US Stock MarketDetailed Quotes

AIMD Ainos

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  • 0.6845
  • -0.0305-4.27%
Close Jul 24 16:00 ET
  • 0.6900
  • +0.0055+0.80%
Post 16:45 ET
5.25MMarket Cap-207P/E (TTM)

Ainos Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-10.05%1.03M
1.74%1.89M
1.74%1.89M
-1.91%2.37M
-22.40%1.36M
-38.75%1.15M
5.82%1.85M
5.82%1.85M
241.92%2.42M
189.11%1.75M
-Cash and cash equivalents
-10.05%1.03M
1.74%1.89M
1.74%1.89M
-1.91%2.37M
-22.40%1.36M
-38.75%1.15M
5.82%1.85M
5.82%1.85M
241.92%2.42M
189.11%1.75M
Receivables
-99.74%4.17K
-99.77%455
-99.77%455
-99.96%162
--9.39K
--1.61M
--201.55K
--201.55K
796.44%400.2K
----
-Accounts receivable
-96.25%4.17K
-99.77%455
-99.77%455
-99.96%162
--9.39K
--111.28K
--201.55K
--201.55K
796.44%400.2K
----
-Related party accounts receivable
----
----
----
----
----
--1.5M
----
----
----
----
Inventory
-70.36%169.66K
-71.84%167.59K
-71.84%167.59K
-68.88%217.33K
-21.24%528.11K
69.44%572.39K
--595.22K
--595.22K
398,925.71%698.3K
--670.51K
Other current assets
0.43%304.61K
114.27%419.52K
114.27%419.52K
196.38%451.7K
-81.07%241.23K
-62.73%303.32K
-58.00%195.79K
-58.00%195.79K
--152.41K
--1.27M
Total current assets
-58.46%1.51M
-13.10%2.47M
-13.10%2.47M
-17.12%3.04M
-42.15%2.14M
20.18%3.63M
28.33%2.85M
28.33%2.85M
314.56%3.67M
325.42%3.7M
Non current assets
Net PPE
-41.53%768.67K
-36.28%876.57K
-36.28%876.57K
-14.03%1.16M
-15.55%1.27M
-7.40%1.31M
15.83%1.38M
15.83%1.38M
1,311.96%1.35M
1,688.83%1.5M
-Gross PPE
----
7.31%1.81M
7.31%1.81M
----
----
----
38.16%1.68M
38.16%1.68M
----
----
-Accumulated depreciation
----
-201.89%-930.28K
-201.89%-930.28K
----
----
----
-892.95%-308.15K
-892.95%-308.15K
----
----
Goodwill and other intangible assets
-14.31%27.16M
-13.79%28.28M
-13.79%28.28M
-13.33%29.42M
-12.89%30.56M
-12.49%31.69M
-12.12%32.81M
-12.12%32.81M
78.56%33.95M
78.39%35.09M
-Other intangible assets
----
-13.79%28.28M
-13.79%28.28M
----
----
----
-12.12%32.81M
-12.12%32.81M
----
78.39%35.09M
Related parties assets
----
----
----
----
----
--1.5M
----
----
----
----
Other non current assets
366.26%320.87K
158.82%208.83K
158.82%208.83K
102.03%235.22K
-41.32%73.17K
-13.54%68.82K
-7.87%80.68K
-7.87%80.68K
6,386.07%116.43K
--124.7K
Total non current assets
-14.60%28.25M
-14.29%29.37M
-14.29%29.37M
-12.97%30.82M
-13.09%31.91M
-12.30%33.08M
-11.25%34.26M
-11.25%34.26M
85.33%35.41M
85.87%36.71M
Total assets
-18.94%29.75M
-14.19%31.84M
-14.19%31.84M
-13.36%33.86M
-15.75%34.05M
-9.89%36.71M
-9.10%37.11M
-9.10%37.11M
95.47%39.08M
95.97%40.41M
Liabilities
Current liabilities
-Due to related parties current
----
----
----
