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AIOT Powerfleet

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  • 5.470
  • +0.210+3.99%
Close Oct 16 16:00 ET
  • 5.650
  • +0.180+3.29%
Post 20:02 ET
721.29MMarket Cap-5050P/E (TTM)

Powerfleet Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jun 30, 2024
(FY)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
Assets
Current assets
Cash, cash equivalents and short term investments
22.04%30.24M
28.03%24.35M
7.59%19.02M
7.59%19.02M
15.53%19.3M
22.74%21.73M
20.53%24.78M
-33.16%17.68M
-33.16%17.68M
-50.61%16.7M
-Cash and cash equivalents
22.04%30.24M
28.03%24.35M
7.59%19.02M
7.59%19.02M
15.53%19.3M
22.74%21.73M
20.53%24.78M
-33.16%17.68M
-33.16%17.68M
-50.61%16.7M
Receivables
101.27%67.85M
-6.09%32.6M
-0.44%34.71M
-0.44%34.71M
0.95%35.95M
-5.56%33.61M
-0.35%33.71M
2.52%34.86M
2.52%34.86M
11.81%35.62M
-Accounts receivable
91.25%60.13M
-6.50%30.33M
-0.63%32.44M
-0.63%32.44M
0.76%33.61M
-6.49%31.32M
-1.32%31.44M
1.72%32.65M
1.72%32.65M
10.62%33.35M
-Taxes receivable
--2.85M
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-Other receivables
114.64%4.87M
-0.26%2.26M
2.44%2.27M
2.44%2.27M
3.67%2.35M
9.20%2.29M
15.19%2.27M
15.92%2.21M
15.92%2.21M
33.04%2.26M
Inventory
14.05%25.83M
-4.18%21.66M
1.48%22.6M
1.48%22.6M
-10.68%21.06M
-6.01%22.13M
11.50%22.65M
22.09%22.27M
22.09%22.27M
45.53%23.57M
Prepaid assets
40.51%5.77M
-27.77%2.82M
-1.32%3.9M
-1.32%3.9M
-19.02%4.23M
-18.95%3.9M
-28.82%4.11M
-13.71%3.95M
-13.71%3.95M
50.50%5.23M
Restricted cash
272.49%1.15M
27,419.35%85.31M
0.32%310K
0.32%310K
0.32%310K
0.00%309K
0.32%309K
0.32%309K
0.32%309K
0.32%309K
Current deferred assets
-95.41%24K
-49.40%42K
-89.11%83K
-89.11%83K
-81.37%191K
-74.30%338K
-63.06%523K
-56.75%762K
-56.75%762K
-21.03%1.03M
Other current assets
90.08%3.01M
115.14%3.01M
2.19%1.4M
2.19%1.4M
55.44%2.14M
-47.45%1.11M
-46.81%1.58M
-46.51%1.37M
-46.51%1.37M
-33.81%1.38M
Total current assets
52.72%133.88M
107.00%169.79M
1.01%82.03M
1.01%82.03M
-0.77%83.18M
-2.65%83.12M
2.92%87.66M
-7.63%81.21M
-7.63%81.21M
-5.84%83.83M
Non current assets
Net PPE
249.59%60.43M
8.45%20.15M
8.84%18.58M
8.84%18.58M
-1.65%16.71M
2.18%17.16M
-4.66%17.29M
-9.09%17.07M
-9.09%17.07M
-9.14%16.99M
-Gross PPE
135.58%81.7M
6.01%39.99M
15.31%37.72M
15.31%37.72M
9.95%34.69M
14.68%35.55M
4.85%34.68M
1.95%32.72M
1.95%32.72M
2.14%31.55M
-Accumulated depreciation
-22.29%-21.27M
-3.65%-19.85M
-22.37%-19.15M
-22.37%-19.15M
-23.50%-17.98M
-29.46%-18.39M
-16.37%-17.39M
-17.52%-15.65M
-17.52%-15.65M
-19.45%-14.56M
Goodwill and other intangible assets
