US Stock MarketDetailed Quotes

BJDX Bluejay Diagnostics

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  • 0.0839
  • -0.0026-3.01%
Close Nov 1 16:00 ET
  • 0.0820
  • -0.0019-2.26%
Post 19:55 ET
1.39MMarket Cap-1P/E (TTM)

Bluejay Diagnostics 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
58.00%8.06M
-60.76%2.66M
-78.17%2.21M
-78.17%2.21M
-61.80%5.08M
-66.75%5.1M
-60.40%6.78M
-46.90%10.11M
-46.90%10.11M
470.33%13.29M
-Cash and cash equivalents
58.00%8.06M
-60.76%2.66M
-78.17%2.21M
-78.17%2.21M
-61.80%5.08M
-66.75%5.1M
-60.40%6.78M
-46.90%10.11M
-46.90%10.11M
470.33%13.29M
Prepaid assets
-35.20%959.99K
----
-55.35%747.26K
-55.35%747.26K
----
--1.48M
----
--1.67M
--1.67M
----
Current deferred assets
--0
--0
--265.08K
--265.08K
----
----
----
--0
--0
----
Other current assets
----
-62.80%788.58K
----
----
124.27%1.45M
----
62.73%2.12M
----
----
--646.89K
Total current assets
37.02%9.02M
-61.25%3.45M
-72.68%3.22M
-72.68%3.22M
-53.16%6.53M
-61.40%6.58M
-53.92%8.9M
-42.94%11.79M
-42.94%11.79M
326.99%13.94M
Non current assets
Net PPE
-2.59%1.82M
-18.07%1.6M
-4.63%1.62M
-4.63%1.62M
-2.20%1.69M
90.77%1.86M
165.43%1.95M
410.17%1.7M
410.17%1.7M
381.24%1.73M
-Gross PPE
9.34%3.1M
7.27%2.86M
24.79%2.86M
24.79%2.86M
26.48%2.91M
87.64%2.83M
117.98%2.67M
193.51%2.29M
193.51%2.29M
541.40%2.3M
-Accumulated depreciation
-32.30%-1.28M
-76.35%-1.26M
-108.54%-1.24M
-108.54%-1.24M
-112.63%-1.22M
-81.91%-968.9K
-46.57%-716.42K
-32.88%-596.41K
-32.88%-596.41K
---574.75K
Goodwill and other intangible assets
----
----
----
----
----
----
----
----
----
--9.08K
-Other intangible assets
----
----
----
----
----
----
----
----
----
--9.08K
Other non current assets
-22.95%24.41K
-24.60%25.22K
-18.60%28.66K
-18.60%28.66K
-10.67%29.91K
-9.69%31.68K
65.31%33.44K
67.52%35.21K
67.52%35.21K
--33.48K
Total non current assets
-2.93%1.84M
-18.18%1.63M
-4.91%1.65M
-4.91%1.65M
-2.86%1.72M
86.44%1.9M
161.15%1.99M
383.50%1.73M
383.50%1.73M
393.10%1.77M
Total assets
28.08%10.86M
-53.39%5.08M
-63.99%4.87M
-63.99%4.87M
-47.49%8.25M
-53.07%8.48M
-45.78%10.89M
-35.67%13.52M
-35.67%13.52M
333.54%15.71M
Liabilities
Current liabilities
Payables
80.51%490.06K
-29.95%271.83K
-22.70%491.47K
-22.70%491.47K
70.63%755.95K
38.44%271.49K
-45.87%388.05K
114.96%635.82K
114.96%635.82K
23.77%443.04K
-accounts payable
80.51%490.06K
-29.95%271.83K
-22.70%491.47K
-22.70%491.47K
70.63%755.95K
38.44%271.49K
-45.87%388.05K
114.96%635.82K
114.96%635.82K
82.43%443.04K
Current accrued expenses
-11.04%733.03K
113.22%1.11M
33.64%1.12M
33.64%1.12M
73.71%1.88M
5.18%824.03K
-12.31%519.69K
144.81%835.73K
144.81%835.73K
190.79%1.08M
Current debt and capital lease obligation
63.63%276.07K
-13.57%145.81K
-3.39%162.99K
-3.39%162.99K
--168.72K
--168.71K
--168.71K
--168.71K
--168.71K
----
-Current debt
--147.44K
----
----
----
----
----
----
----
----
----
-Current capital lease obligation
-23.76%128.63K
-13.57%145.81K
-3.39%162.99K
-3.39%162.99K
--168.72K
--168.71K
--168.71K
--168.71K
--168.71K
----
Current liabilities
12.24%2.06M
7.44%1.53M
7.99%1.77M
7.99%1.77M
83.89%2.8M
87.08%1.83M
8.45%1.42M
157.43%1.64M
157.43%1.64M