----
----
----
----
----
--0
--0
Current accrued expenses
59.55%1.29M
-2.48%1.18M
-2.48%1.18M
-51.85%665.77K
-83.47%429.5K
-39.83%806.02K
20.65%1.21M
20.65%1.21M
--1.38M
--2.6M
Current debt and capital lease obligation
212.30%3.31M
-96.67%42K
-96.67%42K
-96.67%42K
-84.42%684K
-75.84%1.06M
-64.89%1.26M
-64.89%1.26M
-42.85%1.26M
153.46%4.39M
-Current debt
212.30%3.31M
-96.67%42K
-96.67%42K
-96.67%42K
-84.42%684K
-75.84%1.06M
-64.89%1.26M
-64.89%1.26M
-42.32%1.26M
156.51%4.39M
Current deferred liabilities
--108K
--112.56K
--112.56K
--111.72K
----
----
--0
--0
----
----
Current liabilities
152.12%4.71M
-45.94%1.34M
-45.94%1.34M
-69.00%819.49K
-84.07%1.11M
-67.42%1.87M
-91.92%2.47M
-91.92%2.47M
-6.33%2.64M
194.10%6.99M
Non current liabilities
Long term debt and capital lease obligation
-5.34%2.37M
--5.92M
--5.92M
42,043.14%5.27M
-90.88%2.5M
-90.70%2.5M
----
----
-64.56%12.51K
67,461.10%27.42M
-Long term debt
-5.21%2.37M
--5.92M
--5.92M
--5.27M
-90.88%2.5M
-90.71%2.5M
----
----
----
--27.4M
-Long term capital lease obligation
----
----
----
----
----
-86.44%3.28K
----
----
-64.56%12.51K
-54.85%18.32K
Other non current liabilities
----
1,577.73%135.83K
1,577.73%135.83K
--89.33K
--37.56K
----
--8.1K
--8.1K
----
----
Total non current liabilities
-5.34%2.37M
74,719.48%6.06M
74,719.48%6.06M
42,757.52%5.36M
-90.75%2.54M
-90.70%2.5M
-73.24%8.1K
-73.24%8.1K
-64.56%12.51K
67,461.10%27.42M
Total liabilities
61.92%7.08M
198.03%7.39M
198.03%7.39M
132.66%6.18M
-89.39%3.65M
-86.62%4.37M
-91.90%2.48M
-91.90%2.48M
-7.05%2.66M
1,323.64%34.41M
Shareholders'equity
Share capital
-69.30%61.45K
16.88%46.78K
16.88%46.78K
4.18%202.93K
-85.94%202.93K
-86.14%200.12K
-58.42%40.02K
-58.42%40.02K
-86.33%194.78K
1.48%1.44M
-common stock
-69.30%61.45K
16.88%46.78K
16.88%46.78K
4.18%202.93K
-85.94%202.93K
-86.14%200.12K
-58.42%40.02K
-58.42%40.02K
-86.33%194.78K
1.48%1.44M
-Preferred stock
--0
--0
--0
----
----
----
--0
--0
--0
----
Retained earnings
-54.68%-41.2M
-57.10%-37.89M
-57.10%-37.89M
-45.38%-31.96M
-104.66%-28.99M
-118.17%-26.64M
-138.56%-24.12M
-138.56%-24.12M
-153.74%-21.98M
-88.74%-14.16M
Paid-in capital
8.80%64.15M
6.20%62.56M
6.20%62.56M
2.18%59.76M
213.69%59.42M
211.99%58.97M
191.55%58.91M
191.55%58.91M
140.02%58.49M
-22.00%18.94M
Gains losses not affecting retained earnings
-75.24%-335.74K
-34.13%-270.47K
-34.13%-270.47K
-17.66%-324.29K
-12.62%-245.46K
-266.62%-191.59K
-3,576.78%-201.65K
-3,576.78%-201.65K
-4,130.71%-275.62K
---217.95K
Other equity interest
--3
--1.62K
--1.62K
----
----
----
----
----
----
----
Total stockholders'equity
-29.87%22.68M
-29.40%24.45M
-29.40%24.45M
-24.01%27.68M
