marketcaparena

PCSA

Processa Pharmaceuticals, Inc.

Company overview

Market capitalization
$5.14M
Employees
12
Latest publication
2026-09-29
About Processa Pharmaceuticals, Inc.

Processa Pharmaceuticals, Inc., a clinical-stage biopharmaceutical company, develops cancer therapy drugs to improve the safety and efficacy of cancer treatment in the United States. The company's drugs are modifications of existing FDA-approved oncology drugs, resulting in an alteration of the metabolism and/or distribution of drugs while maintaining the existing mechanisms for killing cancer cells. Its oncology pipeline includes NGC-Cap (PCS6422), a combination of PCS6422 and capecitabine, which is in a Phase 2 clinical trial to treat metastatic breast, colorectal, hepatocellular, pancreatic, gastric, and other solid tumors; and NGC-Iri (PCS11T), an analog of an active metabolite of irinotecan, which is in preclinical trials to treat lung, pancreatic, ovarian, colorectal, gastric, cervical, and other cancers. The company also develops non-oncology drugs consisting of PCS499, an oral tablet of the deuterated analog of pentoxifylline that has completed a Phase 2b clinical trial for the treatment of primary glomerular diseases, including focal segmental glomerulosclerosis (FSGS), IgA, and membranous nephropathy, as well as ulcerative necrobiosis lipoidica; and PCS12852, a highly specific and potent 5HT4 agonist that has completed a Phase 2 clinical trial for the treatment of gastroparesis and constipation disorders. It has license agreements with Elion Oncology, Inc., Aposense, Ltd., Yuhan Corporation, and Sun Pharmaceuticals Industries Limited. Processa Pharmaceuticals, Inc. was founded in 2015 and is based in Vero Beach, Florida.

