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BLNK Blink Charging

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  • 1.530
  • -0.050-3.16%
Trading Dec 27 12:24 ET
154.80MMarket Cap-1.07P/E (TTM)

Blink Charging Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-3.14%64.58M
-0.78%73.89M
-9.44%93.46M
232.83%121.69M
232.83%121.69M
16.94%66.68M
-12.54%74.46M
-36.29%103.2M
-79.08%36.56M
-79.08%36.56M
-Cash and cash equivalents
-3.14%64.58M
-0.78%73.89M
-9.44%93.46M
232.83%121.69M
232.83%121.69M
16.94%66.68M
-12.54%74.46M
-36.29%103.2M
-79.08%36.56M
-79.08%36.56M
Receivables
16.73%48.7M
14.19%49.61M
92.26%53.61M
92.73%45.45M
92.73%45.45M
122.47%41.72M
191.68%43.44M
273.17%27.88M
271.59%23.58M
271.59%23.58M
-Accounts receivable
16.73%48.7M
14.19%49.61M
92.26%53.61M
92.73%45.45M
92.73%45.45M
122.47%41.72M
191.68%43.44M
273.17%27.88M
271.59%23.58M
271.59%23.58M
Inventory
-10.71%42.31M
-2.00%44.45M
13.04%44.68M
38.00%47.94M
38.00%47.94M
94.76%47.39M
158.81%45.36M
293.23%39.52M
235.04%34.74M
235.04%34.74M
Other current assets
-7.77%4.67M
-9.24%5.23M
14.95%5.99M
51.26%6.65M
51.26%6.65M
51.60%5.06M
124.96%5.76M
804.69%5.21M
331.27%4.4M
331.27%4.4M
Total current assets
-0.36%160.26M
2.45%173.18M
12.46%197.74M
123.34%221.73M
123.34%221.73M
55.50%160.84M
36.12%169.03M
-2.37%175.82M
-48.43%99.28M
-48.43%99.28M
Non current assets
Net PPE
29.53%54.24M
23.10%48.5M
42.92%46.82M
49.35%44.86M
49.35%44.86M
68.66%41.87M
52.95%39.4M
83.78%32.76M
85.10%30.04M
85.10%30.04M
-Gross PPE
29.53%54.24M
23.10%48.5M
42.92%46.82M
50.07%59.07M
50.07%59.07M
68.66%41.87M
52.95%39.4M
83.78%32.76M
83.37%39.36M
83.37%39.36M
-Accumulated depreciation
----
----
----
-52.40%-14.21M
-52.40%-14.21M
----
----
----
-78.02%-9.32M
-78.02%-9.32M
Goodwill and other intangible assets
-45.84%87.83M
-39.10%157.88M
-30.78%158.74M
-30.01%161.18M
-30.01%161.18M
-29.52%162.16M
11.99%259.25M
907.50%229.32M
908.06%230.29M
908.06%230.29M
-Goodwill
-47.70%75.77M
-37.61%144.88M
-29.06%144.88M
-28.88%144.88M
-28.88%144.88M
-28.08%144.88M
48.77%232.22M
971.92%204.24M
950.59%203.71M
950.59%203.71M
-Other intangible assets
-30.23%12.06M
-51.91%13M
-44.73%13.86M
-38.69%16.3M
-38.69%16.3M
-39.68%17.28M
-64.15%27.03M
576.34%25.07M
669.38%26.58M
669.38%26.58M
Other non current assets
-3.30%704K
-6.43%713K
-61.30%1.2M
-74.49%748K
-74.49%748K
-71.60%728K
-63.17%762K
420.64%3.1M
842.77%2.93M
842.77%2.93M
Total non current assets
-30.28%142.76M
-30.83%207.1M
-22.03%206.76M
-21.45%206.79M
-21.45%206.79M
-20.48%204.76M
15.46%299.41M
543.91%265.18M
568.46%263.26M
568.46%263.26M
Total assets
-17.12%303.02M
-18.82%380.27M
-8.28%404.5M
18.20%428.52M
18.20%428.52M
1.30%365.6M
22.15%468.44M
99.31%441M
56.33%362.54M
56.33%362.54M
Liabilities
Current liabilities
Payables
7.77%32.46M
-1.47%29.62M
-8.11%26.3M
26.88%31.19M
26.88%31.19M
70.13%30.12M
43.24%30.07M
243.55%28.62M
223.23%24.59M
223.23%24.59M
-accounts payable
7.77%32.46M
-1.47%29.62M
-8.11%26.3M