406.06%30.4M
300.10%32.34M
239.59%34.63M
239.59%34.63M
112.57%36.43M
-67.01%6.01M
Total equity
-29.87%22.68M
-29.40%24.45M
-29.40%24.45M
-24.01%27.68M
406.06%30.4M
300.10%32.34M
239.59%34.63M
239.59%34.63M
112.57%36.43M
-67.01%6.01M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -10.05%1.03M1.74%1.89M1.74%1.89M-1.91%2.37M-22.40%1.36M-38.75%1.15M5.82%1.85M5.82%1.85M241.92%2.42M189.11%1.75M
-Cash and cash equivalents -10.05%1.03M1.74%1.89M1.74%1.89M-1.91%2.37M-22.40%1.36M-38.75%1.15M5.82%1.85M5.82%1.85M241.92%2.42M189.11%1.75M
Receivables -99.74%4.17K-99.77%455-99.77%455-99.96%162--9.39K--1.61M--201.55K--201.55K796.44%400.2K----
-Accounts receivable -96.25%4.17K-99.77%455-99.77%455-99.96%162--9.39K--111.28K--201.55K--201.55K796.44%400.2K----
-Related party accounts receivable ----------------------1.5M----------------
Inventory -70.36%169.66K-71.84%167.59K-71.84%167.59K-68.88%217.33K-21.24%528.11K69.44%572.39K--595.22K--595.22K398,925.71%698.3K--670.51K
Other current assets 0.43%304.61K114.27%419.52K114.27%419.52K196.38%451.7K-81.07%241.23K-62.73%303.32K-58.00%195.79K-58.00%195.79K--152.41K--1.27M
Total current assets -58.46%1.51M-13.10%2.47M-13.10%2.47M-17.12%3.04M-42.15%2.14M20.18%3.63M28.33%2.85M28.33%2.85M314.56%3.67M325.42%3.7M
Non current assets
Net PPE -41.53%768.67K-36.28%876.57K-36.28%876.57K-14.03%1.16M-15.55%1.27M-7.40%1.31M15.83%1.38M15.83%1.38M1,311.96%1.35M1,688.83%1.5M
-Gross PPE ----7.31%1.81M7.31%1.81M------------38.16%1.68M38.16%1.68M--------
-Accumulated depreciation -----201.89%-930.28K-201.89%-930.28K-------------892.95%-308.15K-892.95%-308.15K--------
Goodwill and other intangible assets -14.31%27.16M-13.79%28.28M-13.79%28.28M-13.33%29.42M-12.89%30.56M-12.49%31.69M-12.12%32.81M-12.12%32.81M78.56%33.95M78.39%35.09M
-Other intangible assets -----13.79%28.28M-13.79%28.28M-------------12.12%32.81M-12.12%32.81M----78.39%35.09M
Related parties assets ----------------------1.5M----------------
Other non current assets 366.26%320.87K158.82%208.83K158.82%208.83K102.03%235.22K-41.32%73.17K-13.54%68.82K-7.87%80.68K-7.87%80.68K6,386.07%116.43K--124.7K
Total non current assets -14.60%28.25M-14.29%29.37M-14.29%29.37M-12.97%30.82M-13.09%31.91M-12.30%33.08M-11.25%34.26M-11.25%34.26M85.33%35.41M85.87%36.71M
Total assets -18.94%29.75M-14.19%31.84M-14.19%31.84M-13.36%33.86M-15.75%34.05M-9.89%36.71M-9.10%37.11M-9.10%37.11M95.47%39.08M95.97%40.41M
Liabilities
Current liabilities
-Due to related parties current ----------------------------------0--0
Current accrued expenses 59.55%1.29M-2.48%1.18M-2.48%1.18M-51.85%665.77K-83.47%429.5K-39.83%806.02K20.65%1.21M20.65%1.21M--1.38M--2.6M
