2026-07-18T02:00:20
Stock Information
Shares Outstanding 541K
Total Debt $14.24M
Cash Equivalents $504K
Revenue $258K
Net Income $-46.16M
Sector Healthcare
Industry Drug Manufacturers - Specialty & Generic
Market Cap $4.97M
EPS (TTM) $-14388.62
Exchange NCM
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📊 Comprehensive Analysis
Company Data
Enterprise Value$19.75M
Sales$258K
Income$-46.16M
Book/sh$-15.59
Cash/sh$0.93
Financial Ratios
Quick Ratio0.31
Current Ratio0.58
Returns & Margins
ROA-44.15%
Gross Margin-60.46%
Operating Margin-1353.34%
Ownership
Insider Ownership0.59%
Institutional Ownership1.89%
Insider & Institutional transactions data not available
Valuation Ratios
P/S19.26
P/B-0.59
Analyst Data
Recommendationnone
Technical Indicators
SMA20$12.46
SMA50$17.27
SMA200$18.36
RSI9.45
ATR0.9669
Shares Float538K
Short Float3.38%
Short Ratio0.06
Volatility14.16
Rel Volume0.28
Performance History
Week-7.55%
Month-51.88%
Quarter+179.33%
6 Months+25.94%
YTD-17.23%
Year-89.90%
3 Years-99.74%
10 Years-100.00%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-07-17 $9.19 7,900
2026-07-16 $9.57 9,700
2026-07-15 $10.00 45,100
2026-07-14 $9.48 10,000
2026-07-13 $9.58 7,500
2026-07-10 $9.94 16,100
2026-07-09 $10.05 21,700
2026-07-08 $10.16 26,400
2026-07-07 $11.42 76,800
2026-07-06 $12.11 19,500
2026-07-02 $12.33 20,400
2026-07-01 $13.62 14,500
2026-06-30 $13.71 10,200
2026-06-29 $13.66 31,800
2026-06-26 $14.08 22,600
2026-06-25 $14.88 40,700
2026-06-24 $16.01 28,700
2026-06-23 $16.18 58,800
2026-06-22 $15.07 37,400
2026-06-18 $18.20 49,300
About Akanda Corp.

Akanda Corp., through its subsidiaries, operates as early-stage cannabis company in Mexico. It is involved in medical cannabis cultivation, manufacturing, and sale; and leasing and/or rental of fiber optic networks and telecommunication towers. The company is based in Toronto, Canada.

Period:
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Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Revenue
Reconciled Cost Of Revenue $414,098 $0 $364,346 $-649,877
Cost Of Revenue $414,098 $0 $364,346 $-649,877
Total Revenue $258,075 $0 $423,683 $2,619,682
Operating Revenue $258,075 $0 $423,683 $2,619,682
Expenses
Interest Expense $925,092 $81,083 $121,396 $115,324
Total Expenses $5,241,482 $4,030,183 $4,082,481 $22,796,071
Other Income Expense $-41,458,416 $796,490 $67,778 $12,055,378
Other Non Operating Income Expenses $1,750,820 $74,455 $7,055 $659
Net Non Operating Interest Income Expense $-925,092 $-78,130 $-121,357 $-114,438
Interest Expense Non Operating $925,092 $81,083 $121,396 $115,324
Operating Expense $4,827,384 $4,030,183 $3,718,135 $23,445,948
General And Administrative Expense $4,393,691 $3,892,912 $3,508,952 $19,847,625
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $-46,161,552 $-3,311,823 $-3,712,377 $-8,235,449
Net Interest Income $-925,092 $-78,130 $-121,357 $-114,438
Interest Income $0 $2,953 $39 $886
Normalized Income $-2,952,316 $-4,033,858 $-3,773,100 $-20,290,168
Net Income From Continuing And Discontinued Operation $-45,653,948 $-4,096,029 $-32,275,070 $-11,657,674
Total Operating Income As Reported $-4,983,407 $-4,030,183 $-3,658,798 $-20,176,389