-67.63%1.52M
Non current liabilities
Long term debt and capital lease obligation
-40.94%150.78K
-41.12%170.7K
-41.35%189.99K
-41.35%189.99K
-38.27%220.09K
-40.64%255.31K
2.70%289.91K
--323.92K
--323.92K
--356.52K
-Long term capital lease obligation
-40.94%150.78K
-41.12%170.7K
-41.35%189.99K
-41.35%189.99K
-38.27%220.09K
-40.64%255.31K
2.70%289.91K
--323.92K
--323.92K
--356.52K
Other non current liabilities
-25.72%10.48K
-23.80%11.41K
-22.13%12.32K
-22.13%12.32K
-14.27%13.22K
--14.1K
--14.97K
--15.82K
--15.82K
--15.42K
Total non current liabilities
-40.15%161.25K
-40.27%182.11K
-40.45%202.31K
-40.45%202.31K
-37.27%233.31K
-37.36%269.41K
8.00%304.88K
--339.74K
--339.74K
--371.94K
Total liabilities
5.53%2.22M
-1.00%1.71M
-0.32%1.97M
-0.32%1.97M
60.11%3.03M
49.11%2.1M
8.37%1.73M
210.75%1.98M
210.75%1.98M
-59.72%1.89M
Shareholders'equity
Share capital
152.94%258
-86.85%269
22.77%124
22.77%124
-93.85%124
-94.94%102
1.54%2.05K
-94.98%101
-94.98%101
91.18%2.02K
-common stock
152.94%258
-86.85%269
22.77%124
22.77%124
-93.85%124
-94.94%102
1.54%2.05K
-94.98%101
-94.98%101
91.18%2.02K
Retained earnings
-42.08%-31.75M
-49.87%-29.28M
-58.56%-26.95M
-58.56%-26.95M
-68.70%-24.65M
-91.83%-22.35M
-101.13%-19.54M
-120.89%-17M
-120.89%-17M
-134.36%-14.61M
Paid-in capital
40.62%40.4M
13.76%32.65M
4.58%29.85M
4.58%29.85M
5.07%29.86M
1.48%28.73M
1.77%28.7M
1.65%28.54M
1.65%28.54M
451.59%28.42M
Total stockholders'equity
35.52%8.64M
-63.25%3.37M
-74.92%2.89M
-74.92%2.89M
-62.25%5.21M
-61.72%6.38M
-50.44%9.16M
-43.37%11.54M
-43.37%11.54M
1,377.71%13.81M
Total equity
35.52%8.64M
-63.25%3.37M
-74.92%2.89M
-74.92%2.89M
-62.25%5.21M
-61.72%6.38M
-50.44%9.16M
-43.37%11.54M
-43.37%11.54M
1,377.71%13.81M
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 with Explanatory Notes
--
--
(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 58.00%8.06M-60.76%2.66M-78.17%2.21M-78.17%2.21M-61.80%5.08M-66.75%5.1M-60.40%6.78M-46.90%10.11M-46.90%10.11M470.33%13.29M
-Cash and cash equivalents 58.00%8.06M-60.76%2.66M-78.17%2.21M-78.17%2.21M-61.80%5.08M-66.75%5.1M-60.40%6.78M-46.90%10.11M-46.90%10.11M470.33%13.29M
Prepaid assets -35.20%959.99K-----55.35%747.26K-55.35%747.26K------1.48M------1.67M--1.67M----
Current deferred assets --0--0--265.08K--265.08K--------------0--0----
Other current assets -----62.80%788.58K--------124.27%1.45M----62.73%2.12M----------646.89K
Total current assets 37.02%9.02M-61.25%3.45M-72.68%3.22M-72.68%3.22M-53.16%6.53M-61.40%6.58M-53.92%8.9M-42.94%11.79M-42.94%11.79M326.99%13.94M
Non current assets
Net PPE -2.59%1.82M-18.07%1.6M-4.63%1.62M-4.63%1.62M-2.20%1.69M90.77%1.86M165.43%1.95M410.17%1.7M410.17%1.7M381.24%1.73M
-Gross PPE 9.34%3.1M7.27%2.86M24.79%2.86M24.79%2.86M26.48%2.91M87.64%2.83M117.98%2.67M193.51%2.29M193.51%2.29M541.40%2.3M
-Accumulated depreciation -32.30%-1.28M-76.35%-1.26M-108.54%-1.24M-108.54%-1.24M-112.63%-1.22M-81.91%-968.9K-46.57%-716.42K-32.88%-596.41K-32.88%-596.41K---574.75K
Goodwill and other intangible assets --------------------------------------9.08K
-Other intangible assets --------------------------------------9.08K
