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BLNKW Blink Charging Co C/Wts 31/01/2023(To Pur Com)

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  • 10.050
  • 0.0000.00%
Trading Feb 16 16:00 ET
0Market Cap0.00P/E (TTM)

Blink Charging Co C/Wts 31/01/2023(To Pur Com) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
(Q1)Mar 31, 2021
(FY)Dec 31, 2020
(Q4)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-69.46%57.02M
-56.48%85.14M
-30.23%161.98M
682.36%174.8M
682.36%174.8M
1,156.30%186.73M
4,811.96%195.62M
6,942.42%232.15M
213.54%22.34M
213.54%22.34M
-Cash and cash equivalents
-57.18%57.02M
-40.07%85.14M
-17.21%161.98M
682.36%174.8M
682.36%174.8M
795.84%133.15M
3,616.99%142.05M
14,457.26%195.65M
435.93%22.34M
435.93%22.34M
-Short-term investments
----
----
----
----
----
--53.58M
33,222.09%53.56M
1,769.70%36.51M
----
----
Receivables
271.03%18.75M
236.73%14.89M
644.50%7.47M
1,723.56%6.35M
1,723.56%6.35M
427.65%5.05M
356.55%4.42M
241.80%1M
68.30%348K
68.30%348K
-Accounts receivable
271.03%18.75M
236.73%14.89M
644.50%7.47M
1,723.56%6.35M
1,723.56%6.35M
838.83%5.05M
1,101.91%4.42M
241.80%1M
68.30%348K
68.30%348K
Inventory
419.21%24.33M
215.95%17.53M
192.76%10.05M
470.98%10.37M
470.98%10.37M
66.03%4.69M
119.14%5.55M
101.69%3.43M
-15.82%1.82M
-15.82%1.82M
Prepaid assets
-4.60%3.34M
-13.54%2.56M
-50.70%576K
-16.32%1.02M
-16.32%1.02M
568.72%3.5M
551.53%2.96M
-42.37%1.17M
81.66%1.22M
81.66%1.22M
Restricted cash
----
--4.06M
----
----
----
----
----
----
----
----
Total current assets
-48.27%103.44M
-40.46%124.18M
-24.26%180.08M
648.42%192.53M
648.42%192.53M
943.31%199.97M
2,527.51%208.55M
3,148.32%237.76M
153.18%25.73M
153.18%25.73M
Non current assets
Net PPE
59.69%24.82M
77.74%25.76M
46.58%17.83M
159.55%16.23M
159.55%16.23M
318.01%15.55M
400.14%14.49M
424.75%12.16M
289.43%6.25M
289.43%6.25M
-Gross PPE
59.69%24.82M
77.74%25.76M
46.58%17.83M
138.49%21.46M
138.49%21.46M
318.01%15.55M
400.14%14.49M
424.75%12.16M
109.51%9M
109.51%9M
-Accumulated depreciation
----
----
----
-90.57%-5.24M
-90.57%-5.24M
----
----
----
-2.14%-2.75M
-2.14%-2.75M
Goodwill and other intangible assets
902.62%230.09M
895.85%231.5M
1,187.10%22.76M
1,376.66%22.84M
1,376.66%22.84M
7,231.08%22.95M
30,198.95%23.25M
1,820.70%1.77M
1,340.20%1.55M
1,340.20%1.55M
-Goodwill
946.21%201.45M
710.25%156.09M
1,169.78%19.05M
1,191.81%19.39M
1,191.81%19.39M
7,551.29%19.26M
--19.26M
--1.5M
--1.5M
--1.5M
-Other intangible assets
675.42%28.64M
1,793.73%75.41M
1,284.15%3.71M
7,408.70%3.45M
7,408.70%3.45M
5,918.25%3.69M
5,090.22%3.98M
190.89%267.82K
-57.18%46K
-57.18%46K
Other non current assets
726.77%2.56M
531.59%2.07M
137.74%596K
-32.97%311K
-32.97%311K
27.42%310K