344.99%470.87M
-0.41%103.14M
-2.66%103.56M
-2.66%103.56M
-2.02%104.64M
-2.00%105.36M
-2.33%105.82M
-2.93%106.4M
-2.93%106.4M
-3.56%106.8M
-Goodwill
260.27%300.78M
0.00%83.49M
0.00%83.49M
0.00%83.49M
0.00%83.49M
0.00%83.49M
0.00%83.49M
0.00%83.49M
0.00%83.49M
0.17%83.49M
-Other intangible assets
661.79%170.09M
-2.11%19.65M
-12.37%20.08M
-12.37%20.08M
-9.24%21.16M
-8.95%21.87M
-10.14%22.33M
-12.30%22.91M
-12.30%22.91M
-14.91%23.31M
Non current accounts receivable
--3.76M
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Non current deferred assets
41.99%3.54M
-13.26%2.78M
-3.08%3.21M
-3.08%3.21M
-48.80%1.92M
-55.81%1.94M
-52.01%2.5M
-26.67%3.31M
-26.67%3.31M
80.94%3.74M
Defined pension benefit
----
-0.16%3.8M
1.12%3.8M
1.12%3.8M
-5.17%3.43M
-1.22%3.57M
-13.97%3.68M
-13.74%3.76M
-13.74%3.76M
-11.75%3.61M
Other non current assets
107.80%12.44M
30.55%9.03M
9.47%6.92M
9.47%6.92M
22.45%6.23M
21.09%6.13M
25.24%5.98M
34.34%6.32M
34.34%6.32M
39.11%5.09M
Total non current assets
307.38%551.03M
2.08%138.89M
-0.57%136.06M
-0.57%136.06M
-2.43%132.93M
-2.34%134.16M
-3.88%135.26M
-3.60%136.85M
-3.60%136.85M
-2.18%136.23M
Total assets
207.24%684.91M
41.54%308.68M
0.02%218.09M
0.02%218.09M
-1.80%216.11M
-2.46%217.28M
-1.32%222.93M
-5.14%218.06M
-5.14%218.06M
-3.61%220.06M
Liabilities
Current liabilities
Payables
192.32%46.1M
4.11%20.03M
30.83%19.24M
30.83%19.24M
-10.18%16.55M
-28.99%13.71M
-11.65%15.77M
-17.16%14.7M
-17.16%14.7M
32.81%18.42M
-accounts payable
192.32%46.1M
4.11%20.03M
30.83%19.24M
30.83%19.24M
-10.18%16.55M
-28.99%13.71M
-11.65%15.77M
-17.16%14.7M
-17.16%14.7M
32.81%18.42M
Current accrued expenses
208.78%6.69M
11.67%4.2M
37.41%3.76M
37.41%3.76M
129.24%4.5M
126.68%4.52M
-13.78%2.17M
-15.16%2.74M
-15.16%2.74M
-31.70%1.96M
Current provisions
----
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----
----
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59.30%2.1M
----
----
88.52%1.71M
Current debt and capital lease obligation
153.76%30.05M
-83.45%3.74M
77.17%22.59M
77.17%22.59M
21.92%14.42M
32.63%13.65M
35.72%11.84M
45.68%12.75M
45.68%12.75M
35.46%11.83M
-Current debt
194.95%27.6M
-90.75%1.95M
104.53%21.09M
104.53%21.09M
29.59%12.14M
43.66%11.2M
55.83%9.36M
68.66%10.31M
68.66%10.31M
50.46%9.37M
-Current capital lease obligation
-1.61%2.44M
19.03%1.79M
-38.43%1.5M
-38.43%1.5M
-7.22%2.29M
-1.84%2.45M
-8.72%2.48M
-7.54%2.44M
-7.54%2.44M
-1.75%2.46M
Current deferred liabilities
58.35%10.02M
3.11%5.84M
-11.14%5.67M
-11.14%5.67M
-6.47%6.1M
-15.52%6.19M
-11.73%6.33M
-2.19%6.38M
-2.19%6.38M
3.97%6.52M
Other current liabilities