Other non current assets -22.95%24.41K-24.60%25.22K-18.60%28.66K-18.60%28.66K-10.67%29.91K-9.69%31.68K65.31%33.44K67.52%35.21K67.52%35.21K--33.48K
Total non current assets -2.93%1.84M-18.18%1.63M-4.91%1.65M-4.91%1.65M-2.86%1.72M86.44%1.9M161.15%1.99M383.50%1.73M383.50%1.73M393.10%1.77M
Total assets 28.08%10.86M-53.39%5.08M-63.99%4.87M-63.99%4.87M-47.49%8.25M-53.07%8.48M-45.78%10.89M-35.67%13.52M-35.67%13.52M333.54%15.71M
Liabilities
Current liabilities
Payables 80.51%490.06K-29.95%271.83K-22.70%491.47K-22.70%491.47K70.63%755.95K38.44%271.49K-45.87%388.05K114.96%635.82K114.96%635.82K23.77%443.04K
-accounts payable 80.51%490.06K-29.95%271.83K-22.70%491.47K-22.70%491.47K70.63%755.95K38.44%271.49K-45.87%388.05K114.96%635.82K114.96%635.82K82.43%443.04K
Current accrued expenses -11.04%733.03K113.22%1.11M33.64%1.12M33.64%1.12M73.71%1.88M5.18%824.03K-12.31%519.69K144.81%835.73K144.81%835.73K190.79%1.08M
Current debt and capital lease obligation 63.63%276.07K-13.57%145.81K-3.39%162.99K-3.39%162.99K--168.72K--168.71K--168.71K--168.71K--168.71K----
-Current debt --147.44K------------------------------------
-Current capital lease obligation -23.76%128.63K-13.57%145.81K-3.39%162.99K-3.39%162.99K--168.72K--168.71K--168.71K--168.71K--168.71K----
Current liabilities 12.24%2.06M7.44%1.53M7.99%1.77M7.99%1.77M83.89%2.8M87.08%1.83M8.45%1.42M157.43%1.64M157.43%1.64M-67.63%1.52M
Non current liabilities
Long term debt and capital lease obligation -40.94%150.78K-41.12%170.7K-41.35%189.99K-41.35%189.99K-38.27%220.09K-40.64%255.31K2.70%289.91K--323.92K--323.92K--356.52K
-Long term capital lease obligation -40.94%150.78K-41.12%170.7K-41.35%189.99K-41.35%189.99K-38.27%220.09K-40.64%255.31K2.70%289.91K--323.92K--323.92K--356.52K
Other non current liabilities -25.72%10.48K-23.80%11.41K-22.13%12.32K-22.13%12.32K-14.27%13.22K--14.1K--14.97K--15.82K--15.82K--15.42K
Total non current liabilities -40.15%161.25K-40.27%182.11K-40.45%202.31K-40.45%202.31K-37.27%233.31K-37.36%269.41K8.00%304.88K--339.74K--339.74K--371.94K
Total liabilities 5.53%2.22M-1.00%1.71M-0.32%1.97M-0.32%1.97M60.11%3.03M49.11%2.1M8.37%1.73M210.75%1.98M210.75%1.98M-59.72%1.89M
Shareholders'equity
Share capital 152.94%258-86.85%26922.77%12422.77%124-93.85%124-94.94%1021.54%2.05K-94.98%101-94.98%10191.18%2.02K
-common stock 152.94%258-86.85%26922.77%12422.77%124-93.85%124-94.94%1021.54%2.05K-94.98%101-94.98%10191.18%2.02K
Retained earnings -42.08%-31.75M-49.87%-29.28M-58.56%-26.95M-58.56%-26.95M-68.70%-24.65M-91.83%-22.35M-101.13%-19.54M-120.89%-17M-120.89%-17M-134.36%-14.61M
Paid-in capital 40.62%40.4M13.76%32.65M4.58%29.85M4.58%29.85M5.07%29.86M1.48%28.73M1.77%28.7M1.65%28.54M1.65%28.54M451.59%28.42M
Total stockholders'equity 35.52%8.64M-63.25%3.37M-74.92%2.89M-74.92%2.89M-62.25%5.21M-61.72%6.38M-50.44%9.16M-43.37%11.54M-43.37%11.54M1,377.71%13.81M
Total equity 35.52%8.64M-63.25%3.37M-74.92%2.89M-74.92%2.89M-62.25%5.21M-61.72%6.38M-50.44%9.16M-43.37%11.54M-43.37%11.54M1,377.71%13.81M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

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Price Target

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