STSS Chart
About

Sharps Technology, Inc., a medical device and pharmaceutical packaging company, provides smart-safety syringe products to the healthcare industry. Its product lines focus on providing waste capabilities that incorporate syringe technologies. The company, through a digital asset treasury strategy, focuses on accumulating Solana (SOL), the native digital asset of the Solana blockchain. The company was incorporated in 2017 and is based in Melville, New York.

Fundamentals
Scroll to Statements
Sector Healthcare Industry Medical Instruments & Su Market Cap 51.90M
Enterprise Value 46.50M Income -104.37M Sales 306.34K
Book/sh 15.68 Cash/sh 0.37 Dividend Yield —
Payout 0.00% Employees 55 IPO —
P/E — Forward P/E -11.93 PEG —
P/S 169.42 P/B 0.11 P/C —
EV/EBITDA -0.39 EV/Sales 151.80 Quick Ratio 1.13
Current Ratio 3.74 Debt/Eq 1.76 LT Debt/Eq —
EPS (ttm) -873.21 EPS next Y -0.15 EPS Growth —
Revenue Growth — Earnings 2025-11-14 15:00 ROA -32.60%
ROE -47.47% ROIC — Gross Margin 0.00%
Oper. Margin -1313.48% Profit Margin 0.00% Shs Outstand 29.00M
Shs Float 20.33M Short Float 2.08% Short Ratio 0.60
Short Interest — 52W High 211.20 52W Low 1.42
Beta 2.19 Avg Volume 571.42K Volume 217.35K
Target Price — Recom None Prev Close $1.75
Price $1.79 Change 2.29%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
—
Mean price target
2. Current target
$1.75
Latest analyst target
3. DCF / Fair value
$1.74
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$1.75
Low
—
High
—
Mean
—