Company website

Financial statements

Income Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USDQ2 20242024-06-30 · USD
Total Revenue0USD0USD0USD0USD0USD12,469,180USD0USD0USD
Cost Of Revenue301USD301USD301USD301USD301USD301USD3,424,853USD139USD
Gross Profit-301USD-301USD-301USD-301USD-301USD-301USD-3,424,853USD-139USD
Research Development1,809,209USD2,113,646USD1,661,646USD2,447,286USD1,588,540USD1,712,452USD2,287,525USD1,730,444USD
Selling General Administrative1,522,005USD1,588,243USD1,827,197USD1,503,497USD1,258,450USD1,022,279USD1,137,328USD1,351,580USD
Selling And Marketing Expenses-301USD——————139USD
Total Operating Expenses3,330,913USD3,701,889USD3,488,843USD3,950,783USD2,846,990USD2,734,430USD3,424,853USD3,082,024USD
Operating Income-3,331,214USD-3,701,889USD-3,488,843USD-3,950,783USD-2,846,990USD-2,734,731USD-3,424,853USD-3,082,024USD
Interest Income13,859USD35,491USD52,000USD—12,585USD6,023USD40,150USD—
Net Interest Income13,859USD35,491USD52,000USD—12,585USD6,023USD40,150USD—
Income Before Tax-3,377,179USD-3,358,938USD-3,436,573USD-3,933,918USD-2,834,405USD-2,728,708USD-3,384,703USD-3,010,326USD
Tax Provision0USD———0USD——0USD
Net Income-3,377,179USD-3,358,938USD-3,436,573USD-3,933,918USD-2,834,405USD-2,728,708USD-3,384,703USD-3,010,326USD
Net Income From Continuing Ops-3,377,179USD-3,358,938USD-3,436,573USD-3,933,918USD-2,834,405USD-2,728,708USD-3,384,703USD-3,010,326USD
Ebit-3,377,179USD-3,358,938USD-3,436,573USD-3,933,918USD-2,834,405USD-2,728,708USD-3,384,703USD-3,010,326USD
Ebitda-3,376,878USD-3,358,637USD-3,436,272USD-3,933,617USD-2,834,104USD-2,728,407USD-3,384,500USD-3,010,187USD
Depreciation And Amortization301USD301USD301USD301USD301USD301USD203USD139USD
Reconciled Depreciation301USD301USD301USD301USD301USD301USD203USD139USD
Total Other Income Expense Net-45,965USD342,951USD52,270USD16,865USD12,585USD6,023USD40,150USD71,698USD
Income Tax Expense——————-203USD1USD
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Income Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20212021-12-31 · USDFY 20192019-12-31 · USDFY 20182018-12-31 · USDFY 20172017-12-31 · USDFY 20162016-12-31 · USD
Total Revenue0USD0USD0USD0USD0USD0USD5,000USD113,425USD
Cost Of Revenue1,204USD782USD222USD875,349USD877,897USD630,092USD1,381USD125,876USD
Gross Profit-1,204USD-782USD-222USD-875,349USD-877,897USD-630,092USD-1,865USD-12,451USD
Research Development7,810,337USD7,269,146USD5,799,518USD6,878,021USD2,320,573USD3,085,317USD926,117USD29,246USD
Selling General Administrative6,178,168USD4,782,060USD5,657,543USD4,688,939USD1,614,909USD1,439,623USD876,316USD945,460USD
Total Operating Expenses13,988,505USD12,051,206USD11,457,061USD12,133,543USD3,935,482USD4,524,940USD1,802,433USD974,706USD
Operating Income-13,988,505USD-12,051,206USD-11,457,061USD-12,133,543USD-3,935,482USD-4,524,940USD-1,802,433USD2,691,084USD
Interest Income109,491USD201,088USD326,552USD11,989USD11,548USD18,297USD5,181USD0USD
Net Interest Income109,491USD201,088USD326,552USD11,627USD-25,110USD-142,908USD-53,882USD-245,384USD
Income Before Tax-13,563,834USD-11,850,118USD-11,121,520USD-11,958,145USD-3,960,592USD-4,667,848USD-1,856,315USD-2,982,820USD
Tax Provision0USD—0USD-530,611USD-602,716USD-902,801USD—0USD
Net Income-13,563,834USD-11,850,118USD-11,121,520USD-11,427,534USD-3,357,876USD-3,765,047USD-1,856,315USD-3,354,227USD
Net Income From Continuing Ops-13,563,834USD-11,850,118USD-21,728,909USD-11,427,534USD-3,357,876USD-3,765,047USD-1,856,315USD-337,179USD
Ebit-13,563,834USD-11,850,118USD-11,121,520USD-11,566,960USD-3,923,934USD-4,506,643USD-1,797,252USD-2,747,173USD
Ebitda-13,562,630USD-11,849,336USD-11,121,298USD-10,775,988USD-3,046,037USD-3,876,551USD-1,795,387USD-2,508,351USD