346.25%2.56M
42.83%827K
-28.07%579K
-28.07%579K
-10.62%530K
6.26%526K
-28.73%573K
-42.38%805K
-42.38%805K
-58.91%593K
Current liabilities
137.38%108.84M
-25.56%43.59M
31.51%58.56M
31.51%58.56M
3.10%48.63M
-4.38%44.8M
2.64%45.85M
0.54%44.53M
0.54%44.53M
18.93%47.17M
Non current liabilities
Long term debt and capital lease obligation
667.45%120.51M
2,339.51%119.73M
-71.18%4.91M
-71.18%4.91M
-20.75%14.03M
-25.40%14.66M
-32.85%15.7M
-33.15%17.03M
-33.15%17.03M
-33.32%17.71M
-Long term debt
952.43%111.96M
--113.81M
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----
-19.28%9.62M
-25.87%9.94M
-34.57%10.64M
-37.03%11.4M
-37.03%11.4M
-37.38%11.91M
-Long term capital lease obligation
68.90%8.56M
20.64%5.92M
-12.79%4.91M
-12.79%4.91M
-23.79%4.42M
-24.40%4.72M
-28.94%5.07M
-23.62%5.63M
-23.62%5.63M
-23.07%5.79M
Non current deferred liabilities
540.62%57.47M
-4.02%9.36M
4.47%9.75M
4.47%9.75M
-3.23%9.09M
-6.70%8.61M
-8.19%8.97M
-3.28%9.33M
-3.28%9.33M
76.24%9.39M
Other non current liabilities
383.95%3.02M
3.06%2.5M
35.46%2.42M
35.46%2.42M
3.34%649K
3.25%668K
-15.58%623K
153.26%1.79M
153.26%1.79M
-11.67%628K
Total non current liabilities
524.83%185.53M
530.12%136.18M
-33.53%21.61M
-33.53%21.61M
-12.43%27.91M
-16.11%28.22M
-23.38%29.69M
-20.15%32.52M
-20.15%32.52M
-14.63%31.87M
Total liabilities
289.67%294.37M
124.24%179.77M
4.06%80.17M
4.06%80.17M
-3.16%76.54M
-9.29%73.02M
-9.44%75.54M
-9.37%77.04M
-9.37%77.04M
2.66%79.04M
Shareholders'equity
Share capital
-98.15%1.1M
12.39%90.66M
11.40%80.66M
11.40%80.66M
5.08%59.56M
7.10%59.39M
9.18%59.22M
36.52%72.41M
36.52%72.41M
7.22%56.69M
-common stock
191.49%1.1M
0.00%387K
2.93%387K
2.93%387K
2.93%387K
0.53%377K
0.00%376K
0.80%376K
0.80%376K
0.80%376K
-Preferred stock
--0
12.45%90.27M
11.45%80.28M
11.45%80.28M
5.09%59.18M
7.14%59.01M
9.25%58.84M
36.78%72.03M
36.78%72.03M
7.27%56.31M
Retained earnings
-29.59%-177.11M
-5.82%-154.8M
-3.89%-146.28M
-3.89%-146.28M
-2.53%-143.32M
-1.57%-139.65M
0.51%-136.67M
-4.74%-140.81M
-4.74%-140.81M
-9.45%-139.78M
Paid-in capital
146.78%578.51M
-4.75%202.61M
-2.90%212.7M
-2.90%212.7M
0.09%233.81M
0.11%234.02M
0.46%234.43M
-6.42%219.06M
-6.42%219.06M
-0.16%233.59M
Less: Treasury stock
34.65%11.52M
0.36%8.68M
1.66%8.65M
1.66%8.65M
1.84%8.65M
0.86%8.56M
0.87%8.55M
2.54%8.51M
2.54%8.51M
7.67%8.49M
Gains losses not affecting retained earnings
48.36%-567K
-59.90%-985K
49.09%-616K
49.09%-616K
-81.33%-1.9M
6.03%-998K
-270.50%-1.1M
-409.46%-1.21M
-409.46%-1.21M
-4,275.00%-1.05M
Total stockholders'equity
165.02%390.42M
-6.54%128.8M
-2.21%137.82M
-2.21%137.82M
-1.03%139.5M