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2023-05-09 init Aegis Capital — → Buy $16
Insider Transactions
Date Shares Value Url Text Insider Position Transaction Start Date Ownership
0 37182 86371 — Sale at price 2.30 - 2.37 per share. SABA CAPITAL MANAGEMENT, L.P. Beneficial Owner of more than 10% of a Class of Security — 2026-01-16 00:00:00 I
1 107465 240010 — Sale at price 2.19 - 2.25 per share. SABA CAPITAL MANAGEMENT, L.P. Beneficial Owner of more than 10% of a Class of Security — 2026-01-14 00:00:00 I
2 769320 1490755 — Sale at price 1.93 - 1.97 per share. FALCONX HOLDINGS LTD Beneficial Owner of more than 10% of a Class of Security — 2026-01-12 00:00:00 I
3 461538 46 — Conversion of Exercise of derivative security at price 0.00 per share. FALCONX HOLDINGS LTD Beneficial Owner of more than 10% of a Class of Security — 2026-01-09 00:00:00 I
4 20000 334786 — Sale at price 16.54 - 17.09 per share. RUEMLER TIMOTHY JAMES Director — 2025-08-27 00:00:00 D
5 40000 432901 — Purchase at price 9.60 - 12.00 per share. RUEMLER TIMOTHY JAMES Director — 2025-08-25 00:00:00 D
6 80000 512800 — Purchase at price 6.41 per share. CHRISTIANSEN SOREN BO Director — 2025-08-22 00:00:00 D
7 100000 641000 — Purchase at price 6.41 per share. HAYES ROBERT MICHAEL Director — 2025-08-22 00:00:00 D
8 20000 128200 — Purchase at price 6.41 per share. SIMPSON BRENDA BAIRD Director — 2025-08-22 00:00:00 D
9 80000 512800 — Purchase at price 6.41 per share. MONROE JASON L Director — 2025-08-22 00:00:00 D
Financials
Line Item2024-12-312023-12-312022-12-312021-12-31
TaxEffectOfUnusualItems9.57K355.240.000.00
TaxRateForCalcs0.000.000.000.00
NormalizedEBITDA-11.83M-9.36M-13.50M-4.47M
TotalUnusualItems2.98M116.89K5.42M0.00
TotalUnusualItemsExcludingGoodwill2.98M116.89K5.42M0.00
NetIncomeFromContinuingOperationNetMinorityInterest-9.30M-9.84M-4.64M-4.66M
ReconciledDepreciation773.90K882.18K654.57K28.70K
EBITDA-8.85M-9.24M-8.08M-4.47M
EBIT-9.63M-10.13M-8.74M-4.50M
NetInterestIncome-1.66M138.12K-1.32M-166.75K
NormalizedIncome-12.26M-9.96M-10.06M-4.66M
NetIncomeFromContinuingAndDiscontinuedOperation-9.30M-9.84M-4.64M-4.66M
TotalExpenses9.63M10.13M8.74M4.50M
TotalOperatingIncomeAsReported-9.63M-10.13M-8.74M-4.50M
DilutedAverageShares4.19K1.97K1.23K1.18K
BasicAverageShares4.19K1.97K1.23K1.18K
DilutedEPS-2.22K-4.98K-3.76K-3.95K
BasicEPS-2.22K-4.98K-3.76K-3.95K
DilutedNIAvailtoComStockholders-9.30M-9.84M-4.64M-4.66M
NetIncomeCommonStockholders-9.30M-9.84M-4.64M-4.66M
NetIncome-9.30M-9.84M-4.64M-4.66M
NetIncomeIncludingNoncontrollingInterests-9.30M-9.84M-4.64M-4.66M
NetIncomeContinuousOperations-9.30M-9.84M-4.64M-4.66M
TaxProvision-30.00K-30.00K0.00
PretaxIncome-9.33M-9.87M-4.64M-4.66M
OtherIncomeExpense1.97M116.89K5.42M
OtherNonOperatingIncomeExpenses-1.01M
SpecialIncomeCharges0.00
ImpairmentOfCapitalAssets0.00
GainOnSaleOfSecurity2.98M116.89K5.42M
NetNonOperatingInterestIncomeExpense-1.66M138.12K-1.32M-166.75K
TotalOtherFinanceCost1.66M-138.12K1.32M166.75K
OperatingIncome-9.63M-10.13M-8.74M-4.50M
OperatingExpense9.63M10.13M8.74M4.50M
ResearchAndDevelopment2.47M1.61M2.28M1.69M
SellingGeneralAndAdministration7.15M8.52M6.46M2.81M
GeneralAndAdministrativeExpense6.46M2.81M
OtherGandA6.46M2.81M
TotalRevenue0.000.000.000.00
OperatingRevenue0.000.000.000.00
Line Item2024-12-312023-12-312022-12-312021-12-31
OrdinarySharesNumber6.83K2.31K1.43K1.18K
ShareIssued6.83K2.31K1.43K1.18K
NetDebt2.90M
TotalDebt3.76M700.01K
TangibleBookValue1.96M7.88M9.58M3.14M
InvestedCapital5.76M7.93M9.64M3.84M
WorkingCapital-2.01M1.15M2.42M-1.16M
NetTangibleAssets1.96M7.88M9.58M3.14M
CommonStockEquity2.00M7.93M9.64M3.14M
TotalCapitalization2.00M7.93M9.64M3.14M
TotalEquityGrossMinorityInterest2.00M7.93M9.64M3.14M
StockholdersEquity2.00M7.93M9.64M3.14M
OtherEquityInterest-32.50K
GainsLossesNotAffectingRetainedEarnings23.29K591.81K214.25K0.00
OtherEquityAdjustments23.29K591.81K214.25K
RetainedEarnings-34.45M-25.15M-15.31M-10.67M
AdditionalPaidInCapital36.42M32.49M24.73M13.84M
