US Stock MarketDetailed Quotes

ALAR Alarum Technologies

Watchlist
  • 6.360
  • -0.280-4.22%
Close Mar 28 16:00 ET
  • 6.780
  • +0.420+6.60%
Post 19:10 ET
44.10MMarket Cap7.95P/E (TTM)

Alarum Technologies Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
38.71%15.08M
38.71%15.08M
210.18%24.01M
467.16%21.63M
307.58%15.06M
230.46%10.87M
230.46%10.87M
100.28%7.74M
-5.62%3.81M
-48.45%3.7M
-Cash and cash equivalents
38.71%15.08M
38.71%15.08M
210.18%24.01M
467.16%21.63M
307.58%15.06M
230.46%10.87M
230.46%10.87M
100.28%7.74M
-5.62%3.81M
-19.59%3.7M
-Short-term investments
----
----
----
----
----
----
----
----
----
--0
Receivables
56.04%3.73M
56.04%3.73M
29.44%2.97M
24.35%3.43M
110.54%4.39M
-6.16%2.39M
-6.16%2.39M
40.60%2.3M
19.64%2.76M
9.61%2.09M
-Accounts receivable
62.04%3.23M
62.04%3.23M
32.87%2.47M
8.42%2.47M
109.76%2.95M
11.40%1.99M
11.40%1.99M
69.89%1.86M
22.72%2.28M
15.18%1.4M
-Other receivables
26.07%503K
26.07%503K
14.75%498K
99.79%961K
112.15%1.45M
-47.50%399K
-47.50%399K
-19.18%434K
6.89%481K
-0.29%683K
Restricted cash
----
----
----
--0
--0
----
----
--0
-10.71%500K
669.23%500K
Total current assets
41.84%18.82M
41.84%18.82M
168.84%26.98M
254.28%25.06M
209.68%19.45M
107.27%13.27M
107.27%13.27M
65.71%10.04M
2.40%7.07M
-31.25%6.28M
Non current assets
Net PPE
-27.57%628K
-27.57%628K
-24.32%697K
8.61%757K
279.17%819K
207.45%867K
207.45%867K
141.10%921K
51.52%697K
-60.29%216K
-Gross PPE
0.72%1.82M
0.72%1.82M
-24.32%697K
8.61%757K
279.17%819K
74.59%1.81M
74.59%1.81M
141.10%921K
51.52%697K
-60.29%216K
-Accumulated depreciation
-26.81%-1.19M
-26.81%-1.19M
----
----
----
-24.83%-940K
-24.83%-940K
----
----
----
Goodwill and other intangible assets
-10.45%4.93M
-10.45%4.93M
-10.61%5.06M
-13.61%5.2M
-64.54%5.34M
-64.06%5.5M
-64.06%5.5M
-64.98%5.67M
-63.75%6.02M
-14.36%15.07M
-Goodwill
0.00%4.12M
0.00%4.12M
0.00%4.12M
0.00%4.12M
-60.51%4.12M
-60.51%4.12M
-60.51%4.12M
-60.51%4.12M
-60.51%4.12M
-5.17%10.43M
-Other intangible assets
-41.49%811K
-41.49%811K
-38.85%946K
-43.08%1.08M
-73.59%1.23M
-71.62%1.39M
-71.62%1.39M
-73.09%1.55M
-69.22%1.9M
-29.67%4.64M
Investments and advances
--9.81M
--9.81M
----
----
----
--0
--0
----
----
----
Non current deferred assets
133.15%422K
133.15%422K
67.82%339K
--298K
--244K
--181K
--181K
--202K
----
----
Non current prepaid assets
16.35%121K
16.35%121K
4.04%103K
-14.29%102K
300.00%104K
395.24%104K
395.24%104K
35.62%99K
83.08%119K
-60.61%26K
Other non current assets
-41.38%85K
-41.38%85K
-50.00%85K
-57.66%94K
-56.25%119K
-59.15%145K
-59.15%145K
-53.93%170K
48.00%222K
90.21%272K
Total non current assets
135.20%16M
135.20%16M
-10.90%6.29M
-8.59%6.45M
-57.46%6.63M
-57.42%6.8M
-57.42%6.8M
-58.49%7.06M
-59.16%7.06M
-15.07%15.58M
Total assets
73.48%34.81M
73.48%34.81M
94.64%33.27M
122.99%31.51M
19.30%26.08M
-10.30%20.07M
-10.30%20.07M
-25.87%17.09M
-41.58%14.13M
-20.45%21.86M
Liabilities
Current liabilities
Payables
-31.98%251K