1.42%144.2M
3.47%147.32M
-2.65%140.94M
-2.65%140.94M
-6.78%140.95M
Noncontrolling interests
98.48%131K
2.94%105K
30.77%102K
30.77%102K
-7.35%63K
-25.88%63K
-35.29%66K
-9.30%78K
-9.30%78K
-27.66%68K
Total equity
164.99%390.55M
-6.53%128.91M
-2.19%137.92M
-2.19%137.92M
-1.03%139.56M
1.41%144.26M
3.44%147.38M
-2.65%141.01M
-2.65%141.01M
-6.79%141.02M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q1)Jun 30, 2024(FY)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
Assets
Current assets
Cash, cash equivalents and short term investments 22.04%30.24M28.03%24.35M7.59%19.02M7.59%19.02M15.53%19.3M22.74%21.73M20.53%24.78M-33.16%17.68M-33.16%17.68M-50.61%16.7M
-Cash and cash equivalents 22.04%30.24M28.03%24.35M7.59%19.02M7.59%19.02M15.53%19.3M22.74%21.73M20.53%24.78M-33.16%17.68M-33.16%17.68M-50.61%16.7M
Receivables 101.27%67.85M-6.09%32.6M-0.44%34.71M-0.44%34.71M0.95%35.95M-5.56%33.61M-0.35%33.71M2.52%34.86M2.52%34.86M11.81%35.62M
-Accounts receivable 91.25%60.13M-6.50%30.33M-0.63%32.44M-0.63%32.44M0.76%33.61M-6.49%31.32M-1.32%31.44M1.72%32.65M1.72%32.65M10.62%33.35M
-Taxes receivable --2.85M------------------------------------
-Other receivables 114.64%4.87M-0.26%2.26M2.44%2.27M2.44%2.27M3.67%2.35M9.20%2.29M15.19%2.27M15.92%2.21M15.92%2.21M33.04%2.26M
Inventory 14.05%25.83M-4.18%21.66M1.48%22.6M1.48%22.6M-10.68%21.06M-6.01%22.13M11.50%22.65M22.09%22.27M22.09%22.27M45.53%23.57M
Prepaid assets 40.51%5.77M-27.77%2.82M-1.32%3.9M-1.32%3.9M-19.02%4.23M-18.95%3.9M-28.82%4.11M-13.71%3.95M-13.71%3.95M50.50%5.23M
Restricted cash 272.49%1.15M27,419.35%85.31M0.32%310K0.32%310K0.32%310K0.00%309K0.32%309K0.32%309K0.32%309K0.32%309K
Current deferred assets -95.41%24K-49.40%42K-89.11%83K-89.11%83K-81.37%191K-74.30%338K-63.06%523K-56.75%762K-56.75%762K-21.03%1.03M
Other current assets 90.08%3.01M115.14%3.01M2.19%1.4M2.19%1.4M55.44%2.14M-47.45%1.11M-46.81%1.58M-46.51%1.37M-46.51%1.37M-33.81%1.38M
Total current assets 52.72%133.88M107.00%169.79M1.01%82.03M1.01%82.03M-0.77%83.18M-2.65%83.12M2.92%87.66M-7.63%81.21M-7.63%81.21M-5.84%83.83M
Non current assets
Net PPE 249.59%60.43M8.45%20.15M8.84%18.58M8.84%18.58M-1.65%16.71M2.18%17.16M-4.66%17.29M-9.09%17.07M-9.09%17.07M-9.14%16.99M
-Gross PPE 135.58%81.7M6.01%39.99M15.31%37.72M15.31%37.72M9.95%34.69M14.68%35.55M4.85%34.68M1.95%32.72M1.95%32.72M2.14%31.55M
-Accumulated depreciation -22.29%-21.27M-3.65%-19.85M-22.37%-19.15M-22.37%-19.15M-23.50%-17.98M-29.46%-18.39M-16.37%-17.39M-17.52%-15.65M-17.52%-15.65M-19.45%-14.56M
Goodwill and other intangible assets 344.99%470.87M-0.41%103.14M-2.66%103.56M-2.66%103.56M-2.02%104.64M-2.00%105.36M-2.33%105.82M-2.93%106.4M-2.93%106.4M-3.56%106.8M