Net Income Common Stockholders $-45,653,948 $-4,096,029 $-32,275,070 $-11,657,674
Net Income $-45,653,948 $-4,096,029 $-32,275,070 $-11,657,674
Net Income Including Noncontrolling Interests $-46,859,311 $-4,096,029 $-32,275,070 $-11,657,674
Net Income Discontinuous Operations $507,604 $-784,206 $-28,562,693 $-3,422,225
Net Income Continuous Operations $-47,366,915 $-3,311,823 $-3,712,377 $-8,235,449
Pretax Income $-47,366,915 $-3,311,823 $-3,712,377 $-8,235,449
Special Income Charges $-43,482,842 $854,877 $283,667 $12,827,431
Interest Income Non Operating $0 $2,953 $39 $886
Operating Income $-4,983,407 $-4,030,183 $-3,658,798 $-20,176,389
Depreciation Amortization Depletion Income Statement $433,693 $137,271 $209,183 $3,598,323
Depreciation And Amortization In Income Statement $433,693 $137,271 $209,183 $3,598,323
Gross Profit $-156,023 $0 $59,337 $3,269,559
Per Share
Diluted EPS $-14899.95 $-140.67 $-32275.07 $-18955.57
Basic EPS $-14899.95 $-140.67 $-32275.07 $-18955.57
Other
Tax Effect Of Unusual Items $0 $0 $0 $0
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $-2,798,894 $-3,815,504 $-3,442,521 $-16,411,523
Total Unusual Items $-43,209,236 $722,035 $60,723 $12,054,719
Total Unusual Items Excluding Goodwill $-43,209,236 $722,035 $60,723 $12,054,719
Reconciled Depreciation $433,693 $137,271 $209,183 $3,763,321
EBITDA (Bullshit earnings) $-46,008,130 $-3,093,469 $-3,381,798 $-4,356,804
EBIT $-46,441,823 $-3,230,740 $-3,590,981 $-8,120,125
Diluted Average Shares $3,064 $29,117 $1,000 $615
Basic Average Shares $3,064 $29,117 $1,000 $615
Diluted NI Availto Com Stockholders $-45,653,948 $-4,096,029 $-32,275,070 $-11,657,674
Minority Interests $1,205,363 $0 - -
Gain On Sale Of Business $0 $198,780 $0 -
Other Special Charges $-1,914,956 $-180,281 $-113,037 $-67,075
Write Off $235,686 $-475,816 $-170,630 $0
Impairment Of Capital Assets $44,812,112 $0 $24,665,564 $0
Restructuring And Mergern Acquisition $350,000 $0 $0 $-12,760,356
Gain On Sale Of Security $273,606 $-132,842 $-222,944 $-772,712
Selling General And Administration $4,393,691 $3,892,912 $3,508,952 $19,847,625
Other Gand A $3,768,981 $3,397,213 $3,022,447 $11,129,483
Salaries And Wages $624,710 $495,699 $486,505 $8,718,142
Gain On Sale Of Ppe - - $-4,495 $0
Fetched: 2026-07-02
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Assets
Net Tangible Assets $-10,785,074 $4,260,711 $-7,628,574 $4,691,567
Total Assets $6,195,555 $7,914,083 $8,839,993 $38,996,777
Total Non Current Assets $2,593,420 $2,858,502 $7,034,128 $35,175,756
Non Current Note Receivables $0 $503,493 $593,232 $483,588
Goodwill And Other Intangible Assets $0 $15,827 $3,799,682 $22,208,594
Current Assets $3,602,135 $5,055,581 $1,805,865 $3,821,021
Restricted Cash $574 $3,216 $11,059 $27,009
Prepaid Assets $1,698,022 $391,649 $140,583 $199,488
Receivables $1,399,977 $822,066 $284,513 $1,235,619
Other Receivables $1,031 - $89,617 $424,118
Taxes Receivable $1,301,319 $14,432 $39,111 $91,416
Loans Receivable $0 $451,529 $0 -
Accounts Receivable $97,627 $356,105 $155,785 $720,085
Cash Cash Equivalents And Short Term Investments $503,562 $3,838,650 $82,816 $492,485
Cash And Cash Equivalents $503,562 $3,838,650 $82,816 $228,794
Cash Financial $503,562 $3,838,650 $82,816 $228,794
