US Stock MarketDetailed Quotes

BSFC Blue Star Foods

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  • 0.7409
  • -0.0702-8.65%
Close Sep 13 16:00 ET
  • 0.7800
  • +0.0391+5.28%
Post 20:01 ET
1.86MMarket Cap0.02P/E (TTM)

Blue Star Foods 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
930.88%73.11K
-88.09%22.3K
160.88%24.16K
160.88%24.16K
105.23%488.83K
-99.73%7.09K
-93.72%187.26K
-99.20%9.26K
-99.20%9.26K
16.78%238.18K
-Cash and cash equivalents
930.88%73.11K
-88.09%22.3K
160.88%24.16K
160.88%24.16K
105.23%488.83K
-99.73%7.09K
-93.72%187.26K
-99.20%9.26K
-99.20%9.26K
16.78%238.18K
Receivables
129.56%600.48K
-12.87%910.82K
-34.33%534.2K
-34.33%534.2K
-80.19%152.95K
-79.09%261.58K
-72.88%1.05M
-33.93%813.42K
-33.93%813.42K
2.31%772.19K
-Accounts receivable
129.56%600.48K
-12.87%910.82K
-34.33%534.2K
-34.33%534.2K
-80.19%152.95K
-79.09%261.58K
-72.88%1.05M
-33.93%813.42K
-33.93%813.42K
2.31%772.19K
Inventory
-16.25%2.64M
-35.10%2.28M
-45.75%2.61M
-45.75%2.61M
-67.47%1.99M
-44.64%3.15M
15.53%3.51M
126.86%4.81M
126.86%4.81M
220.26%6.12M
Prepaid assets
71.40%2.46M
16.13%1.33M
4.33%929K
4.33%929K
-34.59%2.32M
-63.27%1.43M
-21.19%1.14M
-82.63%890.46K
-82.63%890.46K
172.95%3.55M
Restricted cash
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--1.65K
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Total current assets
18.87%5.77M
-22.92%4.54M
-37.19%4.1M
-37.19%4.1M
-53.61%4.95M
-63.87%4.85M
-56.23%5.89M
-32.29%6.52M
-32.29%6.52M
112.74%10.68M
Non current assets
Net PPE
49.53%463.77K
39.33%438.88K
34.89%428.87K
34.89%428.87K
-80.93%427.48K
-86.37%310.14K
-85.23%315K
-83.91%317.94K
-83.91%317.94K
6.65%2.24M
-Gross PPE
45.81%505.26K
36.72%479.01K
-81.99%467.69K
-81.99%467.69K
-81.61%465K
-86.49%346.53K
-85.23%350.34K
20.58%2.6M
20.58%2.6M
20.28%2.53M
-Accumulated depreciation
-14.03%-41.5K
-13.51%-40.12K
98.30%-38.82K
98.30%-38.82K
86.90%-37.52K
87.43%-36.39K
85.21%-35.35K
-1,179.24%-2.28M
-1,179.24%-2.28M
---286.54K
Goodwill and other intangible assets
----
----
----
----
----
----
----
----
----
-19.98%3.37M
-Goodwill
----
----
----
----
----
----
----
----
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11.21%495.31K
-Other intangible assets
----
----
----
----
----
----
----
----
----
-23.67%2.87M
Non current accounts receivable
0.00%435.55K
0.00%435.55K
0.00%435.55K
0.00%435.55K
-4.39%435.55K
-4.39%435.55K
-4.39%435.55K
-4.39%435.55K
-4.39%435.55K
0.00%455.55K
Non current prepaid assets
0.00%1.3M
0.00%1.3M
0.00%1.3M
0.00%1.3M
--1.3M
--1.3M
--1.3M
--1.3M
--1.3M
----
Other non current assets
10.57%138.74K
41.38%144.35K
-1.44%102.22K
-1.44%102.22K
9.11%123.86K
-36.11%125.48K
-21.01%102.1K
-16.78%103.72K
-16.78%103.72K
-9.78%113.52K
Total non current assets
7.69%2.34M
7.72%2.32M
5.07%2.27M
5.07%2.27M
-62.98%2.29M
-69.67%2.17M
-69.23%2.15M
-65.83%2.16M
-65.83%2.16M
-10.35%6.18M
Total assets
15.42%8.1M
-14.72%6.86M
-26.69%6.36M
-26.69%6.36M
-57.05%7.24M
-65.89%7.02M
-60.68%8.04M
-45.57%8.68M