-Goodwill 260.27%300.78M0.00%83.49M0.00%83.49M0.00%83.49M0.00%83.49M0.00%83.49M0.00%83.49M0.00%83.49M0.00%83.49M0.17%83.49M
-Other intangible assets 661.79%170.09M-2.11%19.65M-12.37%20.08M-12.37%20.08M-9.24%21.16M-8.95%21.87M-10.14%22.33M-12.30%22.91M-12.30%22.91M-14.91%23.31M
Non current accounts receivable --3.76M------------------------------------
Non current deferred assets 41.99%3.54M-13.26%2.78M-3.08%3.21M-3.08%3.21M-48.80%1.92M-55.81%1.94M-52.01%2.5M-26.67%3.31M-26.67%3.31M80.94%3.74M
Defined pension benefit -----0.16%3.8M1.12%3.8M1.12%3.8M-5.17%3.43M-1.22%3.57M-13.97%3.68M-13.74%3.76M-13.74%3.76M-11.75%3.61M
Other non current assets 107.80%12.44M30.55%9.03M9.47%6.92M9.47%6.92M22.45%6.23M21.09%6.13M25.24%5.98M34.34%6.32M34.34%6.32M39.11%5.09M
Total non current assets 307.38%551.03M2.08%138.89M-0.57%136.06M-0.57%136.06M-2.43%132.93M-2.34%134.16M-3.88%135.26M-3.60%136.85M-3.60%136.85M-2.18%136.23M
Total assets 207.24%684.91M41.54%308.68M0.02%218.09M0.02%218.09M-1.80%216.11M-2.46%217.28M-1.32%222.93M-5.14%218.06M-5.14%218.06M-3.61%220.06M
Liabilities
Current liabilities
Payables 192.32%46.1M4.11%20.03M30.83%19.24M30.83%19.24M-10.18%16.55M-28.99%13.71M-11.65%15.77M-17.16%14.7M-17.16%14.7M32.81%18.42M
-accounts payable 192.32%46.1M4.11%20.03M30.83%19.24M30.83%19.24M-10.18%16.55M-28.99%13.71M-11.65%15.77M-17.16%14.7M-17.16%14.7M32.81%18.42M
Current accrued expenses 208.78%6.69M11.67%4.2M37.41%3.76M37.41%3.76M129.24%4.5M126.68%4.52M-13.78%2.17M-15.16%2.74M-15.16%2.74M-31.70%1.96M
Current provisions ------------------------59.30%2.1M--------88.52%1.71M
Current debt and capital lease obligation 153.76%30.05M-83.45%3.74M77.17%22.59M77.17%22.59M21.92%14.42M32.63%13.65M35.72%11.84M45.68%12.75M45.68%12.75M35.46%11.83M
-Current debt 194.95%27.6M-90.75%1.95M104.53%21.09M104.53%21.09M29.59%12.14M43.66%11.2M55.83%9.36M68.66%10.31M68.66%10.31M50.46%9.37M
-Current capital lease obligation -1.61%2.44M19.03%1.79M-38.43%1.5M-38.43%1.5M-7.22%2.29M-1.84%2.45M-8.72%2.48M-7.54%2.44M-7.54%2.44M-1.75%2.46M
Current deferred liabilities 58.35%10.02M3.11%5.84M-11.14%5.67M-11.14%5.67M-6.47%6.1M-15.52%6.19M-11.73%6.33M-2.19%6.38M-2.19%6.38M3.97%6.52M
Other current liabilities 346.25%2.56M42.83%827K-28.07%579K-28.07%579K-10.62%530K6.26%526K-28.73%573K-42.38%805K-42.38%805K-58.91%593K
Current liabilities 137.38%108.84M-25.56%43.59M31.51%58.56M31.51%58.56M3.10%48.63M-4.38%44.8M2.64%45.85M0.54%44.53M0.54%44.53M18.93%47.17M
Non current liabilities
