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AUUDW AUDDIA INC C/WTS 17/10/2025(TO PUR COM)

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  • 0.0364
  • -0.0160-30.48%
Close Aug 23 16:00 ET
0Market Cap0.00P/E (TTM)

AUDDIA INC C/WTS 17/10/2025(TO PUR COM) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-47.79%1.88M
1,043.13%2.73M
-51.57%804.56K
-51.57%804.56K
129.82%2.2M
53.98%3.61M
-94.52%239.04K
-73.82%1.66M
-73.82%1.66M
-88.16%957.13K
-Cash and cash equivalents
-47.79%1.88M
1,043.13%2.73M
-51.57%804.56K
-51.57%804.56K
129.82%2.2M
53.98%3.61M
-94.52%239.04K
-73.82%1.66M
-73.82%1.66M
-88.16%957.13K
Receivables
-3.50%358
46.46%435
260.58%494
260.58%494
1,540.00%574
627.45%371
430.36%297
57.47%137
57.47%137
--35
-Accounts receivable
-3.50%358
46.46%435
260.58%494
260.58%494
1,540.00%574
627.45%371
430.36%297
57.47%137
57.47%137
--35
Prepaid assets
125.19%121.1K
-51.30%25.42K
--28.99K
--28.99K
5.04%56.7K
7.38%53.78K
-42.57%52.2K
--0
--0
--53.98K
Other current assets
--17.19K
--7.15K
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Total current assets
-44.77%2.02M
848.61%2.77M
-49.80%834.04K
-49.80%834.04K
123.21%2.26M
53.02%3.66M
-93.45%291.54K
-73.81%1.66M
-73.81%1.66M
-87.49%1.01M
Non current assets
Net PPE
261.55%102.24K
207.08%105.85K
-55.94%18.1K
-55.94%18.1K
-54.03%22.08K
-53.01%28.28K
-49.67%34.47K
-43.55%41.08K
-43.55%41.08K
-25.32%48.05K
-Gross PPE
92.65%206.53K
90.16%203.86K
2.25%109.61K
2.25%109.61K
-86.32%107.2K
-86.32%107.2K
-86.32%107.2K
-86.25%107.2K
-86.25%107.2K
2.85%783.62K
-Accumulated depreciation
-32.14%-104.29K
-34.75%-98.01K
-38.40%-91.51K
-38.40%-91.51K
88.43%-85.12K
89.09%-78.92K
89.83%-72.73K
90.65%-66.12K
90.65%-66.12K
-5.45%-735.57K
Goodwill and other intangible assets
-23.07%2.92M
-20.67%3.15M
-19.02%3.35M
-19.02%3.35M
-14.42%3.55M
-5.49%3.79M
8.54%3.97M
30.70%4.13M
30.70%4.13M
55.23%4.14M
-Other intangible assets
-23.07%2.92M
-20.67%3.15M
-19.02%3.35M
-19.02%3.35M
-14.42%3.55M
-5.49%3.79M
8.54%3.97M
30.70%4.13M
30.70%4.13M
55.23%4.14M
Non current deferred assets
-40.49%101.33K
-43.54%125.86K
-23.62%170.26K
-23.62%170.26K
--170.26K
--170.26K
--222.9K
--222.9K
--222.9K
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Other non current assets
----
-28.02%79.76K
-36.79%32.71K
-36.79%32.71K
47,942.42%47.36K
784.78%63.26K
1,447.86%110.8K
-2.20%51.75K
-2.20%51.75K
-100.08%-99
Total non current assets
-23.02%3.12M
-20.22%3.46M
-19.80%3.57M
-19.80%3.57M
-9.68%3.79M
-0.63%4.05M
16.20%4.34M
35.31%4.45M
35.31%4.45M
46.40%4.19M
Total assets
-33.34%5.14M
34.51%6.23M
-27.96%4.4M
-27.96%4.4M
16.15%6.04M
19.20%7.71M
-43.45%4.63M
-36.56%6.11M
-36.56%6.11M
-52.47%5.2M
Liabilities
Current liabilities
Payables
-7.33%313.27K
20.97%490.01K
49.14%441.49K
49.14%441.49K
-10.12%283.68K
21.02%338.03K
76.48%405.08K
32.63%296.03K
32.63%296.03K
-11.77%315.6K
-accounts payable
-3.77%304.59K
23.05%478.88K
46.41%424.51K
46.41%424.51K
-11.29%269.16K
14.10%316.51K
70.72%389.18K
37.47%289.96K
37.47%289.96K
-13.22%303.42K
-Other payable
-59.67%8.68K
-29.98%11.13K
179.56%16.98K
179.56%16.98K
19.20%14.52K
1,032.63%21.52K
921.00%15.9K
-50.50%6.07K
-50.50%6.07K
51.24%12.18K
Current accrued expenses
--0
647.57%621.32K
1,572.58%470.18K
1,572.58%470.18K
--303.97K
--173.17K
--83.11K
--28.11K
--28.11K
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Current debt and capital lease obligation
-99.17%23.62K
50.30%3.05M
70.33%3.03M
70.33%3.03M
--2.99M
--2.84M
--2.03M
--1.78M
--1.78M
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-Current debt
----
49.24%3.03M
70.33%3.03M
70.33%3.03M
--2.99M
--2.84M
--2.03M
