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ATLN Atlantic International

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  • 5.500
  • 0.0000.00%
15min DelayClose Jul 5 16:00 ET
268.01MMarket Cap-420P/E (TTM)

Atlantic International 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
-74.31%1.69M
-56.66%2.69M
-56.66%2.69M
-46.40%3.73M
-39.01%4.79M
-25.78%6.58M
-37.51%6.22M
-37.51%6.22M
-38.50%6.95M
12,299.21%7.85M
-Cash and cash equivalents
-66.52%1.69M
23.55%2.69M
23.55%2.69M
-16.31%3.73M
-39.01%4.79M
-43.07%5.04M
-45.69%2.18M
-45.69%2.18M
-60.61%4.45M
12,299.21%7.85M
-Short-term investments
----
--0
--0
--0
--0
--1.53M
-31.98%4.04M
-31.98%4.04M
--2.5M
--0
Receivables
0.00%2.72K
-96.65%2.72K
-96.65%2.72K
-96.96%2.72K
-97.50%2.72K
-98.25%2.72K
23.65%81.21K
23.65%81.21K
36.24%89.51K
254.50%108.88K
-Accounts receivable
0.00%2.72K
-87.16%2.72K
-87.16%2.72K
-90.77%2.72K
-91.13%2.72K
-90.77%2.72K
-30.93%21.21K
-30.93%21.21K
-3.99%29.51K
-0.08%30.69K
-Other receivables
----
----
----
----
----
----
71.60%60K
71.60%60K
71.61%60K
--78.19K
Inventory
----
--0
--0
--0
--0
--0
-26.01%165.85K
-26.01%165.85K
18.30%246.9K
24.46%246.74K
Prepaid assets
-72.21%33.6K
-80.84%32.93K
-80.84%32.93K
--0
-17.31%32.33K
-1.80%120.9K
-7.63%171.86K
-7.63%171.86K
-17.52%222.83K
--39.1K
Total current assets
-74.25%1.73M
-58.86%2.73M
-58.86%2.73M
-50.35%3.73M
-41.51%4.82M
-28.48%6.7M
-36.35%6.64M
-36.35%6.64M
-36.61%7.51M
2,721.84%8.25M
Non current assets
Net PPE
-6.69%1.55M
-2.18%1.62M
-2.18%1.62M
-0.71%1.7M
5.80%1.77M
-3.01%1.66M
525.72%1.66M
525.72%1.66M
515.48%1.71M
459.47%1.68M
-Gross PPE
-6.69%1.55M
-5.13%2.12M
-5.13%2.12M
-0.71%1.7M
5.80%1.77M
-3.01%1.66M
170.77%2.23M
170.77%2.23M
515.48%1.71M
459.47%1.68M
-Accumulated depreciation
----
13.70%-494.4K
13.70%-494.4K
----
----
----
-2.42%-572.85K
-2.42%-572.85K
----
----
Other non current assets
-26.89%81.22K
-30.22%83.01K
-30.22%83.01K
-37.91%79.33K
-54.23%78.39K
-0.14%111.1K
135.61%118.95K
135.61%118.95K
795.80%127.76K
1,100.74%171.25K
Total non current assets
-7.96%1.63M
-4.05%1.71M
-4.05%1.71M
-3.30%1.78M
0.24%1.85M
-2.84%1.77M
463.34%1.78M
463.34%1.78M
529.16%1.84M
488.62%1.85M
Total assets
-60.39%3.35M
-47.28%4.44M
-47.28%4.44M
-41.10%5.51M
-33.87%6.68M
-24.30%8.47M
-21.66%8.41M
-21.66%8.41M
-23.00%9.35M
1,565.73%10.1M
Liabilities
Current liabilities
Payables
-43.86%497.44K
-15.98%522.94K
-15.98%522.94K
-30.48%405.72K
-23.69%381.84K
41.90%886.12K
-28.57%622.44K
-28.57%622.44K
-30.21%583.57K
-54.11%500.4K
-accounts payable
-43.86%497.44K
-15.98%522.94K
-15.98%522.94K
-30.48%405.72K
-23.69%381.84K
41.90%886.12K
-28.57%622.44K
-28.57%622.44K
-30.21%583.57K
-54.11%500.4K
Current accrued expenses
-0.27%410.94K
-24.27%375.19K
-24.27%375.19K
17.73%358K
23.25%354.57K
25.85%412.04K
59.11%495.46K
59.11%495.46K
53.71%304.1K
50.51%287.69K
Current debt and capital lease obligation
1,093.20%1.64M
1,382.98%1.63M
1,382.98%1.63M
201.55%250.72K
368.18%220.29K
-90.19%137.48K
-91.99%110.11K
-91.99%110.11K
--83.15K
80.97%47.05K
-Current debt
--1.38M
--1.38M
--1.38M
----
----
----
----
----
----
----
-Current capital lease obligation
93.04%265.39K
134.28%257.97K
134.28%257.97K
201.55%250.72K
368.18%220.29K
407.90%137.48K
--110.11K
--110.11K
--83.15K
--47.05K
Current liabilities
73.14%2.55M
