Symbols / AKAN $0.69 -0.99% Akanda Corp.

Healthcare • Drug Manufacturers - Specialty & Generic • Canada • NCM
AKAN Chart
About

As of August 21, 2025, Akanda Corp. was acquired by First Towers & Fiber Corp., in a reverse merger transaction. Akanda Corp., through its subsidiaries, engages in the cultivation, manufacture, and distribution of cannabis-based products. The company was incorporated in 2021 and is headquartered in Toronto, Canada.

Fundamentals
Scroll to Statements
Sector Healthcare Industry Drug Manufacturers - Spe Market Cap 1.65M
Enterprise Value -2.03M Income -2.40M Sales 836.66K
Book/sh 22.67 Cash/sh 17.33 Dividend Yield
Payout 0.00% Employees IPO
P/E 0.00 Forward P/E PEG
P/S 1.98 P/B 0.03 P/C
EV/EBITDA 0.55 EV/Sales -2.43 Quick Ratio 0.89
Current Ratio 1.25 Debt/Eq 11.85 LT Debt/Eq
EPS (ttm) 154.84 EPS next Y EPS Growth
Revenue Growth Earnings ROA -28.69%
ROE -60.86% ROIC Gross Margin 24.91%
Oper. Margin -4.44% Profit Margin -266.31% Shs Outstand 2.40M
Shs Float 144.78K Short Float 0.69% Short Ratio 0.21
Short Interest 52W High 46.45 52W Low 0.51
Beta 1.73 Avg Volume 952.65K Volume 88.77K
Target Price Recom None Prev Close $0.69
Price $0.69 Change -0.99%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
Mean price target
2. Current target
$0.69
Latest analyst target
3. DCF / Fair value
$-36.48
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$0.69
Low
High
Mean
Insider Transactions

No recent insider transactions.

Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Total Revenue
0.84
+97.47%
0.42
-83.83%
2.62
+6223.00%
0.04
Operating Revenue
0.84
+97.47%
0.42
-83.83%
2.62
+6223.00%
0.04
Cost Of Revenue
0.63
+72.44%
0.36
+156.06%
-0.65
-1610.57%
0.04
Reconciled Cost Of Revenue
0.63
+72.44%
0.36
+156.06%
-0.65
-1610.57%
0.04
Gross Profit
0.21
+251.18%
0.06
-98.19%
3.27
+205603.39%
-0.00
Operating Expense
4.59
+23.47%
3.72
-84.14%
23.45
+812.81%
2.57
Selling General And Administration
4.45
+26.81%
3.51
-82.32%
19.85
+672.86%
2.57
General And Administrative Expense
4.45
+26.81%
3.51
-82.32%
19.85
+672.86%
2.57
Salaries And Wages
0.50
+1.89%
0.49
-94.42%
8.72
+635.87%
1.18
Other Gand A
3.95
+30.82%
3.02
-72.84%
11.13
+704.53%
1.38
Total Expenses
5.22
+27.84%
4.08
-82.09%
22.80
+772.88%
2.61
Operating Income
-4.38
-19.78%
-3.66
+81.87%
-20.18
-685.03%
-2.57
Total Operating Income As Reported
-4.38
-19.78%
-3.66
+81.87%
-20.18
-685.03%
-2.57
EBITDA
-3.03
+10.48%
-3.38
+22.38%
-4.36
-102.25%
-2.15
Normalized EBITDA
-4.00
-16.09%
-3.44
+79.02%
-16.41
-625.86%
-2.26
Reconciled Depreciation
0.14
-32.57%
0.21
-94.44%