--1.78M
--1.78M
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-Current capital lease obligation
--23.62K
--21.49K
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Other current liabilities
-12.68%26.28K
159.13%45.96K
-71.51%45.96K
-71.51%45.96K
--45.98K
--30.09K
--17.74K
--161.35K
--161.35K
----
Current liabilities
-89.26%363.16K
65.97%4.2M
76.11%3.98M
76.11%3.98M
733.88%3.63M
935.65%3.38M
840.38%2.53M
913.21%2.26M
913.21%2.26M
-30.42%434.99K
Non current liabilities
Long term debt and capital lease obligation
--68.83K
--72.75K
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----
----
----
----
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-Long term capital lease obligation
--68.83K
--72.75K
----
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----
----
----
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Total non current liabilities
6,882,600.00%68.83K
--72.75K
--0
--0
--0
---1
--0
--0
--0
--0
Total liabilities
-87.22%431.99K
68.84%4.28M
76.11%3.98M
76.11%3.98M
733.88%3.63M
935.65%3.38M
840.38%2.53M
913.21%2.26M
913.21%2.26M
-30.42%434.99K
Shareholders'equity
Share capital
-85.98%2.8K
-82.93%2.19K
68.77%854
68.77%854
59.40%19.95K
59.40%19.95K
2.68%12.85K
-95.92%506
-95.92%506
0.80%12.51K
-common stock
-85.99%2.79K
-82.93%2.19K
68.77%854
68.77%854
59.40%19.95K
59.40%19.95K
2.68%12.85K
-95.92%506
-95.92%506
0.80%12.51K
-Preferred stock
--2
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-11.60%-85.05M
-11.99%-82.75M
-12.28%-80.54M
-12.28%-80.54M
-11.94%-78.33M
-11.03%-76.21M
-10.96%-73.89M
-10.64%-71.74M
-10.64%-71.74M
-10.26%-69.97M
Paid-in capital
11.47%89.76M
11.48%84.7M
7.11%80.96M
7.11%80.96M
8.03%80.73M
7.69%80.53M
1.99%75.97M
1.82%75.59M
1.82%75.59M
1.30%74.73M
Total stockholders'equity
8.70%4.71M
-7.00%1.95M
-89.08%420.42K
-89.08%420.42K
-49.34%2.42M
-29.49%4.33M
-73.53%2.1M
-59.09%3.85M
-59.09%3.85M
-53.80%4.77M
Total equity
8.70%4.71M
-7.00%1.95M
-89.08%420.42K
-89.08%420.42K
-49.34%2.42M
-29.49%4.33M
-73.53%2.1M
-59.09%3.85M
-59.09%3.85M
-53.80%4.77M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
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Audit Opinions
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Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
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(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(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -47.79%1.88M1,043.13%2.73M-51.57%804.56K-51.57%804.56K129.82%2.2M53.98%3.61M-94.52%239.04K-73.82%1.66M-73.82%1.66M-88.16%957.13K
-Cash and cash equivalents -47.79%1.88M1,043.13%2.73M-51.57%804.56K-51.57%804.56K129.82%2.2M53.98%3.61M-94.52%239.04K-73.82%1.66M-73.82%1.66M-88.16%957.13K
Receivables -3.50%35846.46%435260.58%494260.58%4941,540.00%574627.45%371430.36%29757.47%13757.47%137--35
-Accounts receivable -3.50%35846.46%435260.58%494260.58%4941,540.00%574627.45%371430.36%29757.47%13757.47%137--35
Prepaid assets 125.19%121.1K-51.30%25.42K--28.99K--28.99K5.04%56.7K7.38%53.78K-42.57%52.2K--0--0--53.98K
Other current assets --17.19K--7.15K--------------------------------
Total current assets -44.77%2.02M848.61%2.77M-49.80%834.04K-49.80%834.04K123.21%2.26M53.02%3.66M-93.45%291.54K-73.81%1.66M-73.81%1.66M-87.49%1.01M
Non current assets
Net PPE 261.55%102.24K207.08%105.85K-55.94%18.1K-55.94%18.1K-54.03%22.08K-53.01%28.28K-49.67%34.47K-43.55%41.08K-43.55%41.08K-25.32%48.05K
-Gross PPE 92.65%206.53K90.16%203.86K2.25%109.61K2.25%109.61K-86.32%107.2K-86.32%107.2K-86.32%107.2K-86.25%107.2K-86.25%107.2K2.85%783.62K