Depreciation And Amortization1,204USD782USD222USD790,972USD877,897USD630,092USD1,865USD238,822USD
Reconciled Depreciation1,204USD782USD197,205USD790,972USD803,773USD630,092USD1,865USD—
Total Other Income Expense Net424,671USD201,088USD335,541USD175,398USD-25,110USD-142,908USD-53,882USD-5,673,904USD
Selling And Marketing Expenses——222USD———69,968USD945,460USD
Income Tax Expense——-2USD-530,611USD-602,716USD-902,801USD-18,189USD100USD
Interest Expense———362USD36,658USD161,205USD35,693USD235,644USD
Net Income Applicable To Common Shares———-11,427,534USD-3,864,869USD-3,765,047USD-1,856,315USD-1,917,066USD
Non Operating Income Net Other—————0USD0USD0USD
Minority Interest—————0USD0USD0USD
Discontinued Operations—————0USD0USD0USD
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Balance sheet Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-06-30 · USDQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USD
Total Assets2,069,562USD4,520,974USD7,813,567USD7,584,576USD8,181,789USD4,809,574USD3,229,289USD4,942,152USD
Cash And Equivalents196,325USD———————
Total Current Assets2,066,352USD1,938,406USD5,670,874USD6,586,762USD7,153,821USD3,757,886USD1,873,619USD4,838,139USD
Other Current Assets1,398,024USD247,363USD133,919USD278,342USD217,201USD860,814USD682,294USD1,946,675USD
Total Liabilities2,386,903USD———————
Total Current Liabilities2,386,903USD1,980,093USD2,236,253USD1,750,978USD2,074,581USD1,282,966USD1,532,631USD1,219,199USD
Other Current Liabilities727,465USD———————
Total Stockholder Equity-317,341USD2,540,881USD5,577,314USD5,833,598USD6,107,208USD3,526,608USD1,696,171USD3,720,785USD
Total Equity Including Noncontrolling Interest-317,341USD———————
Property Plant Equipment Net3,210USD3,511USD3,812USD4,113USD28,732USD52,452USD75,693USD98,478USD
Accounts Payable1,659,438USD840,370USD1,056,796USD727,172USD785,754USD552,560USD880,880USD711,710USD
Common Stock279USD269USD257USD5,287USD4,029USD527USD371USD327USD
Retained Earnings-107,425,706USD-104,160,000USD-100,783,033USD-97,424,095USD-93,987,522USD-90,053,604USD-87,219,199USD-84,490,491USD
Intangible Assets—1,585,356USD1,145,180USD—————
Total Liab—1,980,093USD2,236,253USD1,750,978USD2,074,581USD1,282,966USD1,533,118USD1,221,367USD
Other Current Liab—1,139,723USD1,179,457USD1,023,806USD1,263,243USD680,747USD578,731USD412,813USD
Capital Stock—269USD257USD5,287USD4,029USD527USD371USD327USD
Other Assets—1USD1USD—34,267USD57,987USD——
Cash—1,691,043USD5,536,955USD6,308,420USD6,936,620USD2,897,072USD1,191,325USD2,891,464USD
Cash And Short Term Investments—1,691,043USD5,536,955USD6,308,420USD6,936,620USD2,897,072USD1,191,325USD2,891,464USD
Net Debt—-1,691,043USD-5,536,955USD-6,308,420USD-6,911,036USD-2,847,413USD-1,117,818USD-2,794,620USD
Property Plant Equipment Gross—3,511USD3,812USD4,113USD28,732USD52,452USD75,693USD98,478USD
Common Stock Shares Outstanding—2,623,143shares2,571,914shares1,901,021shares622,772shares381,072shares147,870shares131,040shares
Non Current Assets Total—2,582,567USD2,142,692USD997,814USD1,027,968USD1,051,688USD1,355,670USD104,013USD
Non Current Liabilities Total—0USD0USD0USD0USD0USD487USD2,168USD
Non Currrent Assets Other—993,700USD993,700USD993,701USD999,236USD999,236USD1,279,977USD5,535USD
Net Working Capital—-41,687USD3,434,621USD4,835,784USD5,079,240USD2,474,920USD340,988USD3,618,940USD
Unclassified Equity—106,700,343USD106,359,833USD103,247,119USD100,086,672USD93,579,158USD88,914,628USD88,210,622USD
Accumulated Other Comprehensive Income———0USD0USD0USD0USD0USD
Short Term Debt————25,584USD49,659USD73,020USD94,676USD
Short Long Term Debt Total————25,584USD49,659USD73,507USD96,844USD