106.11%2.53M
106.11%2.53M
4.49%1.01M
14.56%956.71K
-37.46%1.47M
-51.99%1.23M
-51.99%1.23M
-6.11%970.82K
-36.13%835.14K
Non current liabilities
Long term debt and capital lease obligation
-55.69%1.23M
-53.98%1.3M
-53.98%1.3M
-4.40%2.74M
-2.86%2.81M
80.68%2.77M
--2.82M
--2.82M
74.26%2.87M
-40.03%2.89M
-Long term debt
----
----
----
0.00%1.38M
0.00%1.38M
--1.38M
--1.38M
--1.38M
-16.41%1.38M
-71.45%1.38M
-Long term capital lease obligation
-12.05%1.23M
-10.17%1.3M
-10.17%1.3M
-8.45%1.37M
-5.47%1.43M
-8.96%1.4M
--1.44M
--1.44M
--1.49M
--1.51M
Total non current liabilities
-55.69%1.23M
-53.98%1.3M
-53.98%1.3M
-4.40%2.74M
-2.86%2.81M
80.68%2.77M
--2.82M
--2.82M
74.26%2.87M
-40.03%2.89M
Total liabilities
-11.00%3.78M
-5.40%3.83M
-5.40%3.83M
-2.15%3.75M
1.04%3.76M
9.15%4.24M
58.24%4.05M
58.24%4.05M
43.24%3.84M
-39.20%3.72M
Shareholders'equity
Share capital
-97.12%4
33.33%4
33.33%4
-96.64%4
16.81%139
16.81%139
-97.48%3
-97.48%3
0.00%119
11.21%119
-common stock
-97.12%4
33.33%4
33.33%4
-96.64%4
16.81%139
16.81%139
-97.48%3
-97.48%3
0.00%119
142.86%119
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-24.74%-25.23M
-30.41%-24.14M
-30.41%-24.14M
-32.55%-22.89M
-32.30%-21.63M
-31.76%-20.23M
-28.41%-18.51M
-28.41%-18.51M
-32.70%-17.27M
-32.07%-16.35M
Paid-in capital
1.53%24.81M
8.27%24.74M
8.27%24.74M
8.17%24.65M
8.02%24.54M
7.87%24.43M
1.14%22.85M
1.14%22.85M
1.36%22.79M
231.17%22.72M
Gains losses not affecting retained earnings
----
--0
--0
--0
--0
--17.94K
--22.45K
--22.45K
----
----
Total stockholders'equity
-109.99%-422.18K
-86.08%607.74K
-86.08%607.74K
-68.21%1.75M
-54.27%2.91M
-42.11%4.23M
-46.63%4.37M
-46.63%4.37M
-41.75%5.51M
215.51%6.37M
Total equity
-109.99%-422.18K
-86.08%607.74K
-86.08%607.74K
-68.21%1.75M
-54.27%2.91M
-42.11%4.23M
-46.63%4.37M
-46.63%4.37M
-41.75%5.51M
215.51%6.37M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
--
(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 -74.31%1.69M-56.66%2.69M-56.66%2.69M-46.40%3.73M-39.01%4.79M-25.78%6.58M-37.51%6.22M-37.51%6.22M-38.50%6.95M12,299.21%7.85M
-Cash and cash equivalents -66.52%1.69M23.55%2.69M23.55%2.69M-16.31%3.73M-39.01%4.79M-43.07%5.04M-45.69%2.18M-45.69%2.18M-60.61%4.45M12,299.21%7.85M
-Short-term investments ------0--0--0--0--1.53M-31.98%4.04M-31.98%4.04M--2.5M--0
Receivables 0.00%2.72K-96.65%2.72K-96.65%2.72K-96.96%2.72K-97.50%2.72K-98.25%2.72K23.65%81.21K23.65%81.21K36.24%89.51K254.50%108.88K
-Accounts receivable 0.00%2.72K-87.16%2.72K-87.16%2.72K-90.77%2.72K-91.13%2.72K-90.77%2.72K-30.93%21.21K-30.93%21.21K-3.99%29.51K-0.08%30.69K
-Other receivables ------------------------71.60%60K71.60%60K71.61%60K--78.19K
Inventory ------0--0--0--0--0-26.01%165.85K-26.01%165.85K18.30%246.9K24.46%246.74K
Prepaid assets -72.21%33.6K-80.84%32.93K-80.84%32.93K--0-17.31%32.33K-1.80%120.9K-7.63%171.86K-7.63%171.86K-17.52%222.83K--39.1K
Total current assets -74.25%1.73M-58.86%2.73M-58.86%2.73M-50.35%3.73M-41.51%4.82M-28.48%6.7M-36.35%6.64M-36.35%6.64M-36.61%7.51M2,721.84%8.25M
Non current assets
Net PPE -6.69%1.55M-2.18%1.62M-2.18%1.62M-0.71%1.7M5.80%1.77M-3.01%1.66M525.72%1.66M525.72%1.66M515.48%1.71M459.47%1.68M
-Gross PPE -6.69%1.55M-5.13%2.12M-5.13%2.12M-0.71%1.7M5.80%1.77M-3.01%1.66M170.77%2.23M170.77%2.23M515.48%1.71M459.47%1.68M