-Accumulated depreciation -32.14%-104.29K-34.75%-98.01K-38.40%-91.51K-38.40%-91.51K88.43%-85.12K89.09%-78.92K89.83%-72.73K90.65%-66.12K90.65%-66.12K-5.45%-735.57K
Goodwill and other intangible assets -23.07%2.92M-20.67%3.15M-19.02%3.35M-19.02%3.35M-14.42%3.55M-5.49%3.79M8.54%3.97M30.70%4.13M30.70%4.13M55.23%4.14M
-Other intangible assets -23.07%2.92M-20.67%3.15M-19.02%3.35M-19.02%3.35M-14.42%3.55M-5.49%3.79M8.54%3.97M30.70%4.13M30.70%4.13M55.23%4.14M
Non current deferred assets -40.49%101.33K-43.54%125.86K-23.62%170.26K-23.62%170.26K--170.26K--170.26K--222.9K--222.9K--222.9K----
Other non current assets -----28.02%79.76K-36.79%32.71K-36.79%32.71K47,942.42%47.36K784.78%63.26K1,447.86%110.8K-2.20%51.75K-2.20%51.75K-100.08%-99
Total non current assets -23.02%3.12M-20.22%3.46M-19.80%3.57M-19.80%3.57M-9.68%3.79M-0.63%4.05M16.20%4.34M35.31%4.45M35.31%4.45M46.40%4.19M
Total assets -33.34%5.14M34.51%6.23M-27.96%4.4M-27.96%4.4M16.15%6.04M19.20%7.71M-43.45%4.63M-36.56%6.11M-36.56%6.11M-52.47%5.2M
Liabilities
Current liabilities
Payables -7.33%313.27K20.97%490.01K49.14%441.49K49.14%441.49K-10.12%283.68K21.02%338.03K76.48%405.08K32.63%296.03K32.63%296.03K-11.77%315.6K
-accounts payable -3.77%304.59K23.05%478.88K46.41%424.51K46.41%424.51K-11.29%269.16K14.10%316.51K70.72%389.18K37.47%289.96K37.47%289.96K-13.22%303.42K
-Other payable -59.67%8.68K-29.98%11.13K179.56%16.98K179.56%16.98K19.20%14.52K1,032.63%21.52K921.00%15.9K-50.50%6.07K-50.50%6.07K51.24%12.18K
Current accrued expenses --0647.57%621.32K1,572.58%470.18K1,572.58%470.18K--303.97K--173.17K--83.11K--28.11K--28.11K----
Current debt and capital lease obligation -99.17%23.62K50.30%3.05M70.33%3.03M70.33%3.03M--2.99M--2.84M--2.03M--1.78M--1.78M----
-Current debt ----49.24%3.03M70.33%3.03M70.33%3.03M--2.99M--2.84M--2.03M--1.78M--1.78M----
-Current capital lease obligation --23.62K--21.49K--------------------------------
Other current liabilities -12.68%26.28K159.13%45.96K-71.51%45.96K-71.51%45.96K--45.98K--30.09K--17.74K--161.35K--161.35K----
Current liabilities -89.26%363.16K65.97%4.2M76.11%3.98M76.11%3.98M733.88%3.63M935.65%3.38M840.38%2.53M913.21%2.26M913.21%2.26M-30.42%434.99K
Non current liabilities
Long term debt and capital lease obligation --68.83K--72.75K--------------------------------
-Long term capital lease obligation --68.83K--72.75K--------------------------------
Total non current liabilities 6,882,600.00%68.83K--72.75K--0--0--0---1--0--0--0--0
Total liabilities -87.22%431.99K68.84%4.28M76.11%3.98M76.11%3.98M733.88%3.63M935.65%3.38M840.38%2.53M913.21%2.26M913.21%2.26M-30.42%434.99K
Shareholders'equity
Share capital -85.98%2.8K-82.93%2.19K68.77%85468.77%85459.40%19.95K59.40%19.95K2.68%12.85K-95.92%506-95.92%5060.80%12.51K
-common stock -85.99%2.79K-82.93%2.19K68.77%85468.77%85459.40%19.95K59.40%19.95K2.68%12.85K-95.92%506-95.92%5060.80%12.51K
-Preferred stock --2--0--0--0--0--0--0--0--0--0
Retained earnings -11.60%-85.05M-11.99%-82.75M-12.28%-80.54M-12.28%-80.54M-11.94%-78.33M-11.03%-76.21M-10.96%-73.89M-10.64%-71.74M-10.64%-71.74M-10.26%-69.97M
Paid-in capital 11.47%89.76M11.48%84.7M7.11%80.96M7.11%80.96M8.03%80.73M7.69%80.53M1.99%75.97M1.82%75.59M1.82%75.59M1.30%74.73M
Total stockholders'equity 8.70%4.71M-7.00%1.95M-89.08%420.42K-89.08%420.42K-49.34%2.42M-29.49%4.33M-73.53%2.1M-59.09%3.85M-59.09%3.85M-53.80%4.77M
Total equity 8.70%4.71M-7.00%1.95M-89.08%420.42K-89.08%420.42K-49.34%2.42M-29.49%4.33M-73.53%2.1M-59.09%3.85M-59.09%3.85M-53.80%4.77M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

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Price Target

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