Other Intangible Assets - $15,827 $3,799,682 $22,208,594
Inventory - $0 $1,286,894 $1,866,420
Other Current Assets - - - $809,180
Debt
Net Debt $13,336,726 - $3,780,638 $3,340,102
Total Debt $14,236,409 $352,814 $3,998,791 $3,899,717
Long Term Debt And Capital Lease Obligation $11,986,627 $0 $2,497,155 $2,748,866
Long Term Debt $11,777,948 - $2,497,155 $2,632,103
Current Debt And Capital Lease Obligation $2,249,782 $352,814 $1,501,636 $1,150,851
Current Debt $2,062,340 $352,814 $1,366,299 $936,793
Other Current Borrowings $2,062,340 $352,814 $1,366,299 $936,793
Liabilities
Total Liabilities Net Minority Interest $18,185,992 $3,637,545 $12,668,885 $12,096,616
Total Non Current Liabilities Net Minority Interest $11,986,627 $0 $2,497,155 $2,748,866
Current Liabilities $6,199,365 $3,637,545 $10,171,730 $9,347,750
Payables And Accrued Expenses $3,949,583 $3,284,731 $8,670,094 $8,196,899
Payables $3,949,583 $3,284,731 $8,670,094 $8,196,899
Accounts Payable $3,309,037 $2,982,499 $6,014,572 $7,139,817
Other Payable - - $400,000 $377,465
Equity
Common Stock Equity $-10,785,074 $4,276,538 $-3,828,892 $26,900,161
Total Equity Gross Minority Interest $-11,990,437 $4,276,538 $-3,828,892 $26,900,161
Stockholders Equity $-10,785,074 $4,276,538 $-3,828,892 $26,900,161
Gains Losses Not Affecting Retained Earnings $-2,301,295 $-1,583,799 $-1,485,981 $-1,446,569
Other Equity Adjustments $-2,301,295 $-1,583,799 $-1,485,981 $-1,446,569
Retained Earnings $-103,091,953 $-57,459,061 $-53,363,032 $-21,087,962
Other
Ordinary Shares Number $440,775 $29,117 $1,000 $615
Share Issued $440,775 $29,117 $1,000 $615
Tangible Book Value $-10,785,074 $4,260,711 $-7,628,574 $4,691,567
Invested Capital $3,055,214 $4,629,352 $34,562 $30,469,057
Working Capital $-2,597,230 $1,418,036 $-8,365,865 $-5,526,729
Capital Lease Obligations $396,121 $0 $135,337 $330,821
Total Capitalization $992,874 $4,276,538 $-1,331,737 $29,532,264
Minority Interest $-1,205,363 $0 - -
Capital Stock $94,608,174 $63,319,398 $51,020,121 $49,434,692
Common Stock $94,608,174 $63,319,398 $51,020,121 $49,434,692
Long Term Capital Lease Obligation $208,679 $0 $0 $116,763
Current Capital Lease Obligation $187,442 $0 $135,337 $214,058
Dueto Related Parties Current $640,546 $302,232 $2,255,522 $679,617
Net PPE $2,593,420 $2,339,182 $2,641,214 $12,483,574
Accumulated Depreciation $-5,357,756 $-28,836 $-11,556,200 $-1,124,883
Gross PPE $7,951,176 $2,368,018 $14,197,414 $13,608,457
Leases $141,694 $136,661 $1,538 $0
Construction In Progress $812,141 $0 $0 $0
Other Properties $3,964,278 - - $324,070
Machinery Furniture Equipment $422,421 $16,357 $12,718,557 $12,399,150
Buildings And Improvements $136,138 $0 $121,982 $324,070
Land And Improvements $2,474,504 $2,215,000 $1,355,337 $885,237
Properties $0 $0 $0 $0
Other Inventories - - $1,286,894 $1,866,420
Other Short Term Investments - - $0 $263,691
Fetched: 2026-07-02
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $-7,963,104 $-6,078,503 $-1,502,076 $-11,780,342
Operating Activities
Operating Cash Flow $-6,729,048 $-3,980,365 $-1,500,574 $-11,469,396
Cash Flow From Continuing Operating Activities $-6,729,048 $-3,980,365 $-1,500,574 $-11,469,396
Operating Gains Losses $-2,201,561 $-226,334 $-108,542 $2,308,765
