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BSGM BIOSIG TECHNOLOGIES INC

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  • 1.4700
  • -0.2800-16.00%
Close Dec 13 16:00 ET
  • 1.5600
  • +0.0900+6.12%
Post 17:15 ET
25.34MMarket Cap-1.10P/E (TTM)

BIOSIG TECHNOLOGIES INC 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
33.20%654K
60.19%2.17M
-66.56%506K
-36.03%293K
-36.03%293K
-47.60%491K
-73.33%1.35M
-82.54%1.51M
-96.07%458K
-96.07%458K
-Cash and cash equivalents
58.10%615K
68.05%2.1M
-70.54%416K
-46.78%190K
-46.78%190K
-56.14%389K
-75.34%1.25M
-83.70%1.41M
-96.94%357K
-96.94%357K
-Short-term investments
-61.76%39K
-36.27%65K
-10.89%90K
1.98%103K
1.98%103K
104.00%102K
--102K
--101K
--101K
--101K
Receivables
478.57%81K
157.14%54K
-17.65%14K
166.67%24K
166.67%24K
180.00%14K
--21K
--17K
--9K
--9K
-Accounts receivable
478.57%81K
157.14%54K
-17.65%14K
166.67%24K
166.67%24K
180.00%14K
--21K
--17K
--9K
--9K
Inventory
----
----
----
--0
--0
-87.05%219K
-90.67%189K
-82.97%345K
-82.14%336K
-82.14%336K
Prepaid assets
--113K
-61.47%163K
-20.00%220K
-35.08%211K
-35.08%211K
----
-33.18%423K
-11.58%275K
-8.19%325K
-8.19%325K
Current deferred assets
----
----
----
----
----
--5K
----
----
----
----
Other current assets
----
----
----
----
----
--322K
----
----
----
----
Total current assets
-19.31%848K
20.08%2.39M
-65.58%740K
-53.19%528K
-53.19%528K
-65.98%1.05M
-74.31%1.99M
-80.46%2.15M
-91.88%1.13M
-91.88%1.13M
Non current assets
Net PPE
-77.56%252K
-68.19%398K
-61.63%521K
-37.05%938K
-37.05%938K
-28.47%1.12M
-16.27%1.25M
15.57%1.36M
18.63%1.49M
18.63%1.49M
-Gross PPE
-37.97%1.54M
-17.01%2.04M
-15.21%2.04M
3.49%2.46M
3.49%2.46M
5.29%2.49M
15.23%2.45M
30.58%2.4M
33.46%2.38M
33.46%2.38M
-Accumulated depreciation
5.36%-1.29M
-36.30%-1.64M
-45.30%-1.51M
-71.27%-1.53M
-71.27%-1.53M
-72.31%-1.36M
-89.43%-1.2M
-57.16%-1.04M
-68.75%-891K
-68.75%-891K
Goodwill and other intangible assets
-6.80%274K
-6.69%279K
-5.94%285K
-6.17%289K
-6.17%289K
-5.77%294K
-5.97%299K
-6.19%303K
-5.81%308K
-5.81%308K
-Other intangible assets
-6.80%274K
-6.69%279K
-5.94%285K
-6.17%289K
-6.17%289K
-5.77%294K
-5.97%299K
-6.19%303K
-5.81%308K
-5.81%308K
Non current prepaid assets
----
----
--43K
0.00%43K
0.00%43K
--686K
1,121.43%513K
----
2.38%43K
2.38%43K
Other non current assets
--44K
--44K
----
----
----
----
----
--1.39M
--1.14M
--1.14M
Total non current assets
-72.90%570K
-65.05%721K
-72.14%849K
-57.41%1.27M
-57.41%1.27M
9.19%2.1M
11.27%2.06M
97.86%3.05M
83.51%2.98M
83.51%2.98M
Total assets
-55.04%1.42M
-23.28%3.11M
-69.42%1.59M
-56.25%1.8M
-56.25%1.8M
-37.11%3.15M
-57.77%4.05M
-58.56%5.2M
-73.52%4.11M
-73.52%4.11M
Liabilities
Current liabilities
Payables