-45.57%8.68M
41.52%16.86M
Liabilities
Current liabilities
Current provisions
--107.59K
--178.87K
--189.98K
--189.98K
----
----
----
----
----
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Current debt and capital lease obligation
-74.26%1.01M
-88.11%633.95K
-92.73%457.99K
-92.73%457.99K
-77.85%1.24M
-49.10%3.92M
-2.82%5.33M
64.21%6.3M
64.21%6.3M
72.66%5.59M
-Current debt
-74.84%973.79K
-88.66%598.3K
-93.23%422.56K
-93.23%422.56K
-78.54%1.19M
-49.39%3.87M
-3.25%5.28M
64.02%6.24M
64.02%6.24M
72.46%5.53M
-Current capital lease obligation
-31.91%35.85K
-32.98%35.65K
-38.20%35.43K
-38.20%35.43K
-12.02%50.77K
-13.05%52.66K
73.52%53.2K
87.45%57.33K
87.45%57.33K
94.60%57.7K
Current deferred liabilities
--0
1.14%47.26K
1.57%47.82K
1.57%47.82K
-18.59%47.27K
-55.71%48.17K
-58.31%46.73K
-56.97%47.08K
-56.97%47.08K
--58.06K
Other current liabilities
-4.62%1.28M
121.09%1.75M
132.59%1.84M
132.59%1.84M
467.64%4.38M
56.50%1.34M
-13.53%790.88K
-25.01%790.88K
-25.01%790.88K
-28.93%770.88K
Current liabilities
-50.69%3.23M
-49.97%3.67M
-66.47%3.2M
-66.47%3.2M
-38.62%6.21M
-35.85%6.56M
-7.09%7.34M
40.38%9.53M
40.38%9.53M
73.05%10.11M
Non current liabilities
Long term debt and capital lease obligation
-46.67%257.45K
169.33%612.22K
46.53%570.92K
46.53%570.92K
-61.15%549.73K
-71.79%482.76K
-91.98%227.31K
58.15%389.63K
58.15%389.63K
174.91%1.41M
-Long term debt
-47.95%188.51K
433.06%533.06K
92.53%481.33K
92.53%481.33K
-65.09%441.2K
-76.44%362.15K
-96.43%100K
21.20%250K
21.20%250K
170.91%1.26M
-Long term capital lease obligation
-42.84%68.94K
-37.82%79.16K
-35.84%89.59K
-35.84%89.59K
-28.16%108.53K
-30.58%120.61K
287.87%127.31K
248.13%139.63K
248.13%139.63K
213.67%151.08K
Total non current liabilities
-46.67%257.45K
169.33%612.22K
46.53%570.92K
46.53%570.92K
-61.15%549.73K
-71.79%482.76K
-91.98%227.31K
58.15%389.63K
58.15%389.63K
174.91%1.41M
Total liabilities
-50.41%3.49M
-43.38%4.28M
-62.04%3.77M
-62.04%3.77M
-41.39%6.76M
-41.01%7.04M
-29.52%7.56M
41.00%9.92M
41.00%9.92M
81.30%11.53M
Shareholders'equity
Share capital
-95.61%233
-18.58%3.59K
1,634.33%2.32K
1,634.33%2.32K
-76.82%597
110.34%5.31K
75.54%4.41K
-94.60%134
-94.60%134
10.13%2.58K
-common stock
-95.61%233
-18.58%3.59K
1,634.33%2.32K
1,634.33%2.32K
-76.82%597
110.34%5.31K
75.54%4.41K
-94.60%134
-94.60%134
10.13%2.58K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-12.23%-36.75M
-11.55%-34.9M
-15.24%-33.81M
-15.24%-33.81M
-48.34%-33.19M
-75.70%-32.74M
-81.94%-31.29M
-81.73%-29.34M
-81.73%-29.34M
-53.08%-22.37M
Paid-in capital
25.88%41.52M
17.70%37.65M
29.41%36.66M
29.41%36.66M
21.95%33.91M
20.63%32.98M
18.77%31.99M
12.85%28.33M
12.85%28.33M
38.21%27.8M
Less: Treasury stock
0.00%76.32K
0.00%76.32K
--76.32K
--76.32K
--76.32K
--76.32K
--76.32K
--0
--0
----
Gains losses not affecting retained earnings
55.53%-83.17K
32.15%-101.96K
23.68%-180K
23.68%-180K
-50.68%-161.45K
-233.81%-187.02K
-698.13%-150.28K
-334.83%-235.85K
-334.83%-235.85K
-326.38%-107.15K
Total stockholders'equity