Investing Activities
Capital Expenditure $-1,234,056 $-2,098,138 $-1,502 $-310,946
Investing Cash Flow $-7,451,887 $-1,016,165 $24,888 $-4,218,662
Cash Flow From Continuing Investing Activities $-7,451,887 $-1,016,165 $24,888 $-4,218,662
Net Other Investing Changes $347 $-366,602 $-84,020 -
Financing Activities
Issuance Of Capital Stock $275,929 $10,754,944 $0 $14,933,075
Financing Cash Flow $11,678,315 $8,989,434 $1,486,567 $14,138,636
Cash Flow From Continuing Financing Activities $11,678,315 $8,989,434 $1,486,567 $14,138,636
Net Other Financing Charges $-282,626 $-1,425,872 $1,570,145 -
Net Common Stock Issuance $275,929 $10,754,944 $0 $14,933,075
Common Stock Issuance $275,929 $10,754,944 $0 $14,933,075
Other
Repayment Of Debt $-314,988 $-404,920 $-826,169 $-1,295,656
Issuance Of Debt $12,000,000 $65,282 $742,591 $501,217
End Cash Position $504,136 $3,841,866 $93,875 $255,803
Beginning Cash Position $3,841,866 $93,875 $255,803 $3,495,390
Effect Of Exchange Rate Changes $-835,110 $-244,913 $-172,809 $-1,690,165
Changes In Cash $-2,502,620 $3,992,904 $10,881 $-1,549,422
Net Issuance Payments Of Debt $11,685,012 $-339,638 $-83,578 $-794,439
Net Long Term Debt Issuance $11,685,012 $-339,638 $-83,578 $-794,439
Long Term Debt Payments $-314,988 $-404,920 $-826,169 $-1,295,656
Long Term Debt Issuance $12,000,000 $65,282 $742,591 $501,217
Net Business Purchase And Sale $-6,218,178 $1,448,575 $0 $-3,106,556
Sale Of Business $0 $1,553,750 $0 -
Purchase Of Business $-6,218,178 $-105,175 $0 $-3,106,556
Net PPE Purchase And Sale $-1,234,056 $-2,098,138 $108,908 $-310,946
Purchase Of PPE $-1,234,056 $-2,098,138 $-1,502 $-310,946
Change In Working Capital $-2,324,865 $-950,310 $3,149,504 $2,182,807
Change In Payables And Accrued Expense $-1,049,087 $-776,261 $1,628,771 $2,981,297
Change In Payable $-1,049,087 $-776,261 $1,628,771 $2,981,297
Change In Account Payable $-1,209,862 $-733,363 $1,537,397 $2,915,276
Change In Prepaid Assets $-1,344,237 $-285,588 $64,635 $-709,124
Change In Inventory $0 $366,215 $482,716 $501,706
Change In Receivables $68,459 $-254,676 $973,382 $-591,072
Other Non Cash Items $926,018 $1,630,853 $5,291,851 $-9,142,121
Unrealized Gain Loss On Investment Securities $-1,750,820 $0 $264,655 $516,281
Asset Impairment Charge $45,047,798 $-475,816 $21,967,845 $0
Depreciation Amortization Depletion $433,693 $137,271 $209,183 $3,763,321
Depreciation And Amortization $433,693 $137,271 $209,183 $3,763,321
Net Foreign Currency Exchange Gain Loss $-286,605 $0 - -
Gain Loss On Sale Of Business $0 $-198,780 $0 $2,375,840
Net Income From Continuing Operations $-46,859,311 $-4,096,029 $-32,275,070 $-11,657,674
Sale Of PPE - $0 $110,410 $0
Amortization Cash Flow - $0 $2,472,348 -
Amortization Of Intangibles - $0 $2,472,348 -
Depreciation - $141,054 $1,811,383 -
Gain Loss On Sale Of PPE - $0 $4,495 $0
Net Short Term Debt Issuance - - $1,570,145 $0
Short Term Debt Issuance - - $1,570,145 $0
Net Investment Purchase And Sale - - $0 $-801,160
Purchase Of Investment - - $0 $-801,160
Stock Based Compensation - - $0 $559,225
Change In Other Current Liabilities - - - $0
Net Intangibles Purchase And Sale - - - -
Purchase Of Intangibles - - - -
Fetched: 2026-07-02