3.76
+1117.82%
0.31
EBIT
-3.17
+11.77%
-3.59
+55.78%
-8.12
-229.66%
-2.46
Total Unusual Items
0.97
+1495.99%
0.06
-99.50%
12.05
+11185.82%
0.11
Total Unusual Items Excluding Goodwill
0.97
+1495.99%
0.06
-99.50%
12.05
+11185.82%
0.11
Special Income Charges
1.10
+288.54%
0.28
-97.79%
12.83
0.00
Other Special Charges
-0.43
-278.24%
-0.11
-68.52%
-0.07
Impairment Of Capital Assets
24.67
0.00
Restructuring And Mergern Acquisition
0.00
+100.00%
-12.76
0.00
Write Off
-0.48
-178.86%
-0.17
0.00
Net Income
-4.10
+87.31%
-32.28
-176.86%
-11.66
-43.37%
-8.13
Pretax Income
-3.27
+11.96%
-3.71
+54.92%
-8.24
-232.92%
-2.47
Net Non Operating Interest Income Expense
-0.09
+22.86%
-0.12
-6.05%
-0.11
-998.36%
-0.01
Interest Expense Non Operating
0.10
-17.54%
0.12
+5.27%
0.12
+997.38%
0.01
Net Interest Income
-0.09
+22.86%
-0.12
-6.05%
-0.11
-998.36%
-0.01
Interest Expense
0.10
-17.54%
0.12
+5.27%
0.12
+997.38%
0.01
Interest Income Non Operating
0.01
+16546.15%
0.00
-95.60%
0.00
+884.44%
0.00
Interest Income
0.01
+16546.15%
0.00
-95.60%
0.00
+884.44%
0.00
Other Income Expense
1.21
+1681.83%
0.07
-99.44%
12.06
+11180.73%
0.11
Other Non Operating Income Expenses
0.24
+3281.33%
0.01
+970.56%
0.00
+1120.37%
0.00
Gain On Sale Of Security
-0.13
+40.34%
-0.22
+71.15%
-0.77
-823.43%
0.11
Gain On Sale Of Business
0.20
0.00
Tax Rate For Calcs
0.00
0.00
0.00
0.00
Tax Effect Of Unusual Items
0.00
0.00
0.00
0.00
Net Income Including Noncontrolling Interests
-4.10
+87.31%
-32.28
-176.86%
-11.66
-43.37%
-8.13
Net Income From Continuing Operation Net Minority Interest
-3.27
+11.96%
-3.71
+54.92%
-8.24
-232.92%
-2.47
Net Income From Continuing And Discontinued Operation
-4.10
+87.31%
-32.28
-176.86%
-11.66
-43.37%
-8.13
Net Income Continuous Operations
-3.27
+11.96%
-3.71
+54.92%
-8.24
-232.92%
-2.47
Net Income Discontinuous Operations
-0.83
+97.10%
-28.56
-734.62%
-3.42
+39.51%
-5.66
Normalized Income
-4.24
-12.31%
-3.77
+81.40%
-20.29
-686.28%
-2.58
Net Income Common Stockholders
-4.10
+87.31%
-32.28
-176.86%
-11.66
-43.37%
-8.13
Diluted EPS
-3.93
+99.78%
-1,790.97
-85.59%
-965.00
-37.20%
-703.33
Basic EPS
-3.93
+99.78%
-1,790.97
-85.59%
-965.00
-37.20%
-703.33
Basic Average Shares
1.04
+5682.22%
0.02
+50.53%
0.01
+3.56%
0.01
Diluted Average Shares
1.04
+5682.22%
0.02
+50.53%
0.01
+3.56%
0.01
Diluted NI Availto Com Stockholders
-4.10
+87.31%
-32.28
-176.86%
-11.66
-43.37%
-8.13
Depreciation Amortization Depletion Income Statement
0.14
-32.57%
0.21
-94.19%
3.60
+752687.24%
0.00
Depreciation And Amortization In Income Statement
0.14
-32.57%
0.21
-94.19%
3.60
+752687.24%