-31.98%251K
67.73%4.15M
10.78%3.63M
-15.52%3.47M
-82.97%369K
-82.97%369K
-40.78%2.48M
-29.45%3.28M
-11.59%4.11M
-accounts payable
-31.98%251K
-31.98%251K
-11.85%439K
-40.81%570K
-63.57%416K
-82.97%369K
-82.97%369K
-77.67%498K
-63.50%963K
-30.45%1.14M
-Other payable
----
----
87.77%3.71M
32.27%3.06M
2.96%3.06M
----
----
1.38%1.98M
15.37%2.31M
-1.30%2.97M
Current accrued expenses
69.94%605K
69.94%605K
----
----
----
-37.65%356K
-37.65%356K
----
----
----
Current debt and capital lease obligation
96.52%1.3M
96.52%1.3M
47.93%1.21M
-60.17%926K
-67.69%718K
-72.81%660K
-72.81%660K
-41.34%820K
237.94%2.33M
536.68%2.22M
-Current debt
223.45%938K
223.45%938K
82.30%855K
-73.12%564K
-83.09%353K
-86.95%290K
-86.95%290K
-58.90%469K
424.50%2.1M
--2.09M
-Current capital lease obligation
-2.97%359K
-2.97%359K
1.99%358K
59.47%362K
172.39%365K
81.37%370K
81.37%370K
36.58%351K
-21.18%227K
-61.60%134K
Current deferred liabilities
71.26%3.4M
71.26%3.4M
48.41%2.29M
77.27%2.29M
122.15%2.73M
69.49%1.98M
69.49%1.98M
165.46%1.55M
141.84%1.29M
111.36%1.23M
Other current liabilities
35.78%148K
35.78%148K
11,100.00%224K
170,350.00%3.41M
47,500.00%952K
319.23%109K
319.23%109K
-98.76%2K
-99.07%2K
-99.65%2K
Current liabilities
46.89%8.17M
46.89%8.17M
62.77%7.88M
48.72%10.25M
4.07%7.87M
-31.70%5.56M
-31.70%5.56M
-23.39%4.84M
13.36%6.89M
22.84%7.56M
Non current liabilities
Long term debt and capital lease obligation
-77.89%293K
-77.89%293K
-68.30%414K
-20.44%837K
8.47%1.15M
114.05%1.33M
114.05%1.33M
245.50%1.31M
1,095.45%1.05M
568.55%1.06M
-Long term debt
-96.01%32K
-96.01%32K
-88.81%82K
-38.49%398K
-34.50%691K
32.34%802K
32.34%802K
114.33%733K
--647K
--1.06M
-Long term capital lease obligation
-50.10%261K
-50.10%261K
-42.06%332K
8.40%439K
5,675.00%462K
3,923.08%523K
3,923.08%523K
1,491.67%573K
360.23%405K
-94.97%8K
Non current deferred liabilities
----
----
----
--0
--0
----
----
--0
-87.35%63K
-47.23%305K
Total non current liabilities
-77.89%293K
-77.89%293K
-68.30%414K
-24.93%837K
-15.72%1.15M
44.02%1.33M
44.02%1.33M
30.60%1.31M
40.78%1.12M
46.94%1.37M
Total liabilities
22.88%8.46M
22.88%8.46M
34.93%8.3M
38.46%11.09M
1.04%9.02M
-24.01%6.89M
-24.01%6.89M
-16.02%6.15M
16.52%8.01M
26.01%8.93M
Shareholders'equity
Share capital
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-common stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
5.65%-96.55M
5.65%-96.55M
6.74%-97M
3.76%-101.24M
-3.48%-100.89M
-5.71%-102.33M
-5.71%-102.33M
-10.75%-104.01M
-14.92%-105.2M
-10.31%-97.5M
Paid-in capital
11.25%111.89M
11.25%111.89M
11.75%111.61M
13.79%108.96M
9.40%104.1M
5.78%100.58M
5.78%100.58M
5.25%99.88M
3.50%95.75M
3.47%95.15M
Gains losses not affecting retained earnings
-26.28%11.01M
-26.28%11.01M
-31.26%10.36M
-18.39%12.71M
-9.33%13.86M
-0.69%14.94M
-0.69%14.94M
2.19%15.08M
-4.72%15.57M
-9.18%15.28M
Total stockholders'equity
99.92%26.35M
99.92%26.35M
128.18%24.97M
233.51%20.42M
31.90%17.06M