344.23%327.59K
239.96%250.7K
529.21%464K
529.21%464K
Total non current assets
563.54%257.48M
581.26%259.33M
190.42%41.18M
376.61%39.38M
376.61%39.38M
807.66%38.8M
1,148.88%38.07M
471.02%14.18M
362.51%8.26M
362.51%8.26M
Total assets
51.16%360.92M
55.51%383.51M
-12.17%221.27M
582.34%231.91M
582.34%231.91M
918.57%238.77M
2,144.98%246.62M
2,470.08%251.94M
184.48%33.99M
184.48%33.99M
Liabilities
Current liabilities
Payables
166.33%17.7M
215.10%20.99M
140.87%8.33M
104.13%7.61M
104.13%7.61M
85.45%6.65M
90.28%6.66M
1.16%3.46M
32.98%3.73M
32.98%3.73M
-accounts payable
169.47%16.42M
168.65%16.36M
161.08%8.13M
112.38%7.13M
112.38%7.13M
89.92%6.09M
97.02%6.09M
4.70%3.11M
41.60%3.36M
41.60%3.36M
-Total tax payable
111.23%1.15M
-6.78%525K
-41.35%198K
29.41%462K
29.41%462K
48.96%543K
42.53%563.21K
-20.33%337.62K
-14.53%357K
-14.53%357K
-Other payable
1,066.67%140K
58,485.71%4.1M
-11.11%8K
0.00%10K
0.00%10K
0.00%12K
-50.00%7K
-60.87%9K
-16.67%10K
-16.67%10K
Current accrued expenses
216.25%10.26M
349.68%7.72M
261.69%6.34M
401.35%4.82M
401.35%4.82M
161.25%3.24M
220.96%1.72M
158.35%1.75M
32.59%962K
32.59%962K
Current debt and capital lease obligation
51.30%1.8M
108.30%2.5M
-7.28%894K
-43.05%557K
-43.05%557K
78.03%1.19M
117.18%1.2M
369.76%964.2K
387.00%978K
387.00%978K
-Current debt
-84.58%76K
35.81%775K
-97.73%10K
-98.26%10K
-98.26%10K
60.83%493K
54.06%570.66K
4,299.60%439.96K
5,640.00%574K
5,640.00%574K
-Current capital lease obligation
147.56%1.72M
173.96%1.73M
68.62%884K
35.40%547K
35.40%547K
92.63%696K
245.34%630.03K
168.49%524.24K
111.71%404K
111.71%404K
Current deferred liabilities
412.97%8.82M
555.09%7.79M
348.75%2.74M
496.66%2.86M
496.66%2.86M
370.38%1.72M
324.34%1.19M
-22.06%610.81K
-15.61%479K
-15.61%479K
Other current liabilities
--415K
--365K
--364K
--383K
--383K
----
----
----
----
----
Current liabilities
204.68%39M
265.61%39.37M
175.09%18.67M
164.07%16.23M
164.07%16.23M
107.01%12.8M
117.63%10.77M
31.48%6.79M
40.63%6.15M
40.63%6.15M
Non current liabilities
Long term debt and capital lease obligation
53.31%2.22M
8.14%1.88M
-40.20%1.13M
163.06%1.53M
163.06%1.53M
55.25%1.45M
250.11%1.73M
5,380.60%1.88M
586.01%582K
586.01%582K
-Long term debt
----
----
----
----
----
----
-38.74%303.37K
--432.86K
--297K
--297K
-Long term capital lease obligation
53.31%2.22M
31.07%1.88M
-22.33%1.13M
437.19%1.53M
437.19%1.53M
290.61%1.45M
--1.43M
4,119.65%1.45M
235.93%285K
235.93%285K
Non current deferred liabilities
16,233.33%4.9M
20,460.11%4.24M
4,551.98%661K
1,728.57%128K
1,728.57%128K
--30K
--20.6K
--14.21K
1,138.94%7K
1,138.94%7K
Preferred securities outside stock equity
----
----
----
----
----
----
--0
--0
----
----
Other non current liabilities