26.88%31.19M
26.88%31.19M
83.47%30.12M
83.73%30.07M
252.26%28.62M
244.62%24.59M
244.62%24.59M
Current accrued expenses
-28.81%11M
-28.44%12.75M
20.84%15.48M
7.89%14.14M
7.89%14.14M
50.64%15.45M
130.57%17.81M
102.15%12.81M
171.80%13.11M
171.80%13.11M
Current debt and capital lease obligation
-54.85%3.88M
-52.27%3.81M
369.42%11.02M
423.47%10.75M
423.47%10.75M
377.21%8.59M
219.47%7.99M
162.64%2.35M
268.76%2.05M
268.76%2.05M
-Current debt
-94.47%265K
-94.47%265K
67,820.00%6.79M
67,820.00%6.79M
67,820.00%6.79M
6,209.21%4.8M
518.71%4.8M
0.00%10K
0.00%10K
0.00%10K
-Current capital lease obligation
-4.72%3.61M
11.08%3.55M
80.92%4.23M
93.74%3.96M
93.74%3.96M
119.97%3.79M
85.11%3.2M
164.48%2.34M
273.67%2.04M
273.67%2.04M
Current deferred liabilities
33.49%16.33M
19.83%15.19M
25.52%14.43M
28.76%13.61M
28.76%13.61M
38.65%12.23M
62.66%12.68M
319.41%11.5M
269.91%10.57M
269.91%10.57M
Current liabilities
-4.10%63.66M
-10.46%61.37M
21.63%67.23M
38.52%69.7M
38.52%69.7M
70.24%66.39M
74.08%68.54M
196.12%55.27M
210.10%50.32M
210.10%50.32M
Non current liabilities
Long term debt and capital lease obligation
3.80%7.67M
-22.92%6.11M
68.19%6.84M
109.08%7.19M
109.08%7.19M
232.70%7.39M
322.61%7.92M
261.33%4.07M
124.56%3.44M
124.56%3.44M
-Long term capital lease obligation
3.80%7.67M
-22.92%6.11M
68.19%6.84M
109.08%7.19M
109.08%7.19M
232.70%7.39M
322.61%7.92M
261.33%4.07M
124.56%3.44M
124.56%3.44M
Non current deferred liabilities
64.45%15.96M
51.45%13.52M
150.39%13.54M
137.01%12.46M
137.01%12.46M
98.00%9.7M
110.67%8.92M
717.85%5.41M
4,007.81%5.26M
4,007.81%5.26M
Other non current liabilities
-80.12%337K
-80.67%337K
-82.91%337K
-82.81%337K
-82.81%337K
-64.01%1.7M
-63.91%1.74M
171.25%1.97M
916.06%1.96M
916.06%1.96M
Total non current liabilities
-43.62%44.85M
-48.92%40.53M
-22.16%40.53M
35.42%69.42M
35.42%69.42M
51.72%79.55M
53.94%79.34M
1,971.75%52.06M
2,668.09%51.27M
2,668.09%51.27M
Total liabilities
-25.64%108.51M
-31.09%101.9M
0.39%107.76M
36.95%139.12M
36.95%139.12M
59.62%145.93M
62.66%147.88M
406.80%107.34M
461.90%101.59M
461.90%101.59M
Shareholders'equity
Share capital
50.75%101K
57.81%101K
68.33%101K
82.35%93K
82.35%93K
31.37%67K
28.00%64K
39.53%60K
21.43%51K
21.43%51K
-common stock
50.75%101K
57.81%101K
68.33%101K
82.35%93K
82.35%93K
31.37%67K
28.00%64K
39.53%60K
21.43%51K
21.43%51K
Retained earnings
-27.86%-662.34M
-41.85%-574.96M
-52.51%-554.9M
-60.98%-537.72M
-60.98%-537.72M
-69.36%-518.03M
-44.63%-405.31M
-41.23%-363.83M
-37.76%-334.03M
-37.76%-334.03M
Paid-in capital
15.67%858.33M
17.68%857.4M
21.95%855.31M
38.73%829.56M
38.73%829.56M
27.41%742.06M
26.17%728.56M
52.45%701.33M
30.55%597.98M
30.55%597.98M
Gains losses not affecting retained earnings
64.46%-1.57M
-51.69%-4.17M
3.16%-3.77M
16.74%-2.54M
16.74%-2.54M
37.60%-4.43M
40.99%-2.75M
-63.01%-3.9M
-70.74%-3.05M
-70.74%-3.05M
Total stockholders'equity
-11.45%194.51M
-13.16%278.37M
-11.07%296.74M
10.90%289.4M
10.90%289.4M
-18.49%219.67M
9.56%320.56M
66.76%333.66M