-0.98%13.18M
-0.98%13.18M
-30.45%10.95M
-64.63%6.12M
-36.59%12.93M
Total equity
99.92%26.35M
99.92%26.35M
128.18%24.97M
233.51%20.42M
31.90%17.06M
-0.98%13.18M
-0.98%13.18M
-30.45%10.95M
-64.63%6.12M
-36.59%12.93M
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
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 38.71%15.08M38.71%15.08M210.18%24.01M467.16%21.63M307.58%15.06M230.46%10.87M230.46%10.87M100.28%7.74M-5.62%3.81M-48.45%3.7M
-Cash and cash equivalents 38.71%15.08M38.71%15.08M210.18%24.01M467.16%21.63M307.58%15.06M230.46%10.87M230.46%10.87M100.28%7.74M-5.62%3.81M-19.59%3.7M
-Short-term investments --------------------------------------0
Receivables 56.04%3.73M56.04%3.73M29.44%2.97M24.35%3.43M110.54%4.39M-6.16%2.39M-6.16%2.39M40.60%2.3M19.64%2.76M9.61%2.09M
-Accounts receivable 62.04%3.23M62.04%3.23M32.87%2.47M8.42%2.47M109.76%2.95M11.40%1.99M11.40%1.99M69.89%1.86M22.72%2.28M15.18%1.4M
-Other receivables 26.07%503K26.07%503K14.75%498K99.79%961K112.15%1.45M-47.50%399K-47.50%399K-19.18%434K6.89%481K-0.29%683K
Restricted cash --------------0--0----------0-10.71%500K669.23%500K
Total current assets 41.84%18.82M41.84%18.82M168.84%26.98M254.28%25.06M209.68%19.45M107.27%13.27M107.27%13.27M65.71%10.04M2.40%7.07M-31.25%6.28M
Non current assets
Net PPE -27.57%628K-27.57%628K-24.32%697K8.61%757K279.17%819K207.45%867K207.45%867K141.10%921K51.52%697K-60.29%216K
-Gross PPE 0.72%1.82M0.72%1.82M-24.32%697K8.61%757K279.17%819K74.59%1.81M74.59%1.81M141.10%921K51.52%697K-60.29%216K
-Accumulated depreciation -26.81%-1.19M-26.81%-1.19M-------------24.83%-940K-24.83%-940K------------
Goodwill and other intangible assets -10.45%4.93M-10.45%4.93M-10.61%5.06M-13.61%5.2M-64.54%5.34M-64.06%5.5M-64.06%5.5M-64.98%5.67M-63.75%6.02M-14.36%15.07M
-Goodwill 0.00%4.12M0.00%4.12M0.00%4.12M0.00%4.12M-60.51%4.12M-60.51%4.12M-60.51%4.12M-60.51%4.12M-60.51%4.12M-5.17%10.43M
-Other intangible assets -41.49%811K-41.49%811K-38.85%946K-43.08%1.08M-73.59%1.23M-71.62%1.39M-71.62%1.39M-73.09%1.55M-69.22%1.9M-29.67%4.64M
Investments and advances --9.81M--9.81M--------------0--0------------
Non current deferred assets 133.15%422K133.15%422K67.82%339K--298K--244K--181K--181K--202K--------
Non current prepaid assets 16.35%121K16.35%121K4.04%103K-14.29%102K300.00%104K395.24%104K395.24%104K35.62%99K83.08%119K-60.61%26K
Other non current assets -41.38%85K-41.38%85K-50.00%85K-57.66%94K-56.25%119K-59.15%145K-59.15%145K-53.93%170K48.00%222K90.21%272K
Total non current assets 135.20%16M135.20%16M-10.90%6.29M-8.59%6.45M-57.46%6.63M-57.42%6.8M-57.42%6.8M-58.49%7.06M-59.16%7.06M-15.07%15.58M
Total assets 73.48%34.81M73.48%34.81M94.64%33.27M122.99%31.51M19.30%26.08M-10.30%20.07M-10.30%20.07M-25.87%17.09M-41.58%14.13M-20.45%21.86M
Liabilities
Current liabilities
Payables -31.98%251K-31.98%251K67.73%4.15M10.78%3.63M-15.52%3.47M-82.97%369K-82.97%369K-40.78%2.48M-29.45%3.28M-11.59%4.11M
