Nuwellis, Inc.
NUWE

$4.37 M
Marketcap
$1.00
Share price
Country
$-0.01
Change (1 day)
$30.10
Year High
$0.92
Year Low
Categories

Nuwellis, Inc., a medical device company, focuses on developing, manufacturing, and commercializing medical devices used in ultrafiltration therapy. The company's products are the Aquadex FlexFlow and Aquadex SmartFlow systems, which are indicated for the treatment of patients suffering from fluid overload who have failed diuretics. Its Aquadex FlexFlow system includes a console, disposable blood set, and catheter. The company sells its products to hospitals and clinics through its direct salesforce in the United States; and through independent specialty distributors primarily in Austria, Brazil, Czech Republic, Germany, Greece, Hong Kong, India, Israel, Italy, Romania, Singapore, Slovakia, Spain, Switzerland, Thailand, the United Arab Emirates, and the United Kingdom. The company was formerly known as CHF Solutions, Inc. and changed its name to Nuwellis, Inc. in April 2021. Nuwellis, Inc. was founded in 1999 and is headquartered in Eden Prairie, Minnesota.

marketcap

Earnings for Nuwellis, Inc. (NUWE)

Earnings in 2023 (TTM): $-20,201,000

According to Nuwellis, Inc.'s latest financial reports the company's current earnings (TTM) are $-20,201,000. The earnings displayed on this page is the company's Pretax Income.

Earnings history of Nuwellis, Inc.

Annual Earnings

Year Income Before Tax Net Income
2023 $-20,201,000 $-20,209,000
2022 $-14,516,000 $-14,525,000
2021 $-19,569,000 $-19,578,000
2020 $-15,827,000 $-15,836,000
2019 $-18,106,000 $-18,114,000
2018 $-17,026,000 $-17,032,000
2017 $-13,376,000 $-13,382,000
2016 $-15,846,000 $-15,792,000
2015 $-26,707,000 $-26,583,000
2014 $-25,836,000 $-25,587,000
2013 $-22,971,000 $-21,758,000
2012 $-14,836,000 $-14,065,000
2011 $-16,311,000 $-16,196,000
2010 $-6,219,435 $-5,551,965
2009 $-6,520,205 $-6,520,205
2008 $-9,316,963 $-9,316,963
2007 $-9,787,458 $-9,787,458
2006 $-5,435,709 $-5,220,647
2005 $-3,816,736 $-3,816,736
2004 $-1,203,761 $-1,013,362