22.04%260.96M
22.04%260.96M
Total equity
-11.45%194.51M
-13.16%278.37M
-11.07%296.74M
10.90%289.4M
10.90%289.4M
-18.49%219.67M
9.56%320.56M
66.76%333.66M
22.04%260.96M
22.04%260.96M
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
--
--
--
--
--
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -3.14%64.58M-0.78%73.89M-9.44%93.46M232.83%121.69M232.83%121.69M16.94%66.68M-12.54%74.46M-36.29%103.2M-79.08%36.56M-79.08%36.56M
-Cash and cash equivalents -3.14%64.58M-0.78%73.89M-9.44%93.46M232.83%121.69M232.83%121.69M16.94%66.68M-12.54%74.46M-36.29%103.2M-79.08%36.56M-79.08%36.56M
Receivables 16.73%48.7M14.19%49.61M92.26%53.61M92.73%45.45M92.73%45.45M122.47%41.72M191.68%43.44M273.17%27.88M271.59%23.58M271.59%23.58M
-Accounts receivable 16.73%48.7M14.19%49.61M92.26%53.61M92.73%45.45M92.73%45.45M122.47%41.72M191.68%43.44M273.17%27.88M271.59%23.58M271.59%23.58M
Inventory -10.71%42.31M-2.00%44.45M13.04%44.68M38.00%47.94M38.00%47.94M94.76%47.39M158.81%45.36M293.23%39.52M235.04%34.74M235.04%34.74M
Other current assets -7.77%4.67M-9.24%5.23M14.95%5.99M51.26%6.65M51.26%6.65M51.60%5.06M124.96%5.76M804.69%5.21M331.27%4.4M331.27%4.4M
Total current assets -0.36%160.26M2.45%173.18M12.46%197.74M123.34%221.73M123.34%221.73M55.50%160.84M36.12%169.03M-2.37%175.82M-48.43%99.28M-48.43%99.28M
Non current assets
Net PPE 29.53%54.24M23.10%48.5M42.92%46.82M49.35%44.86M49.35%44.86M68.66%41.87M52.95%39.4M83.78%32.76M85.10%30.04M85.10%30.04M
-Gross PPE 29.53%54.24M23.10%48.5M42.92%46.82M50.07%59.07M50.07%59.07M68.66%41.87M52.95%39.4M83.78%32.76M83.37%39.36M83.37%39.36M
-Accumulated depreciation -------------52.40%-14.21M-52.40%-14.21M-------------78.02%-9.32M-78.02%-9.32M
Goodwill and other intangible assets -45.84%87.83M-39.10%157.88M-30.78%158.74M-30.01%161.18M-30.01%161.18M-29.52%162.16M11.99%259.25M907.50%229.32M908.06%230.29M908.06%230.29M
-Goodwill -47.70%75.77M-37.61%144.88M-29.06%144.88M-28.88%144.88M-28.88%144.88M-28.08%144.88M48.77%232.22M971.92%204.24M950.59%203.71M950.59%203.71M
-Other intangible assets -30.23%12.06M-51.91%13M-44.73%13.86M-38.69%16.3M-38.69%16.3M-39.68%17.28M-64.15%27.03M576.34%25.07M669.38%26.58M669.38%26.58M
Other non current assets -3.30%704K-6.43%713K-61.30%1.2M-74.49%748K-74.49%748K-71.60%728K-63.17%762K420.64%3.1M842.77%2.93M842.77%2.93M
Total non current assets -30.28%142.76M-30.83%207.1M-22.03%206.76M-21.45%206.79M-21.45%206.79M-20.48%204.76M15.46%299.41M543.91%265.18M568.46%263.26M568.46%263.26M
Total assets -17.12%303.02M-18.82%380.27M-8.28%404.5M18.20%428.52M18.20%428.52M1.30%365.6M22.15%468.44M99.31%441M56.33%362.54M56.33%362.54M
Liabilities
Current liabilities
Payables 7.77%32.46M-1.47%29.62M-8.11%26.3M26.88%31.19M26.88%31.19M70.13%30.12M43.24%30.07M243.55%28.62M223.23%24.59M223.23%24.59M
-accounts payable 7.77%32.46M-1.47%29.62M-8.11%26.3M26.88%31.19M26.88%31.19M83.47%30.12M83.73%30.07M252.26%28.62M244.62%24.59M244.62%24.59M