-accounts payable -31.98%251K-31.98%251K-11.85%439K-40.81%570K-63.57%416K-82.97%369K-82.97%369K-77.67%498K-63.50%963K-30.45%1.14M
-Other payable --------87.77%3.71M32.27%3.06M2.96%3.06M--------1.38%1.98M15.37%2.31M-1.30%2.97M
Current accrued expenses 69.94%605K69.94%605K-------------37.65%356K-37.65%356K------------
Current debt and capital lease obligation 96.52%1.3M96.52%1.3M47.93%1.21M-60.17%926K-67.69%718K-72.81%660K-72.81%660K-41.34%820K237.94%2.33M536.68%2.22M
-Current debt 223.45%938K223.45%938K82.30%855K-73.12%564K-83.09%353K-86.95%290K-86.95%290K-58.90%469K424.50%2.1M--2.09M
-Current capital lease obligation -2.97%359K-2.97%359K1.99%358K59.47%362K172.39%365K81.37%370K81.37%370K36.58%351K-21.18%227K-61.60%134K
Current deferred liabilities 71.26%3.4M71.26%3.4M48.41%2.29M77.27%2.29M122.15%2.73M69.49%1.98M69.49%1.98M165.46%1.55M141.84%1.29M111.36%1.23M
Other current liabilities 35.78%148K35.78%148K11,100.00%224K170,350.00%3.41M47,500.00%952K319.23%109K319.23%109K-98.76%2K-99.07%2K-99.65%2K
Current liabilities 46.89%8.17M46.89%8.17M62.77%7.88M48.72%10.25M4.07%7.87M-31.70%5.56M-31.70%5.56M-23.39%4.84M13.36%6.89M22.84%7.56M
Non current liabilities
Long term debt and capital lease obligation -77.89%293K-77.89%293K-68.30%414K-20.44%837K8.47%1.15M114.05%1.33M114.05%1.33M245.50%1.31M1,095.45%1.05M568.55%1.06M
-Long term debt -96.01%32K-96.01%32K-88.81%82K-38.49%398K-34.50%691K32.34%802K32.34%802K114.33%733K--647K--1.06M
-Long term capital lease obligation -50.10%261K-50.10%261K-42.06%332K8.40%439K5,675.00%462K3,923.08%523K3,923.08%523K1,491.67%573K360.23%405K-94.97%8K
Non current deferred liabilities --------------0--0----------0-87.35%63K-47.23%305K
Total non current liabilities -77.89%293K-77.89%293K-68.30%414K-24.93%837K-15.72%1.15M44.02%1.33M44.02%1.33M30.60%1.31M40.78%1.12M46.94%1.37M
Total liabilities 22.88%8.46M22.88%8.46M34.93%8.3M38.46%11.09M1.04%9.02M-24.01%6.89M-24.01%6.89M-16.02%6.15M16.52%8.01M26.01%8.93M
Shareholders'equity
Share capital --0--0--0--0--0--0--0--0--0--0
-common stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 5.65%-96.55M5.65%-96.55M6.74%-97M3.76%-101.24M-3.48%-100.89M-5.71%-102.33M-5.71%-102.33M-10.75%-104.01M-14.92%-105.2M-10.31%-97.5M
Paid-in capital 11.25%111.89M11.25%111.89M11.75%111.61M13.79%108.96M9.40%104.1M5.78%100.58M5.78%100.58M5.25%99.88M3.50%95.75M3.47%95.15M
Gains losses not affecting retained earnings -26.28%11.01M-26.28%11.01M-31.26%10.36M-18.39%12.71M-9.33%13.86M-0.69%14.94M-0.69%14.94M2.19%15.08M-4.72%15.57M-9.18%15.28M
Total stockholders'equity 99.92%26.35M99.92%26.35M128.18%24.97M233.51%20.42M31.90%17.06M-0.98%13.18M-0.98%13.18M-30.45%10.95M-64.63%6.12M-36.59%12.93M
Total equity 99.92%26.35M99.92%26.35M128.18%24.97M233.51%20.42M31.90%17.06M-0.98%13.18M-0.98%13.18M-30.45%10.95M-64.63%6.12M-36.59%12.93M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
Market Insights
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