-Accumulated depreciation ----13.70%-494.4K13.70%-494.4K-------------2.42%-572.85K-2.42%-572.85K--------
Other non current assets -26.89%81.22K-30.22%83.01K-30.22%83.01K-37.91%79.33K-54.23%78.39K-0.14%111.1K135.61%118.95K135.61%118.95K795.80%127.76K1,100.74%171.25K
Total non current assets -7.96%1.63M-4.05%1.71M-4.05%1.71M-3.30%1.78M0.24%1.85M-2.84%1.77M463.34%1.78M463.34%1.78M529.16%1.84M488.62%1.85M
Total assets -60.39%3.35M-47.28%4.44M-47.28%4.44M-41.10%5.51M-33.87%6.68M-24.30%8.47M-21.66%8.41M-21.66%8.41M-23.00%9.35M1,565.73%10.1M
Liabilities
Current liabilities
Payables -43.86%497.44K-15.98%522.94K-15.98%522.94K-30.48%405.72K-23.69%381.84K41.90%886.12K-28.57%622.44K-28.57%622.44K-30.21%583.57K-54.11%500.4K
-accounts payable -43.86%497.44K-15.98%522.94K-15.98%522.94K-30.48%405.72K-23.69%381.84K41.90%886.12K-28.57%622.44K-28.57%622.44K-30.21%583.57K-54.11%500.4K
Current accrued expenses -0.27%410.94K-24.27%375.19K-24.27%375.19K17.73%358K23.25%354.57K25.85%412.04K59.11%495.46K59.11%495.46K53.71%304.1K50.51%287.69K
Current debt and capital lease obligation 1,093.20%1.64M1,382.98%1.63M1,382.98%1.63M201.55%250.72K368.18%220.29K-90.19%137.48K-91.99%110.11K-91.99%110.11K--83.15K80.97%47.05K
-Current debt --1.38M--1.38M--1.38M----------------------------
-Current capital lease obligation 93.04%265.39K134.28%257.97K134.28%257.97K201.55%250.72K368.18%220.29K407.90%137.48K--110.11K--110.11K--83.15K--47.05K
Current liabilities 73.14%2.55M106.11%2.53M106.11%2.53M4.49%1.01M14.56%956.71K-37.46%1.47M-51.99%1.23M-51.99%1.23M-6.11%970.82K-36.13%835.14K
Non current liabilities
Long term debt and capital lease obligation -55.69%1.23M-53.98%1.3M-53.98%1.3M-4.40%2.74M-2.86%2.81M80.68%2.77M--2.82M--2.82M74.26%2.87M-40.03%2.89M
-Long term debt ------------0.00%1.38M0.00%1.38M--1.38M--1.38M--1.38M-16.41%1.38M-71.45%1.38M
-Long term capital lease obligation -12.05%1.23M-10.17%1.3M-10.17%1.3M-8.45%1.37M-5.47%1.43M-8.96%1.4M--1.44M--1.44M--1.49M--1.51M
Total non current liabilities -55.69%1.23M-53.98%1.3M-53.98%1.3M-4.40%2.74M-2.86%2.81M80.68%2.77M--2.82M--2.82M74.26%2.87M-40.03%2.89M
Total liabilities -11.00%3.78M-5.40%3.83M-5.40%3.83M-2.15%3.75M1.04%3.76M9.15%4.24M58.24%4.05M58.24%4.05M43.24%3.84M-39.20%3.72M
Shareholders'equity
Share capital -97.12%433.33%433.33%4-96.64%416.81%13916.81%139-97.48%3-97.48%30.00%11911.21%119
-common stock -97.12%433.33%433.33%4-96.64%416.81%13916.81%139-97.48%3-97.48%30.00%119142.86%119
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -24.74%-25.23M-30.41%-24.14M-30.41%-24.14M-32.55%-22.89M-32.30%-21.63M-31.76%-20.23M-28.41%-18.51M-28.41%-18.51M-32.70%-17.27M-32.07%-16.35M
Paid-in capital 1.53%24.81M8.27%24.74M8.27%24.74M8.17%24.65M8.02%24.54M7.87%24.43M1.14%22.85M1.14%22.85M1.36%22.79M231.17%22.72M
Gains losses not affecting retained earnings ------0--0--0--0--17.94K--22.45K--22.45K--------
Total stockholders'equity -109.99%-422.18K-86.08%607.74K-86.08%607.74K-68.21%1.75M-54.27%2.91M-42.11%4.23M-46.63%4.37M-46.63%4.37M-41.75%5.51M215.51%6.37M
Total equity -109.99%-422.18K-86.08%607.74K-86.08%607.74K-68.21%1.75M-54.27%2.91M-42.11%4.23M-46.63%4.37M-46.63%4.37M-41.75%5.51M215.51%6.37M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion------

Analysis

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