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Balance sheet Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USDFY 20212021-12-31 · USDFY 20202020-12-31 · USDFY 20192019-12-31 · USDFY 20182018-12-31 · USD
Total Assets7,813,567USD3,229,289USD5,786,643USD8,619,851USD26,463,505USD25,214,389USD10,883,134USD13,214,629USD
Intangible Assets1,145,180USD———8,056,638USD8,847,126USD9,642,454USD10,437,782USD
Other Current Assets133,919USD682,294USD926,300USD1,883,134USD1,829,570USD554,708USD315,605USD257,832USD
Total Liab2,236,253USD1,533,118USD797,484USD1,149,110USD978,405USD2,274,911USD2,870,584USD3,513,611USD
Total Stockholder Equity5,577,314USD1,696,171USD4,989,159USD7,470,741USD25,485,100USD22,939,478USD8,012,550USD9,701,018USD
Other Current Liab1,179,457USD578,731USD335,313USD592,112USD681,037USD695,484USD235,457USD123,602USD
Common Stock257USD371USD129USD1,614USD1,571USD1,419USD549USD3,867USD
Capital Stock257USD371USD129USD1,614USD1,571USD1,419USD549USD3,867USD
Retained Earnings-100,783,033USD-87,219,199USD-75,369,081USD-64,247,561USD-36,823,332USD-25,395,798USD-10,982,010USD-7,624,134USD
Other Assets1USD81,228USD1USD—0USD0USD5,535USD733,561USD
Cash5,536,955USD1,191,325USD4,706,197USD6,503,595USD16,497,581USD15,416,224USD691,536USD1,740,961USD
Cash And Short Term Investments5,536,955USD1,191,325USD4,706,197USD6,503,595USD16,497,581USD15,416,224USD691,536USD1,740,961USD
Total Current Assets5,670,874USD1,873,619USD5,632,497USD8,386,729USD18,327,151USD16,202,686USD1,007,141USD2,020,376USD
Total Current Liabilities2,236,253USD1,532,631USD730,579USD998,556USD971,020USD1,220,952USD1,191,564USD645,704USD
Net Debt-5,536,955USD-1,117,818USD-4,555,643USD-6,274,145USD-16,419,118USD-15,088,102USD336,349USD-1,510,961USD
Accounts Payable1,056,796USD880,880USD311,617USD327,548USD218,905USD320,694USD75,612USD292,102USD
Property Plant Equipment Net3,812USD75,693USD148,611USD227,587USD74,181USD159,042USD228,004USD17,375USD
Property Plant Equipment Gross3,812USD75,693USD148,611USD227,587USD103,248USD159,042USD248,141USD0USD
Common Stock Shares Outstanding1,309,271shares122,396shares52,463shares32,219shares30,639shares14,999shares11,051shares10,664shares
Non Current Assets Total2,142,692USD1,355,670USD154,146USD233,122USD8,136,354USD9,011,703USD9,875,993USD10,460,692USD
Non Current Liabilities Total0USD487USD66,905USD150,554USD7,385USD1,053,959USD1,679,020USD2,134,346USD
Non Currrent Assets Other993,700USD1,279,977USD5,535USD5,535USD5,535USD5,535USD5,535USD-2,528,026USD
Net Working Capital3,434,621USD340,988USD4,901,918USD7,388,173USD17,356,131USD14,981,734USD-184,423USD1,374,672USD
Unclassified Equity106,359,833USD88,914,628USD80,357,982USD71,715,074USD62,305,290USD48,332,438USD18,993,462USD19,117,418USD
Short Term Debt—73,020USD83,649USD78,896USD71,078USD204,774USD880,495USD230,000USD
Short Long Term Debt Total—73,507USD150,554USD229,450USD78,463USD328,122USD1,027,885USD230,000USD
Accumulated Other Comprehensive Income—0USD0USD0USD0USD—0USD-1,800,000USD
Net Receivables————70,274USD231,754USD—21,583USD
Net Tangible Assets————17,428,462USD14,092,352USD-1,629,904USD-736,764USD
Deferred Long Term Liab—————530,611USD—0USD
Other Liab—————930,611USD1,531,630USD2,134,346USD
Short Long Term Debt—————117,574USD802,503USD230,000USD
Long Term Debt—————44,885USD—0USD
Accumulated Depreciation—————-28,583USD—0USD
Non Current Liabilities Other—————478,463USD—733,561USD
Good Will———————0USD
Long Term Investments———————0USD
Short Term Investments———————0USD
Inventory———————0USD
Additional Paid In Capital———————0USD
Treasury Stock———————0USD
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Cash flow YTD