29,471.47%4.61M
437.59%2.58M
308.31%2.59M
308.31%2.59M
-90.94%482.29K
-100.18%-15.71K
-95.07%479.24K
-113.99%-1.25M
-113.99%-1.25M
-4.06%5.33M
Total equity
29,471.47%4.61M
437.59%2.58M
308.31%2.59M
308.31%2.59M
-90.94%482.29K
-100.18%-15.71K
-95.07%479.24K
-113.99%-1.25M
-113.99%-1.25M
-4.06%5.33M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
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 930.88%73.11K-88.09%22.3K160.88%24.16K160.88%24.16K105.23%488.83K-99.73%7.09K-93.72%187.26K-99.20%9.26K-99.20%9.26K16.78%238.18K
-Cash and cash equivalents 930.88%73.11K-88.09%22.3K160.88%24.16K160.88%24.16K105.23%488.83K-99.73%7.09K-93.72%187.26K-99.20%9.26K-99.20%9.26K16.78%238.18K
Receivables 129.56%600.48K-12.87%910.82K-34.33%534.2K-34.33%534.2K-80.19%152.95K-79.09%261.58K-72.88%1.05M-33.93%813.42K-33.93%813.42K2.31%772.19K
-Accounts receivable 129.56%600.48K-12.87%910.82K-34.33%534.2K-34.33%534.2K-80.19%152.95K-79.09%261.58K-72.88%1.05M-33.93%813.42K-33.93%813.42K2.31%772.19K
Inventory -16.25%2.64M-35.10%2.28M-45.75%2.61M-45.75%2.61M-67.47%1.99M-44.64%3.15M15.53%3.51M126.86%4.81M126.86%4.81M220.26%6.12M
Prepaid assets 71.40%2.46M16.13%1.33M4.33%929K4.33%929K-34.59%2.32M-63.27%1.43M-21.19%1.14M-82.63%890.46K-82.63%890.46K172.95%3.55M
Restricted cash --------------------------1.65K------------
Total current assets 18.87%5.77M-22.92%4.54M-37.19%4.1M-37.19%4.1M-53.61%4.95M-63.87%4.85M-56.23%5.89M-32.29%6.52M-32.29%6.52M112.74%10.68M
Non current assets
Net PPE 49.53%463.77K39.33%438.88K34.89%428.87K34.89%428.87K-80.93%427.48K-86.37%310.14K-85.23%315K-83.91%317.94K-83.91%317.94K6.65%2.24M
-Gross PPE 45.81%505.26K36.72%479.01K-81.99%467.69K-81.99%467.69K-81.61%465K-86.49%346.53K-85.23%350.34K20.58%2.6M20.58%2.6M20.28%2.53M
-Accumulated depreciation -14.03%-41.5K-13.51%-40.12K98.30%-38.82K98.30%-38.82K86.90%-37.52K87.43%-36.39K85.21%-35.35K-1,179.24%-2.28M-1,179.24%-2.28M---286.54K
Goodwill and other intangible assets -------------------------------------19.98%3.37M
-Goodwill ------------------------------------11.21%495.31K
-Other intangible assets -------------------------------------23.67%2.87M
Non current accounts receivable 0.00%435.55K0.00%435.55K0.00%435.55K0.00%435.55K-4.39%435.55K-4.39%435.55K-4.39%435.55K-4.39%435.55K-4.39%435.55K0.00%455.55K
Non current prepaid assets 0.00%1.3M0.00%1.3M0.00%1.3M0.00%1.3M--1.3M--1.3M--1.3M--1.3M--1.3M----
Other non current assets 10.57%138.74K41.38%144.35K-1.44%102.22K-1.44%102.22K9.11%123.86K-36.11%125.48K-21.01%102.1K-16.78%103.72K-16.78%103.72K-9.78%113.52K
Total non current assets 7.69%2.34M7.72%2.32M5.07%2.27M5.07%2.27M-62.98%2.29M-69.67%2.17M-69.23%2.15M-65.83%2.16M-65.83%2.16M-10.35%6.18M
Total assets 15.42%8.1M-14.72%6.86M-26.69%6.36M-26.69%6.36M-57.05%7.24M-65.89%7.02M-60.68%8.04M-45.57%8.68M-45.57%8.68M41.52%16.86M
Liabilities
Current liabilities
Current provisions --107.59K--178.87K--189.98K--189.98K------------------------