3,551.16%4.71M
5,266.67%4.83M
707.78%727K
114.44%193K
114.44%193K
43.33%129K
-17.94%90K
130.39%90K
54.73%90K
54.73%90K
Total non current liabilities
3,162.60%52.43M
2,694.35%51.54M
26.56%2.51M
172.75%1.85M
172.75%1.85M
57.13%1.61M
204.91%1.84M
2,605.42%1.99M
372.95%679K
372.95%679K
Total liabilities
534.64%91.43M
620.75%90.92M
141.46%21.18M
164.93%18.08M
164.93%18.08M
99.93%14.41M
127.14%12.61M
67.57%8.77M
51.21%6.82M
51.21%6.82M
Shareholders'equity
Share capital
21.43%51K
18.65%50K
2.52%43K
16.67%42K
16.67%42K
32.30%42K
41.96%42.14K
49.99%41.95K
36.74%36K
36.74%36K
-common stock
21.43%51K
18.65%50K
2.52%43K
16.67%42K
16.67%42K
32.30%42K
41.96%42.14K
49.99%41.95K
36.76%36K
36.76%36K
-Preferred stock
----
----
----
----
----
--0
--0
--0
----
----
Retained earnings
-36.86%-305.88M
-34.61%-280.23M
-32.30%-257.61M
-29.42%-242.47M
-29.42%-242.47M
-24.57%-223.5M
-18.62%-208.17M
-12.90%-194.72M
-10.53%-187.35M
-10.53%-187.35M
Paid-in capital
29.77%582.42M
30.48%577.44M
5.06%460.05M
113.56%458.05M
113.56%458.05M
129.43%448.81M
144.74%442.57M
147.39%437.9M
21.36%214.48M
21.36%214.48M
Gains losses not affecting retained earnings
-619.15%-7.1M
-980.82%-4.66M
-4,164.96%-2.39M
---1.78M
---1.78M
---987K
-766.09%-431.34K
-3,386.69%-56.04K
--0
--0
Total stockholders'equity
20.11%269.49M
25.04%292.59M
-17.72%200.09M
687.20%213.83M
687.20%213.83M
1,281.88%224.37M
4,207.97%234M
5,222.63%243.17M
265.38%27.16M
265.38%27.16M
Total equity
20.11%269.49M
25.04%292.59M
-17.72%200.09M
687.20%213.83M
687.20%213.83M
1,281.88%224.37M
4,207.97%234M
5,222.63%243.17M
265.38%27.16M
265.38%27.16M
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
--
(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(Q2)Jun 30, 2021(Q1)Mar 31, 2021(FY)Dec 31, 2020(Q4)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -69.46%57.02M-56.48%85.14M-30.23%161.98M682.36%174.8M682.36%174.8M1,156.30%186.73M4,811.96%195.62M6,942.42%232.15M213.54%22.34M213.54%22.34M
-Cash and cash equivalents -57.18%57.02M-40.07%85.14M-17.21%161.98M682.36%174.8M682.36%174.8M795.84%133.15M3,616.99%142.05M14,457.26%195.65M435.93%22.34M435.93%22.34M
-Short-term investments ----------------------53.58M33,222.09%53.56M1,769.70%36.51M--------
Receivables 271.03%18.75M236.73%14.89M644.50%7.47M1,723.56%6.35M1,723.56%6.35M427.65%5.05M356.55%4.42M241.80%1M68.30%348K68.30%348K
-Accounts receivable 271.03%18.75M236.73%14.89M644.50%7.47M1,723.56%6.35M1,723.56%6.35M838.83%5.05M1,101.91%4.42M241.80%1M68.30%348K68.30%348K
Inventory 419.21%24.33M215.95%17.53M192.76%10.05M470.98%10.37M470.98%10.37M66.03%4.69M119.14%5.55M101.69%3.43M-15.82%1.82M-15.82%1.82M