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-06-30 · USD
Depreciation602USD
Stock Based Compensation188,068USD
Change To Liabilities150,650USD
Change In Working Capital332,238USD
Operating Cash Flow-5,586,580USD
Investing Cash Flow-314,000USD
Net Common Stock Issuance-320USD
Unclassified Financing Cash Flow560,270USD
Financing Cash Flow559,950USD
Change In Cash-5,340,630USD
End Cash Flow196,325USD
SourceDisclosureDeterministicFinal

Cash flow Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USDQ2 20242024-06-30 · USD
Net Income-3,377,179USD-3,358,938USD-3,436,573USD-3,933,918USD-2,834,405USD-2,728,708USD-3,384,703USD-3,010,326USD
Depreciation301USD301USD301USD301USD301USD301USD203USD139USD
Stock Based Compensation95,963USD123,541USD75,336USD430,962USD227,711USD155,048USD154,191USD152,632USD
Other Non Cash Items59,824USD-295,180USD252,029USD-204,292USD22,940USD22,484USD22,030USD21,298USD
Change In Working Capital-369,604USD629,698USD-375,457USD1,436,542USD-146,395USD303,154USD-394,329USD-509,572USD
Total Cash From Operating Activities-3,590,695USD-2,900,578USD-3,484,364USD-2,270,405USD-2,729,848USD-2,247,721USD-3,602,608USD-3,345,829USD
Capital Expenditures0USD-2USD0USD0USD0USD0USD-3,243USD-1USD
Free Cash Flow-3,590,695USD-2,900,580USD-3,484,364USD-2,270,405USD-2,729,848USD-2,247,721USD-3,605,851USD-3,345,830USD
Investments-500,000USD———0USD0USD——
Total Cashflows From Investing Activities-500,000USD-850,000USD————-3,244USD—
Net Borrowings0USD0USD-3,752USD-1,314USD-1,536USD-1,464USD-1,437USD—
Total Cash From Financing Activities244,783USD2,979,113USD2,856,164USD6,309,953USD4,435,595USD547,582USD926,196USD-3,414USD
Sale Purchase Of Stock-320USD-1,439USD1,439USD-8,965USD-1,439USD-312USD-3,658USD-2,008USD
Issuance Of Capital Stock245,103USD2,979,113USD2,859,916USD6,320,232USD4,438,570USD549,358USD931,291USD0USD
Change In Cash-3,845,912USD-771,465USD-628,200USD4,039,548USD1,705,747USD-1,700,139USD-2,679,656USD-3,349,243USD
Begin Period Cash Flow5,536,955USD6,308,420USD6,936,620USD2,897,072USD1,191,325USD2,891,464USD5,571,120USD8,920,363USD
End Period Cash Flow1,691,043USD5,536,955USD6,308,420USD6,936,620USD2,897,072USD1,191,325USD2,891,464USD5,571,120USD
Other Cashflows From Investing Activities-500,000USD-850,000USD————-1USD—
Other Cashflows From Financing Activities-320USD2,979,113USD2,856,164USD-8,965USD4,435,595USD—3,658USD-2,008USD
Unclassified Financing Cash Flow———6,329,197USD————
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Cash flow Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USDFY 20212021-12-31 · USDFY 20202020-12-31 · USDFY 20192019-12-31 · USDFY 20182018-12-31 · USD
Net Income-13,563,834USD-11,850,118USD-11,121,520USD-27,424,229USD-11,427,534USD-14,413,788USD-3,357,876USD-3,765,047USD
Depreciation1,204USD782USD222USD788,495USD790,972USD803,774USD803,773USD630,092USD
Stock Based Compensation857,550USD629,514USD1,060,339USD8,828,713USD3,408,015USD2,730,042USD510,478USD74,063USD
Other Non Cash Items-224,503USD87,184USD1,392,405USD7,658,274USD220,606USD8,878,188USD75,907USD67,069USD
Change In Working Capital1,544,388USD-112,404USD605,208USD543,604USD-1,178,739USD-140,393USD-179,711USD188,710USD
Total Cash From Operating Activities-11,385,195USD-11,245,042USD-8,063,346USD-9,605,143USD-8,717,291USD-3,143,196USD-2,750,145USD-3,707,914USD
Capital Expenditures-5USD-3,244USD-2,776USD-3USD0USD-4USD0USD-20,500USD
Free Cash Flow-11,385,195USD-11,248,286USD-8,066,122USD-9,605,143USD-8,717,291USD-3,143,196USD-2,750,145USD-3,728,414USD
Total Cashflows From Investing Activities-850,000USD-3,244USD-2,776USD————-22,282USD
Net Borrowings-6,602USD-5,202USD0USD—0USD862,459USD805,000USD805,000USD
Total Cash From Financing Activities16,580,825USD7,733,414USD6,268,724USD-388,843USD9,798,648USD17,867,884USD1,700,720USD2,623,728USD
Sale Purchase Of Stock-10,404USD-15,902USD1,310,875USD-388,843USD-64,396USD-95,212USD—0USD
Issuance Of Capital Stock16,597,831USD7,763,079USD6,321,470USD173,987USD10,049,537USD17,100,637USD785,000USD2,874,687USD
Change In Cash4,345,630USD-3,514,872USD-1,797,398USD-9,993,986USD1,081,357USD14,724,688USD-1,049,425USD-1,106,468USD
Begin Period Cash Flow1,191,325USD4,706,197USD6,503,595USD16,497,581USD15,416,224USD691,536USD1,740,961USD2,847,429USD
End Period Cash Flow5,536,955USD1,191,325USD4,706,197USD6,503,595USD16,497,581USD15,416,224USD691,536USD1,740,961USD
Other Cashflows From Investing Activities-850,000USD——————-1,782USD
Other Cashflows From Financing Activities-10,404USD-8,561USD-52,746USD-88,843USD-186,493USD2,492,165USD895,720USD-250,959USD
Unclassified Financing Cash Flow16,608,235USD7,763,079USD5,010,595USD—10,049,537USD15,375,719USD—2,069,687USD
Investments—-3,244USD-2,776USD0USD——0USD-22,282USD
Change To Account Receivables———70,274USD6,750USD-77,024USD-77,024USD-77,024USD
Change To Inventory———-70,274USD-6,750USD77,024USD—0USD
Change To Liabilities————-101,789USD245,082USD-216,490USD241,416USD
Dividends Paid—————-767,247USD—0USD
Cash And Cash Equivalents Changes—————14,724,688USD—0USD
Unclassified Operating Cash Flow—————-1,001,019USD——
Exchange Rate Changes———————0USD
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Operating metrics

No operating metrics are currently published for this company.

Revenue breakdown

No revenue breakdown is currently published for this company.

Periods follow company fiscal calendars. Quarterly, annual and year-to-date amounts are shown separately. Missing values are not zero. Data may be delayed, incomplete or corrected; follow the disclosure links to verify figures.