Entity Common Stock, Shares Outstanding of MARIMED INC. from 18 Nov 2011 to 03 Nov 2025

Taxonomy & unit
dei: shares
Description
Indicate number of shares or other units outstanding of each of registrant's classes of capital or common stock or other ownership interests, if and as stated on cover of related periodic report. Where multiple classes or units exist define each class/interest by adding class of stock items such as Common Class A [Member], Common Class B [Member] or Partnership Interest [Member] onto the Instrument [Domain] of the Entity Listings, Instrument.
Summary
MARIMED INC. quarterly Entity Common Stock, Shares Outstanding in shares history and change rate from 18 Nov 2011 to 03 Nov 2025.
  • MARIMED INC. Entity Common Stock, Shares Outstanding for the quarter ending 03 Nov 2025 was 395,073,625, a 3.6% increase year-over-year.
Source SEC data
View on sec.gov
Entity Common Stock, Shares Outstanding, Quarterly (shares)
Entity Common Stock, Shares Outstanding, YoY Quarterly Change (%)

MARIMED INC. Quarterly Entity Common Stock, Shares Outstanding (shares)

Period Value YoY Chg Change % Date Report Filed Fiscal Year Fiscal Period
Q3 2025 395,073,625 +13,767,238 +3.6% 03 Nov 2025 10-Q 06 Nov 2025 2025 Q3
Q2 2025 392,309,965 +11,700,443 +3.1% 04 Aug 2025 10-Q 07 Aug 2025 2025 Q2
Q1 2025 382,173,979 +7,044,013 +1.9% 03 Mar 2025 10-K 06 Mar 2025 2024 FY
Q3 2024 381,306,387 +5,184,429 +1.4% 07 Nov 2024 10-Q 07 Nov 2024 2024 Q3
Q2 2024 380,609,522 +8,994,764 +2.4% 07 Aug 2024 10-Q 08 Aug 2024 2024 Q2
Q1 2024 375,129,966 +33,653,445 +9.9% 01 Mar 2024 10-K 07 Mar 2024 2023 FY
Q3 2023 376,121,958 +36,768,605 +11% 06 Nov 2023 10-Q 09 Nov 2023 2023 Q3
Q2 2023 371,614,758 +32,920,903 +9.7% 28 Jul 2023 10-Q 04 Aug 2023 2023 Q2
Q1 2023 341,476,521 +6,293,315 +1.9% 01 Mar 2023 10-K/A 06 Mar 2023 2022 FY
Q3 2022 339,353,353 +10,209,691 +3.1% 03 Nov 2022 10-Q 08 Nov 2022 2022 Q3
Q2 2022 338,693,855 +15,968,795 +4.9% 05 Aug 2022 10-Q 09 Aug 2022 2022 Q2
Q1 2022 335,183,206 +16,049,479 +5% 16 Mar 2022 10-K 16 Mar 2022 2021 FY
Q4 2021 333,144,567 15 Nov 2021 10-Q 15 Nov 2021 2021 Q3
Q3 2021 329,143,662 +28,726,889 +9.6% 16 Aug 2021 10-Q 16 Aug 2021 2021 Q2
Q2 2021 322,725,060 +74,609,314 +30% 17 May 2021 10-Q 17 May 2021 2021 Q1
Q1 2021 319,133,727 +88,841,320 +39% 23 Mar 2021 10-K 23 Mar 2021 2020 FY
Q3 2020 300,416,773 09 Nov 2020 10-Q 09 Nov 2020 2020 Q3
Q2 2020 248,115,746 +30,070,679 +14% 28 May 2020 10-Q 28 May 2020 2020 Q1
Q1 2020 230,292,407 +17,867,024 +8.4% 31 Mar 2020 10-K 01 Apr 2020 2019 FY
Q4 2019 219,238,047 27 Nov 2019 10-Q 29 Nov 2019 2019 Q3
Q2 2019 218,045,067 +22,816,069 +12% 09 Aug 2019 10-Q 09 Aug 2019 2019 Q2
Q1 2019 212,425,383 +32,719,450 +18% 16 Apr 2019 10-K 16 Apr 2019 2018 FY
Q3 2018 208,398,893 +37,067,902 +22% 14 Nov 2018 10-Q 14 Nov 2018 2018 Q3
Q2 2018 195,228,998 +33,443,830 +21% 14 Aug 2018 10-Q 14 Aug 2018 2018 Q2
Q1 2018 179,705,933 +115,461,763 +180% 30 Mar 2018 10-K 02 Apr 2018 2017 FY
Q3 2017 171,330,991 +107,256,308 +167% 14 Nov 2017 10-Q 14 Nov 2017 2017 Q3
Q2 2017 161,785,168 10 Aug 2017 10-Q 14 Aug 2017 2017 Q2
Q1 2017 64,244,170 31 Mar 2017 10-Q 15 May 2017 2017 Q1
Q4 2016 64,074,683 06 Dec 2016 10-Q 22 Dec 2016 2016 Q3
Q3 2016 64,074,683 +31,954,237 +99% 16 Sep 2016 10-K 27 Sep 2016 2015 FY
Q3 2015 32,120,446 +166,210 +0.52% 21 Oct 2015 10-Q 16 Nov 2015 2015 Q3
Q1 2015 31,824,548 -129,688 -0.41% 26 Mar 2015 10-Q 22 Jun 2015 2015 Q1
Q3 2014 31,954,236 +606,572 +1.9% 05 Nov 2014 10-Q 14 Nov 2014 2014 Q3
Q2 2014 31,954,236 22 Jul 2014 10-Q 14 Aug 2014 2014 Q2
Q1 2014 31,954,236 +129,688 +0.41% 29 Apr 2014 10-K 09 Jun 2015 2014 FY
Q3 2013 31,347,664 +6,936,115 +28% 05 Nov 2013 10-Q 14 Nov 2013 2013 Q3
Q1 2013 31,824,548 +1,476,884 +4.9% 26 Mar 2013 10-Q 14 May 2014 2014 Q1
Q4 2012 25,411,549 +24,885,234 +4728% 31 Dec 2012 10-K 28 Mar 2013 2012 FY
Q3 2012 24,411,549 15 Aug 2012 10-Q 15 Aug 2012 2012 Q2
Q1 2012 30,347,664 12 Apr 2012 10-K 12 Apr 2012 2011 FY
Q4 2011 526,315 18 Nov 2011 10-Q/A 14 Feb 2012 2011 Q3
* An asterisk sign (*) next to the value indicates that the value is likely invalid.