10.20%108K
9.38%105K
10.75%103K
10.99%101K
10.99%101K
10.11%98K
11.63%96K
10.71%93K
10.98%91K
10.98%91K
-Dividends payable
10.20%108K
9.38%105K
10.75%103K
10.99%101K
10.99%101K
10.11%98K
11.63%96K
10.71%93K
10.98%91K
10.98%91K
Current accrued expenses
-58.27%1.45M
-10.39%2.6M
101.55%4.82M
44.32%4.12M
44.32%4.12M
65.87%3.47M
100.28%2.91M
2.05%2.39M
30.89%2.85M
30.89%2.85M
Current debt and capital lease obligation
-57.23%145K
-19.09%267K
-4.05%308K
11.50%349K
11.50%349K
-2.02%339K
-3.23%330K
27.38%321K
10.60%313K
10.60%313K
-Current capital lease obligation
-57.23%145K
-19.09%267K
-4.05%308K
11.50%349K
11.50%349K
-2.02%339K
-3.23%330K
27.38%321K
10.60%313K
10.60%313K
Current deferred liabilities
--0
--0
--0
220.00%16K
220.00%16K
-69.23%4K
--0
-72.41%8K
-84.38%5K
-84.38%5K
Current liabilities
-56.51%1.7M
-10.68%2.98M
85.93%5.23M
40.51%4.58M
40.51%4.58M
53.98%3.91M
75.46%3.33M
3.88%2.81M
26.59%3.26M
26.59%3.26M
Non current liabilities
Long term debt and capital lease obligation
--0
-94.68%15K
52.17%560K
-77.21%103K
-77.21%103K
-63.99%193K
-53.69%282K
15.72%368K
21.18%452K
21.18%452K
-Long term debt
----
----
--500K
----
----
----
----
----
----
----
-Long term capital lease obligation
--0
-94.68%15K
-83.70%60K
-77.21%103K
-77.21%103K
-63.99%193K
-53.69%282K
15.72%368K
21.18%452K
21.18%452K
Total non current liabilities
--0
-94.68%15K
52.17%560K
-77.21%103K
-77.21%103K
-63.99%193K
-53.69%282K
15.72%368K
19.58%452K
19.58%452K
Total liabilities
-58.55%1.7M
-17.24%2.99M
82.02%5.79M
26.18%4.69M
26.18%4.69M
33.42%4.1M
44.10%3.61M
5.12%3.18M
25.69%3.71M
25.69%3.71M
Shareholders'equity
Share capital
-33.70%122K
-32.58%120K
-32.56%116K
3.64%114K
3.64%114K
21.85%184K
18.67%178K
19.44%172K
-21.99%110K
-21.99%110K
-common stock
-78.48%17K
-79.45%15K
-83.58%11K
80.00%9K
80.00%9K
71.74%79K
62.22%73K
71.79%67K
-86.11%5K
-86.11%5K
-Preferred stock
0.00%105K
0.00%105K
0.00%105K
0.00%105K
0.00%105K
0.00%105K
0.00%105K
0.00%105K
0.00%105K
0.00%105K
Retained earnings
-6.39%-254.25M
-7.65%-252.33M
-11.25%-248.42M
-13.45%-245.02M
-13.45%-245.02M
-14.33%-238.97M
-15.67%-234.4M
-13.42%-223.31M
-14.32%-215.97M
-14.32%-215.97M
Paid-in capital
6.77%253.82M
7.56%252.31M
8.38%244.09M
11.89%241.99M
11.89%241.99M
12.78%237.73M
11.99%234.57M
9.20%225.22M
7.54%216.28M
7.54%216.28M
Total stockholders'equity
71.56%-300K
-71.47%99K
-302.59%-4.22M
-796.89%-2.91M
-796.89%-2.91M
-154.75%-1.06M
-95.02%347K
-78.09%2.08M
-96.61%418K
-96.61%418K
Noncontrolling interests
-83.81%17K
-80.90%17K
119.70%13K
223.81%26K
223.81%26K
775.00%105K
-25.83%89K
-512.50%-66K
-109.59%-21K
-109.59%-21K
Total equity
70.21%-283K
-73.39%116K
-308.59%-4.2M
-827.20%-2.89M
-827.20%-2.89M
-148.99%-950K
-93.84%436K