0.00
Gain On Sale Of PPE
-0.00
0.00
Line Item Trend 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Total Assets
7.91
-10.47%
8.84
-77.33%
39.00
+384.67%
8.05
Current Assets
5.06
+179.95%
1.81
-52.74%
3.82
-4.00%
3.98
Cash Cash Equivalents And Short Term Investments
3.84
+4535.16%
0.08
-83.18%
0.49
-85.91%
3.50
Cash And Cash Equivalents
3.84
+4535.16%
0.08
-63.80%
0.23
-93.45%
3.50
Cash Financial
3.84
+4535.16%
0.08
-63.80%
0.23
-93.45%
3.50
Other Short Term Investments
0.00
-100.00%
0.26
0.00
Receivables
0.82
+188.94%
0.28
-76.97%
1.24
+409.83%
0.24
Accounts Receivable
0.36
+128.59%
0.16
-78.37%
0.72
+2344.53%
0.03
Other Receivables
0.09
-78.87%
0.42
Taxes Receivable
0.01
-63.10%
0.04
-57.22%
0.09
-57.06%
0.21
Loans Receivable
0.45
0.00
Inventory
0.00
-100.00%
1.29
-31.05%
1.87
0.00
Prepaid Assets
0.39
+178.59%
0.14
-29.53%
0.20
-17.75%
0.24
Restricted Cash
0.00
-70.92%
0.01
-59.05%
0.03
0.00
Other Current Assets
0.81
Total Non Current Assets
2.86
-59.36%
7.03
-80.00%
35.18
+765.18%
4.07
Net PPE
2.34
-11.44%
2.64
-78.84%
12.48
+227.94%
3.81
Gross PPE
2.37
-83.32%
14.20
+4.33%
13.61
+230.68%
4.12
Accumulated Depreciation
-0.03
+99.75%
-11.56
-927.32%
-1.12
-264.45%
-0.31
Properties
0.00
0.00
0.00
0.00
Land And Improvements
2.21
+63.43%
1.36
+53.10%
0.89
0.00
Buildings And Improvements
0.00
-100.00%
0.12
-62.36%
0.32
Machinery Furniture Equipment
0.02
-99.87%
12.72
+2.58%
12.40
+1800.39%
0.65
Construction In Progress
0.00
0.00
-100.00%
0.46
Other Properties
0.32
-83.02%
1.91
Leases
0.14
+8785.63%
0.00
0.00
-100.00%
1.09
Goodwill And Other Intangible Assets
0.02
-99.58%
3.80
-82.89%
22.21
+8471.37%
0.26
Other Intangible Assets
0.02
-99.58%
3.80
-82.89%
22.21
+8471.37%
0.26
Total Liabilities Net Minority Interest
3.64
-71.29%
12.67
+4.73%
12.10
+18.05%
10.25
Current Liabilities
3.64
-64.24%
10.17
+8.81%
9.35
+13.05%
8.27
Payables And Accrued Expenses
3.28
-62.11%
8.67
+5.77%
8.20
+1104.85%
0.68
Payables
3.28
-62.11%
8.67
+5.77%
8.20
+1104.85%
0.68
Accounts Payable
2.98
-50.41%
6.01
-15.76%
7.14
+949.47%
0.68
Other Payable
0.40
+5.97%
0.38
Current Debt And Capital Lease Obligation
0.35
-76.50%
1.50
+30.48%
1.15
-84.83%
7.59
Current Debt
0.35
-74.18%
1.37
+45.85%
0.94
-86.90%
7.15
Other Current Borrowings
0.35
-74.18%
1.37
+45.85%
0.94
-86.90%
7.15
Current Capital Lease Obligation
0.00
-100.00%
0.14
-36.78%
0.21
-51.32%
0.44
Total Non Current Liabilities Net Minority Interest
0.00
-100.00%
2.50
-9.16%
2.75
+38.90%
1.98
Long Term Debt And Capital Lease Obligation
2.50
-9.16%
2.75
+38.90%
1.98
Long Term Debt
2.50
-5.13%
2.63