Prepaid assets -4.60%3.34M-13.54%2.56M-50.70%576K-16.32%1.02M-16.32%1.02M568.72%3.5M551.53%2.96M-42.37%1.17M81.66%1.22M81.66%1.22M
Restricted cash ------4.06M--------------------------------
Total current assets -48.27%103.44M-40.46%124.18M-24.26%180.08M648.42%192.53M648.42%192.53M943.31%199.97M2,527.51%208.55M3,148.32%237.76M153.18%25.73M153.18%25.73M
Non current assets
Net PPE 59.69%24.82M77.74%25.76M46.58%17.83M159.55%16.23M159.55%16.23M318.01%15.55M400.14%14.49M424.75%12.16M289.43%6.25M289.43%6.25M
-Gross PPE 59.69%24.82M77.74%25.76M46.58%17.83M138.49%21.46M138.49%21.46M318.01%15.55M400.14%14.49M424.75%12.16M109.51%9M109.51%9M
-Accumulated depreciation -------------90.57%-5.24M-90.57%-5.24M-------------2.14%-2.75M-2.14%-2.75M
Goodwill and other intangible assets 902.62%230.09M895.85%231.5M1,187.10%22.76M1,376.66%22.84M1,376.66%22.84M7,231.08%22.95M30,198.95%23.25M1,820.70%1.77M1,340.20%1.55M1,340.20%1.55M
-Goodwill 946.21%201.45M710.25%156.09M1,169.78%19.05M1,191.81%19.39M1,191.81%19.39M7,551.29%19.26M--19.26M--1.5M--1.5M--1.5M
-Other intangible assets 675.42%28.64M1,793.73%75.41M1,284.15%3.71M7,408.70%3.45M7,408.70%3.45M5,918.25%3.69M5,090.22%3.98M190.89%267.82K-57.18%46K-57.18%46K
Other non current assets 726.77%2.56M531.59%2.07M137.74%596K-32.97%311K-32.97%311K27.42%310K344.23%327.59K239.96%250.7K529.21%464K529.21%464K
Total non current assets 563.54%257.48M581.26%259.33M190.42%41.18M376.61%39.38M376.61%39.38M807.66%38.8M1,148.88%38.07M471.02%14.18M362.51%8.26M362.51%8.26M
Total assets 51.16%360.92M55.51%383.51M-12.17%221.27M582.34%231.91M582.34%231.91M918.57%238.77M2,144.98%246.62M2,470.08%251.94M184.48%33.99M184.48%33.99M
Liabilities
Current liabilities
Payables 166.33%17.7M215.10%20.99M140.87%8.33M104.13%7.61M104.13%7.61M85.45%6.65M90.28%6.66M1.16%3.46M32.98%3.73M32.98%3.73M
-accounts payable 169.47%16.42M168.65%16.36M161.08%8.13M112.38%7.13M112.38%7.13M89.92%6.09M97.02%6.09M4.70%3.11M41.60%3.36M41.60%3.36M
-Total tax payable 111.23%1.15M-6.78%525K-41.35%198K29.41%462K29.41%462K48.96%543K42.53%563.21K-20.33%337.62K-14.53%357K-14.53%357K
-Other payable 1,066.67%140K58,485.71%4.1M-11.11%8K0.00%10K0.00%10K0.00%12K-50.00%7K-60.87%9K-16.67%10K-16.67%10K
Current accrued expenses 216.25%10.26M349.68%7.72M261.69%6.34M401.35%4.82M401.35%4.82M161.25%3.24M220.96%1.72M158.35%1.75M32.59%962K32.59%962K
Current debt and capital lease obligation 51.30%1.8M108.30%2.5M-7.28%894K-43.05%557K-43.05%557K78.03%1.19M117.18%1.2M369.76%964.2K387.00%978K387.00%978K
-Current debt -84.58%76K35.81%775K-97.73%10K-98.26%10K-98.26%10K60.83%493K54.06%570.66K4,299.60%439.96K5,640.00%574K5,640.00%574K
-Current capital lease obligation 147.56%1.72M173.96%1.73M68.62%884K35.40%547K35.40%547K92.63%696K245.34%630.03K168.49%524.24K111.71%404K111.71%404K