Current debt and capital lease obligation -74.26%1.01M-88.11%633.95K-92.73%457.99K-92.73%457.99K-77.85%1.24M-49.10%3.92M-2.82%5.33M64.21%6.3M64.21%6.3M72.66%5.59M
-Current debt -74.84%973.79K-88.66%598.3K-93.23%422.56K-93.23%422.56K-78.54%1.19M-49.39%3.87M-3.25%5.28M64.02%6.24M64.02%6.24M72.46%5.53M
-Current capital lease obligation -31.91%35.85K-32.98%35.65K-38.20%35.43K-38.20%35.43K-12.02%50.77K-13.05%52.66K73.52%53.2K87.45%57.33K87.45%57.33K94.60%57.7K
Current deferred liabilities --01.14%47.26K1.57%47.82K1.57%47.82K-18.59%47.27K-55.71%48.17K-58.31%46.73K-56.97%47.08K-56.97%47.08K--58.06K
Other current liabilities -4.62%1.28M121.09%1.75M132.59%1.84M132.59%1.84M467.64%4.38M56.50%1.34M-13.53%790.88K-25.01%790.88K-25.01%790.88K-28.93%770.88K
Current liabilities -50.69%3.23M-49.97%3.67M-66.47%3.2M-66.47%3.2M-38.62%6.21M-35.85%6.56M-7.09%7.34M40.38%9.53M40.38%9.53M73.05%10.11M
Non current liabilities
Long term debt and capital lease obligation -46.67%257.45K169.33%612.22K46.53%570.92K46.53%570.92K-61.15%549.73K-71.79%482.76K-91.98%227.31K58.15%389.63K58.15%389.63K174.91%1.41M
-Long term debt -47.95%188.51K433.06%533.06K92.53%481.33K92.53%481.33K-65.09%441.2K-76.44%362.15K-96.43%100K21.20%250K21.20%250K170.91%1.26M
-Long term capital lease obligation -42.84%68.94K-37.82%79.16K-35.84%89.59K-35.84%89.59K-28.16%108.53K-30.58%120.61K287.87%127.31K248.13%139.63K248.13%139.63K213.67%151.08K
Total non current liabilities -46.67%257.45K169.33%612.22K46.53%570.92K46.53%570.92K-61.15%549.73K-71.79%482.76K-91.98%227.31K58.15%389.63K58.15%389.63K174.91%1.41M
Total liabilities -50.41%3.49M-43.38%4.28M-62.04%3.77M-62.04%3.77M-41.39%6.76M-41.01%7.04M-29.52%7.56M41.00%9.92M41.00%9.92M81.30%11.53M
Shareholders'equity
Share capital -95.61%233-18.58%3.59K1,634.33%2.32K1,634.33%2.32K-76.82%597110.34%5.31K75.54%4.41K-94.60%134-94.60%13410.13%2.58K
-common stock -95.61%233-18.58%3.59K1,634.33%2.32K1,634.33%2.32K-76.82%597110.34%5.31K75.54%4.41K-94.60%134-94.60%13410.13%2.58K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -12.23%-36.75M-11.55%-34.9M-15.24%-33.81M-15.24%-33.81M-48.34%-33.19M-75.70%-32.74M-81.94%-31.29M-81.73%-29.34M-81.73%-29.34M-53.08%-22.37M
Paid-in capital 25.88%41.52M17.70%37.65M29.41%36.66M29.41%36.66M21.95%33.91M20.63%32.98M18.77%31.99M12.85%28.33M12.85%28.33M38.21%27.8M
Less: Treasury stock 0.00%76.32K0.00%76.32K--76.32K--76.32K--76.32K--76.32K--76.32K--0--0----
Gains losses not affecting retained earnings 55.53%-83.17K32.15%-101.96K23.68%-180K23.68%-180K-50.68%-161.45K-233.81%-187.02K-698.13%-150.28K-334.83%-235.85K-334.83%-235.85K-326.38%-107.15K
Total stockholders'equity 29,471.47%4.61M437.59%2.58M308.31%2.59M308.31%2.59M-90.94%482.29K-100.18%-15.71K-95.07%479.24K-113.99%-1.25M-113.99%-1.25M-4.06%5.33M
Total equity 29,471.47%4.61M437.59%2.58M308.31%2.59M308.31%2.59M-90.94%482.29K-100.18%-15.71K-95.07%479.24K-113.99%-1.25M-113.99%-1.25M-4.06%5.33M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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