Current debt and capital lease obligation 212.30%3.31M-96.67%42K-96.67%42K-96.67%42K-84.42%684K-75.84%1.06M-64.89%1.26M-64.89%1.26M-42.85%1.26M153.46%4.39M
-Current debt 212.30%3.31M-96.67%42K-96.67%42K-96.67%42K-84.42%684K-75.84%1.06M-64.89%1.26M-64.89%1.26M-42.32%1.26M156.51%4.39M
Current deferred liabilities --108K--112.56K--112.56K--111.72K----------0--0--------
Current liabilities 152.12%4.71M-45.94%1.34M-45.94%1.34M-69.00%819.49K-84.07%1.11M-67.42%1.87M-91.92%2.47M-91.92%2.47M-6.33%2.64M194.10%6.99M
Non current liabilities
Long term debt and capital lease obligation -5.34%2.37M--5.92M--5.92M42,043.14%5.27M-90.88%2.5M-90.70%2.5M---------64.56%12.51K67,461.10%27.42M
-Long term debt -5.21%2.37M--5.92M--5.92M--5.27M-90.88%2.5M-90.71%2.5M--------------27.4M
-Long term capital lease obligation ---------------------86.44%3.28K---------64.56%12.51K-54.85%18.32K
Other non current liabilities ----1,577.73%135.83K1,577.73%135.83K--89.33K--37.56K------8.1K--8.1K--------
Total non current liabilities -5.34%2.37M74,719.48%6.06M74,719.48%6.06M42,757.52%5.36M-90.75%2.54M-90.70%2.5M-73.24%8.1K-73.24%8.1K-64.56%12.51K67,461.10%27.42M
Total liabilities 61.92%7.08M198.03%7.39M198.03%7.39M132.66%6.18M-89.39%3.65M-86.62%4.37M-91.90%2.48M-91.90%2.48M-7.05%2.66M1,323.64%34.41M
Shareholders'equity
Share capital -69.30%61.45K16.88%46.78K16.88%46.78K4.18%202.93K-85.94%202.93K-86.14%200.12K-58.42%40.02K-58.42%40.02K-86.33%194.78K1.48%1.44M
-common stock -69.30%61.45K16.88%46.78K16.88%46.78K4.18%202.93K-85.94%202.93K-86.14%200.12K-58.42%40.02K-58.42%40.02K-86.33%194.78K1.48%1.44M
-Preferred stock --0--0--0--------------0--0--0----
Retained earnings -54.68%-41.2M-57.10%-37.89M-57.10%-37.89M-45.38%-31.96M-104.66%-28.99M-118.17%-26.64M-138.56%-24.12M-138.56%-24.12M-153.74%-21.98M-88.74%-14.16M
Paid-in capital 8.80%64.15M6.20%62.56M6.20%62.56M2.18%59.76M213.69%59.42M211.99%58.97M191.55%58.91M191.55%58.91M140.02%58.49M-22.00%18.94M
Gains losses not affecting retained earnings -75.24%-335.74K-34.13%-270.47K-34.13%-270.47K-17.66%-324.29K-12.62%-245.46K-266.62%-191.59K-3,576.78%-201.65K-3,576.78%-201.65K-4,130.71%-275.62K---217.95K
Other equity interest --3--1.62K--1.62K----------------------------
Total stockholders'equity -29.87%22.68M-29.40%24.45M-29.40%24.45M-24.01%27.68M406.06%30.4M300.10%32.34M239.59%34.63M239.59%34.63M112.57%36.43M-67.01%6.01M
Total equity -29.87%22.68M-29.40%24.45M-29.40%24.45M-24.01%27.68M406.06%30.4M300.10%32.34M239.59%34.63M239.59%34.63M112.57%36.43M-67.01%6.01M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------

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