Long Term Capital Lease Obligation
0.00
-100.00%
0.12
-94.10%
1.98
Stockholders Equity
4.28
+211.69%
-3.83
-114.23%
26.90
+1321.94%
-2.20
Common Stock Equity
4.28
+211.69%
-3.83
-114.23%
26.90
+1321.94%
-2.20
Capital Stock
63.32
+24.11%
51.02
+3.21%
49.43
+581.32%
7.26
Common Stock
63.32
+24.11%
51.02
+3.21%
49.43
+581.32%
7.26
Share Issued
0.66
+2810.08%
0.02
+62.50%
0.01
+19.83%
0.01
Ordinary Shares Number
0.66
+2810.08%
0.02
+62.50%
0.01
+19.83%
0.01
Retained Earnings
-57.46
-7.68%
-53.36
-153.05%
-21.09
-58.63%
-13.29
Gains Losses Not Affecting Retained Earnings
-1.58
-6.58%
-1.49
-2.72%
-1.45
-137.70%
3.84
Other Equity Adjustments
-1.58
-6.58%
-1.49
-2.72%
-1.45
-137.70%
3.84
Total Equity Gross Minority Interest
4.28
+211.69%
-3.83
-114.23%
26.90
+1321.94%
-2.20
Total Capitalization
4.28
+421.12%
-1.33
-104.51%
29.53
+1441.51%
-2.20
Working Capital
1.42
+116.95%
-8.37
-51.37%
-5.53
-28.88%
-4.29
Invested Capital
4.63
+13294.34%
0.03
-99.89%
30.47
+515.91%
4.95
Total Debt
0.35
-91.18%
4.00
+2.54%
3.90
-59.24%
9.57
Net Debt
3.78
+13.19%
3.34
-8.57%
3.65
Capital Lease Obligations
0.00
-100.00%
0.14
-59.09%
0.33
-86.32%
2.42
Net Tangible Assets
4.26
+155.85%
-7.63
-262.60%
4.69
+290.67%
-2.46
Tangible Book Value
4.26
+155.85%
-7.63
-262.60%
4.69
+290.67%
-2.46
Dueto Related Parties Current
0.30
-86.60%
2.26
+231.88%
0.68
0.00
Non Current Note Receivables
0.50
-15.13%
0.59
+22.67%
0.48
0.00
Other Inventories
1.29
-31.05%
1.87
Line Item Trend 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Operating Cash Flow
-3.98
-165.26%
-1.50
+86.92%
-11.47
-74.92%
-6.56
Cash Flow From Continuing Operating Activities
-3.98
-165.26%
-1.50
+86.92%
-11.47
-74.92%
-6.56
Net Income From Continuing Operations
-4.10
+87.31%
-32.28
-176.86%
-11.66
-43.37%
-8.13
Depreciation Amortization Depletion
0.14
-32.57%
0.21
-94.44%
3.76
+1117.82%
0.31
Depreciation
0.14
-92.21%
1.81
Amortization Cash Flow
0.00
-100.00%
2.47
Depreciation And Amortization
0.14
-32.57%
0.21
-94.44%
3.76
+1117.82%
0.31
Amortization Of Intangibles
0.00
-100.00%
2.47
Other Non Cash Items
1.63
-69.25%
5.29
+157.88%
-9.14
-593.47%
1.85
Stock Based Compensation
0.00
-100.00%
0.56
0.00
Asset Impairment Charge
-0.48
-102.17%
21.97
0.00
0.00
Operating Gains Losses
-0.23
-108.52%
-0.11
-104.70%
2.31
Unrealized Gain Loss On Investment Securities
0.00
-100.00%
0.26
-48.74%
0.52
0.00
Gain Loss On Sale Of PPE
0.00
-100.00%
0.00
0.00
Change In Working Capital
-0.95
-130.17%
3.15
+44.29%
2.18
+471.54%
-0.59
Change In Receivables
-0.25
-126.16%
0.97
+264.68%
-0.59
-143.88%
-0.24
Change In Inventory
0.37