Current accrued expenses -28.81%11M-28.44%12.75M20.84%15.48M7.89%14.14M7.89%14.14M50.64%15.45M130.57%17.81M102.15%12.81M171.80%13.11M171.80%13.11M
Current debt and capital lease obligation -54.85%3.88M-52.27%3.81M369.42%11.02M423.47%10.75M423.47%10.75M377.21%8.59M219.47%7.99M162.64%2.35M268.76%2.05M268.76%2.05M
-Current debt -94.47%265K-94.47%265K67,820.00%6.79M67,820.00%6.79M67,820.00%6.79M6,209.21%4.8M518.71%4.8M0.00%10K0.00%10K0.00%10K
-Current capital lease obligation -4.72%3.61M11.08%3.55M80.92%4.23M93.74%3.96M93.74%3.96M119.97%3.79M85.11%3.2M164.48%2.34M273.67%2.04M273.67%2.04M
Current deferred liabilities 33.49%16.33M19.83%15.19M25.52%14.43M28.76%13.61M28.76%13.61M38.65%12.23M62.66%12.68M319.41%11.5M269.91%10.57M269.91%10.57M
Current liabilities -4.10%63.66M-10.46%61.37M21.63%67.23M38.52%69.7M38.52%69.7M70.24%66.39M74.08%68.54M196.12%55.27M210.10%50.32M210.10%50.32M
Non current liabilities
Long term debt and capital lease obligation 3.80%7.67M-22.92%6.11M68.19%6.84M109.08%7.19M109.08%7.19M232.70%7.39M322.61%7.92M261.33%4.07M124.56%3.44M124.56%3.44M
-Long term capital lease obligation 3.80%7.67M-22.92%6.11M68.19%6.84M109.08%7.19M109.08%7.19M232.70%7.39M322.61%7.92M261.33%4.07M124.56%3.44M124.56%3.44M
Non current deferred liabilities 64.45%15.96M51.45%13.52M150.39%13.54M137.01%12.46M137.01%12.46M98.00%9.7M110.67%8.92M717.85%5.41M4,007.81%5.26M4,007.81%5.26M
Other non current liabilities -80.12%337K-80.67%337K-82.91%337K-82.81%337K-82.81%337K-64.01%1.7M-63.91%1.74M171.25%1.97M916.06%1.96M916.06%1.96M
Total non current liabilities -43.62%44.85M-48.92%40.53M-22.16%40.53M35.42%69.42M35.42%69.42M51.72%79.55M53.94%79.34M1,971.75%52.06M2,668.09%51.27M2,668.09%51.27M
Total liabilities -25.64%108.51M-31.09%101.9M0.39%107.76M36.95%139.12M36.95%139.12M59.62%145.93M62.66%147.88M406.80%107.34M461.90%101.59M461.90%101.59M
Shareholders'equity
Share capital 50.75%101K57.81%101K68.33%101K82.35%93K82.35%93K31.37%67K28.00%64K39.53%60K21.43%51K21.43%51K
-common stock 50.75%101K57.81%101K68.33%101K82.35%93K82.35%93K31.37%67K28.00%64K39.53%60K21.43%51K21.43%51K
Retained earnings -27.86%-662.34M-41.85%-574.96M-52.51%-554.9M-60.98%-537.72M-60.98%-537.72M-69.36%-518.03M-44.63%-405.31M-41.23%-363.83M-37.76%-334.03M-37.76%-334.03M
Paid-in capital 15.67%858.33M17.68%857.4M21.95%855.31M38.73%829.56M38.73%829.56M27.41%742.06M26.17%728.56M52.45%701.33M30.55%597.98M30.55%597.98M
Gains losses not affecting retained earnings 64.46%-1.57M-51.69%-4.17M3.16%-3.77M16.74%-2.54M16.74%-2.54M37.60%-4.43M40.99%-2.75M-63.01%-3.9M-70.74%-3.05M-70.74%-3.05M
Total stockholders'equity -11.45%194.51M-13.16%278.37M-11.07%296.74M10.90%289.4M10.90%289.4M-18.49%219.67M9.56%320.56M66.76%333.66M22.04%260.96M22.04%260.96M
Total equity -11.45%194.51M-13.16%278.37M-11.07%296.74M10.90%289.4M10.90%289.4M-18.49%219.67M9.56%320.56M66.76%333.66M22.04%260.96M22.04%260.96M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------
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