CapitalStock205.0069.00941.00519.00
CommonStock205.0069.00941.00519.00
PreferredStock0.000.000.000.00
TotalLiabilitiesNetMinorityInterest5.32M3.85M2.20M2.77M
TotalNonCurrentLiabilitiesNetMinorityInterest132.00K162.00K192.00K0.00
NonCurrentDeferredLiabilities132.00K162.00K192.00K0.00
NonCurrentDeferredTaxesLiabilities132.00K162.00K192.00K0.00
CurrentLiabilities5.19M3.69M2.01M2.77M
OtherCurrentLiabilities98.91K2.42M1.15M585.00K
CurrentDebtAndCapitalLeaseObligation3.76M700.01K
CurrentDebt3.76M700.01K
CurrentNotesPayable3.76M0.000.00700.01K
PayablesAndAccruedExpenses1.32M1.27M854.68K1.48M
CurrentAccruedExpenses346.54K476.09K311.46K677.00K
Payables976.55K794.11K543.23K804.14K
AccountsPayable976.55K794.11K543.23K804.14K
TotalAssets7.31M11.79M11.84M5.90M
TotalNonCurrentAssets4.14M6.95M7.42M4.29M
OtherNonCurrentAssets72.19K76.06K12.37K529.86K
GoodwillAndOtherIntangibleAssets32.50K52.51K62.48K0.00
NetPPE4.04M6.82M7.34M3.76M
AccumulatedDepreciation-2.12M-1.22M-679.72K-32.03K
GrossPPE6.15M8.04M8.02M3.80M
ConstructionInProgress0.00336.47K0.00
OtherProperties16.60K16.60K
MachineryFurnitureEquipment3.26M4.75M4.62M3.80M
BuildingsAndImprovements2.67M3.02M2.82M0.00
LandAndImprovements227.57K260.46K242.24K0.00
Properties0.000.000.000.00
CurrentAssets3.17M4.84M4.42M1.61M
OtherCurrentAssets89.73K68.56K66.75K8.00K
RestrictedCash250.00K0.00
PrepaidAssets8.00K
Inventory1.87M1.71M185.80K121.99K
FinishedGoods1.46M1.28M30.57K0.00
WorkInProcess81.08K170.46K49.14K0.00
RawMaterials326.07K254.46K106.09K121.99K
Receivables102.49K47.95K
TaxesReceivable102.49K47.95K
CashCashEquivalentsAndShortTermInvestments864.04K3.01M4.17M1.48M
CashAndCashEquivalents864.04K3.01M4.17M1.48M
CashFinancial864.04K3.01M4.17M1.48M
Line Item2024-12-312023-12-312022-12-312021-12-31
FreeCashFlow-7.07M-9.21M-7.19M-5.42M
RepaymentOfDebt-200.34K0.00-2.00M0.00
IssuanceOfDebt2.74M0.000.001.80M
IssuanceOfCapitalStock8.03M14.20M3.38M
CapitalExpenditure-138.80K-698.28K-752.34K-2.27M
InterestPaidSupplementalData0.000.0047.11K4.00K
IncomeTaxPaidSupplementalData0.000.000.000.00
EndCashPosition864.04K3.01M4.17M1.48M
BeginningCashPosition3.01M4.17M1.48M1.79M
EffectOfExchangeRateChanges36.41K17.96K7.33K0.00
ChangesInCash-2.19M-1.18M2.68M-311.04K
FinancingCashFlow5.91M8.03M12.24M5.18M
CashFlowFromContinuingFinancingActivities5.91M8.03M12.24M5.18M
NetOtherFinancingCharges32.50K
ProceedsFromStockOptionExercised3.37M8.03M
NetCommonStockIssuance8.03M14.20M3.38M
CommonStockIssuance8.03M14.20M3.38M
NetIssuancePaymentsOfDebt2.53M0.00-2.00M1.80M
NetShortTermDebtIssuance0.00-2.00M1.80M
ShortTermDebtPayments0.00-2.00M0.00
ShortTermDebtIssuance0.001.80M
NetLongTermDebtIssuance2.53M0.00
LongTermDebtPayments-200.34K0.00
LongTermDebtIssuance2.74M0.00
InvestingCashFlow-1.16M-698.28K-3.12M-2.34M
CashFlowFromContinuingInvestingActivities-1.16M-698.28K-3.12M-2.34M
NetOtherInvestingChanges-1.02M-2.37M-75.00K
NetPPEPurchaseAndSale-138.80K-698.28K-752.34K-2.27M
PurchaseOfPPE-138.80K-698.28K-752.34K-2.27M
OperatingCashFlow-6.93M-8.51M-6.43M-3.15M
CashFlowFromContinuingOperatingActivities-6.93M-8.51M-6.43M-3.15M
ChangeInWorkingCapital-426.18K-1.12M-209.22K112.64K
ChangeInOtherCurrentAssets0.00-12.73K-12.00K-10.26K
ChangeInPayablesAndAccruedExpense11.94K415.51K-104.35K202.89K
ChangeInPrepaidAssets-87.56K-82.17K-58.75K42.01K
ChangeInInventory-350.56K-1.44M-34.11K-121.99K
OtherNonCashItems2.73M1.59M179.51K
StockBasedCompensation520.83K963.02K1.01M1.20M
AssetImpairmentCharge1.77M560.00K0.00
DeferredTax-30.00K-30.00K0.00
DeferredIncomeTax-30.00K-30.00K0.00
DepreciationAmortizationDepletion773.90K882.18K654.57K28.70K
DepreciationAndAmortization773.90K882.18K654.57K28.70K
OperatingGainsLosses-2.98M79.99K-4.84M
GainLossOnInvestmentSecurities-3.02M35.53K-4.84M
NetForeignCurrencyExchangeGainLoss41.83K44.46K496.000.00
NetIncomeFromContinuingOperations-9.30M-9.84M-4.64M-4.66M
SEC Filings

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

Public Trades for STSS
Date User Asset Broker Type Position Size Entry Price Patterns