-24.13%
0.48
-3.79%
0.50
+170.41%
-0.71
Change In Prepaid Assets
-0.29
-541.85%
0.06
+109.11%
-0.71
-449.52%
-0.13
Change In Payables And Accrued Expense
-0.78
-147.66%
1.63
-45.37%
2.98
0.00
Change In Payable
-0.78
-147.66%
1.63
-45.37%
2.98
Change In Account Payable
-0.73
-147.70%
1.54
-47.26%
2.92
0.00
Change In Other Current Liabilities
0.00
-100.00%
0.50
Investing Cash Flow
-1.02
-4182.95%
0.02
+100.59%
-4.22
-631.81%
-0.58
Cash Flow From Continuing Investing Activities
-1.02
-4182.95%
0.02
+100.59%
-4.22
-631.81%
-0.58
Net PPE Purchase And Sale
-2.10
-2026.52%
0.11
+135.02%
-0.31
+46.06%
-0.58
Purchase Of PPE
-2.10
-139589.61%
-0.00
+99.52%
-0.31
+46.06%
-0.58
Sale Of PPE
0.00
-100.00%
0.11
0.00
Capital Expenditure
-2.10
-139589.61%
-0.00
+99.52%
-0.31
+46.06%
-0.58
Net Investment Purchase And Sale
0.00
+100.00%
-0.80
0.00
Purchase Of Investment
0.00
+100.00%
-0.80
0.00
Net Business Purchase And Sale
1.45
0.00
+100.00%
-3.11
0.00
Purchase Of Business
-0.11
0.00
+100.00%
-3.11
0.00
Gain Loss On Sale Of Business
-0.20
0.00
-100.00%
2.38
0.00
Net Intangibles Purchase And Sale
0.00
Purchase Of Intangibles
0.00
Net Other Investing Changes
-0.37
-336.33%
-0.08
Financing Cash Flow
8.99
+504.71%
1.49
-89.49%
14.14
+25.84%
11.24
Cash Flow From Continuing Financing Activities
8.99
+504.71%
1.49
-89.49%
14.14
+25.84%
11.24
Net Issuance Payments Of Debt
-0.34
-306.37%
-0.08
+89.48%
-0.79
-112.85%
6.18
Issuance Of Debt
0.07
-91.21%
0.74
+48.16%
0.50
-92.50%
6.68
Repayment Of Debt
-0.40
+50.99%
-0.83
+36.24%
-1.30
-160.43%
-0.50
Long Term Debt Issuance
0.07
-91.21%
0.74
+48.16%
0.50
-92.50%
6.68
Long Term Debt Payments
-0.40
+50.99%
-0.83
+36.24%
-1.30
-160.43%
-0.50
Net Long Term Debt Issuance
-0.34
-306.37%
-0.08
+89.48%
-0.79
-112.85%
6.18
Short Term Debt Issuance
1.57
0.00
Net Short Term Debt Issuance
1.57
0.00
Net Common Stock Issuance
10.75
0.00
-100.00%
14.93
+195.47%
5.05
Net Other Financing Charges
-1.43
-190.81%
1.57
Changes In Cash
3.99
+36596.11%
0.01
+100.70%
-1.55
-137.77%
4.10
Effect Of Exchange Rate Changes
-0.24
-41.72%
-0.17
+89.78%
-1.69
-172.49%
-0.62
Beginning Cash Position
0.09
-63.30%
0.26
-92.68%
3.50
+25784.11%
0.01
End Cash Position
3.84
+3992.53%
0.09
-63.30%
0.26
-92.68%
3.50
Free Cash Flow
-6.08
-304.67%
-1.50
+87.25%
-11.78
-65.14%
-7.13
Common Stock Issuance
10.75
0.00
-100.00%
14.93
+195.47%
5.05
Issuance Of Capital Stock
10.75
0.00
-100.00%
14.93
+195.47%
5.05
Sale Of Business
1.55
0.00
SEC Filings

Recent 10-K, 10-Q, 8-K, and Form 4 (insider) filings.

Trades
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