Current deferred liabilities 412.97%8.82M555.09%7.79M348.75%2.74M496.66%2.86M496.66%2.86M370.38%1.72M324.34%1.19M-22.06%610.81K-15.61%479K-15.61%479K
Other current liabilities --415K--365K--364K--383K--383K--------------------
Current liabilities 204.68%39M265.61%39.37M175.09%18.67M164.07%16.23M164.07%16.23M107.01%12.8M117.63%10.77M31.48%6.79M40.63%6.15M40.63%6.15M
Non current liabilities
Long term debt and capital lease obligation 53.31%2.22M8.14%1.88M-40.20%1.13M163.06%1.53M163.06%1.53M55.25%1.45M250.11%1.73M5,380.60%1.88M586.01%582K586.01%582K
-Long term debt -------------------------38.74%303.37K--432.86K--297K--297K
-Long term capital lease obligation 53.31%2.22M31.07%1.88M-22.33%1.13M437.19%1.53M437.19%1.53M290.61%1.45M--1.43M4,119.65%1.45M235.93%285K235.93%285K
Non current deferred liabilities 16,233.33%4.9M20,460.11%4.24M4,551.98%661K1,728.57%128K1,728.57%128K--30K--20.6K--14.21K1,138.94%7K1,138.94%7K
Preferred securities outside stock equity --------------------------0--0--------
Other non current liabilities 3,551.16%4.71M5,266.67%4.83M707.78%727K114.44%193K114.44%193K43.33%129K-17.94%90K130.39%90K54.73%90K54.73%90K
Total non current liabilities 3,162.60%52.43M2,694.35%51.54M26.56%2.51M172.75%1.85M172.75%1.85M57.13%1.61M204.91%1.84M2,605.42%1.99M372.95%679K372.95%679K
Total liabilities 534.64%91.43M620.75%90.92M141.46%21.18M164.93%18.08M164.93%18.08M99.93%14.41M127.14%12.61M67.57%8.77M51.21%6.82M51.21%6.82M
Shareholders'equity
Share capital 21.43%51K18.65%50K2.52%43K16.67%42K16.67%42K32.30%42K41.96%42.14K49.99%41.95K36.74%36K36.74%36K
-common stock 21.43%51K18.65%50K2.52%43K16.67%42K16.67%42K32.30%42K41.96%42.14K49.99%41.95K36.76%36K36.76%36K
-Preferred stock ----------------------0--0--0--------
Retained earnings -36.86%-305.88M-34.61%-280.23M-32.30%-257.61M-29.42%-242.47M-29.42%-242.47M-24.57%-223.5M-18.62%-208.17M-12.90%-194.72M-10.53%-187.35M-10.53%-187.35M
Paid-in capital 29.77%582.42M30.48%577.44M5.06%460.05M113.56%458.05M113.56%458.05M129.43%448.81M144.74%442.57M147.39%437.9M21.36%214.48M21.36%214.48M
Gains losses not affecting retained earnings -619.15%-7.1M-980.82%-4.66M-4,164.96%-2.39M---1.78M---1.78M---987K-766.09%-431.34K-3,386.69%-56.04K--0--0
Total stockholders'equity 20.11%269.49M25.04%292.59M-17.72%200.09M687.20%213.83M687.20%213.83M1,281.88%224.37M4,207.97%234M5,222.63%243.17M265.38%27.16M265.38%27.16M
Total equity 20.11%269.49M25.04%292.59M-17.72%200.09M687.20%213.83M687.20%213.83M1,281.88%224.37M4,207.97%234M5,222.63%243.17M265.38%27.16M265.38%27.16M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

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