Long term debt and capital lease obligation 667.45%120.51M2,339.51%119.73M-71.18%4.91M-71.18%4.91M-20.75%14.03M-25.40%14.66M-32.85%15.7M-33.15%17.03M-33.15%17.03M-33.32%17.71M
-Long term debt 952.43%111.96M--113.81M---------19.28%9.62M-25.87%9.94M-34.57%10.64M-37.03%11.4M-37.03%11.4M-37.38%11.91M
-Long term capital lease obligation 68.90%8.56M20.64%5.92M-12.79%4.91M-12.79%4.91M-23.79%4.42M-24.40%4.72M-28.94%5.07M-23.62%5.63M-23.62%5.63M-23.07%5.79M
Non current deferred liabilities 540.62%57.47M-4.02%9.36M4.47%9.75M4.47%9.75M-3.23%9.09M-6.70%8.61M-8.19%8.97M-3.28%9.33M-3.28%9.33M76.24%9.39M
Other non current liabilities 383.95%3.02M3.06%2.5M35.46%2.42M35.46%2.42M3.34%649K3.25%668K-15.58%623K153.26%1.79M153.26%1.79M-11.67%628K
Total non current liabilities 524.83%185.53M530.12%136.18M-33.53%21.61M-33.53%21.61M-12.43%27.91M-16.11%28.22M-23.38%29.69M-20.15%32.52M-20.15%32.52M-14.63%31.87M
Total liabilities 289.67%294.37M124.24%179.77M4.06%80.17M4.06%80.17M-3.16%76.54M-9.29%73.02M-9.44%75.54M-9.37%77.04M-9.37%77.04M2.66%79.04M
Shareholders'equity
Share capital -98.15%1.1M12.39%90.66M11.40%80.66M11.40%80.66M5.08%59.56M7.10%59.39M9.18%59.22M36.52%72.41M36.52%72.41M7.22%56.69M
-common stock 191.49%1.1M0.00%387K2.93%387K2.93%387K2.93%387K0.53%377K0.00%376K0.80%376K0.80%376K0.80%376K
-Preferred stock --012.45%90.27M11.45%80.28M11.45%80.28M5.09%59.18M7.14%59.01M9.25%58.84M36.78%72.03M36.78%72.03M7.27%56.31M
Retained earnings -29.59%-177.11M-5.82%-154.8M-3.89%-146.28M-3.89%-146.28M-2.53%-143.32M-1.57%-139.65M0.51%-136.67M-4.74%-140.81M-4.74%-140.81M-9.45%-139.78M
Paid-in capital 146.78%578.51M-4.75%202.61M-2.90%212.7M-2.90%212.7M0.09%233.81M0.11%234.02M0.46%234.43M-6.42%219.06M-6.42%219.06M-0.16%233.59M
Less: Treasury stock 34.65%11.52M0.36%8.68M1.66%8.65M1.66%8.65M1.84%8.65M0.86%8.56M0.87%8.55M2.54%8.51M2.54%8.51M7.67%8.49M
Gains losses not affecting retained earnings 48.36%-567K-59.90%-985K49.09%-616K49.09%-616K-81.33%-1.9M6.03%-998K-270.50%-1.1M-409.46%-1.21M-409.46%-1.21M-4,275.00%-1.05M
Total stockholders'equity 165.02%390.42M-6.54%128.8M-2.21%137.82M-2.21%137.82M-1.03%139.5M1.42%144.2M3.47%147.32M-2.65%140.94M-2.65%140.94M-6.78%140.95M
Noncontrolling interests 98.48%131K2.94%105K30.77%102K30.77%102K-7.35%63K-25.88%63K-35.29%66K-9.30%78K-9.30%78K-27.66%68K
Total equity 164.99%390.55M-6.53%128.91M-2.19%137.92M-2.19%137.92M-1.03%139.56M1.41%144.26M3.44%147.38M-2.65%141.01M-2.65%141.01M-6.79%141.02M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified OpinionUnqualified Opinion--------Unqualified Opinion----

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