-78.82%2.02M
-96.84%397K
-96.84%397K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
--
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(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 33.20%654K60.19%2.17M-66.56%506K-36.03%293K-36.03%293K-47.60%491K-73.33%1.35M-82.54%1.51M-96.07%458K-96.07%458K
-Cash and cash equivalents 58.10%615K68.05%2.1M-70.54%416K-46.78%190K-46.78%190K-56.14%389K-75.34%1.25M-83.70%1.41M-96.94%357K-96.94%357K
-Short-term investments -61.76%39K-36.27%65K-10.89%90K1.98%103K1.98%103K104.00%102K--102K--101K--101K--101K
Receivables 478.57%81K157.14%54K-17.65%14K166.67%24K166.67%24K180.00%14K--21K--17K--9K--9K
-Accounts receivable 478.57%81K157.14%54K-17.65%14K166.67%24K166.67%24K180.00%14K--21K--17K--9K--9K
Inventory --------------0--0-87.05%219K-90.67%189K-82.97%345K-82.14%336K-82.14%336K
Prepaid assets --113K-61.47%163K-20.00%220K-35.08%211K-35.08%211K-----33.18%423K-11.58%275K-8.19%325K-8.19%325K
Current deferred assets ----------------------5K----------------
Other current assets ----------------------322K----------------
Total current assets -19.31%848K20.08%2.39M-65.58%740K-53.19%528K-53.19%528K-65.98%1.05M-74.31%1.99M-80.46%2.15M-91.88%1.13M-91.88%1.13M
Non current assets
Net PPE -77.56%252K-68.19%398K-61.63%521K-37.05%938K-37.05%938K-28.47%1.12M-16.27%1.25M15.57%1.36M18.63%1.49M18.63%1.49M
-Gross PPE -37.97%1.54M-17.01%2.04M-15.21%2.04M3.49%2.46M3.49%2.46M5.29%2.49M15.23%2.45M30.58%2.4M33.46%2.38M33.46%2.38M
-Accumulated depreciation 5.36%-1.29M-36.30%-1.64M-45.30%-1.51M-71.27%-1.53M-71.27%-1.53M-72.31%-1.36M-89.43%-1.2M-57.16%-1.04M-68.75%-891K-68.75%-891K
Goodwill and other intangible assets -6.80%274K-6.69%279K-5.94%285K-6.17%289K-6.17%289K-5.77%294K-5.97%299K-6.19%303K-5.81%308K-5.81%308K
-Other intangible assets -6.80%274K-6.69%279K-5.94%285K-6.17%289K-6.17%289K-5.77%294K-5.97%299K-6.19%303K-5.81%308K-5.81%308K
Non current prepaid assets ----------43K0.00%43K0.00%43K--686K1,121.43%513K----2.38%43K2.38%43K
Other non current assets --44K--44K----------------------1.39M--1.14M--1.14M
Total non current assets -72.90%570K-65.05%721K-72.14%849K-57.41%1.27M-57.41%1.27M9.19%2.1M11.27%2.06M97.86%3.05M83.51%2.98M83.51%2.98M
Total assets -55.04%1.42M-23.28%3.11M-69.42%1.59M-56.25%1.8M-56.25%1.8M-37.11%3.15M-57.77%4.05M-58.56%5.2M-73.52%4.11M-73.52%4.11M
Liabilities
Current liabilities
Payables 10.20%108K9.38%105K10.75%103K10.99%101K10.99%101K10.11%98K11.63%96K10.71%93K10.98%91K10.98%91K
-Dividends payable 10.20%108K9.38%105K10.75%103K10.99%101K10.99%101K10.11%98K11.63%96K10.71%93K10.98%91K10.98%91K
Current accrued expenses -58.27%1.45M-10.39%2.6M101.55%4.82M44.32%4.12M44.32%4.12M65.87%3.47M100.28%2.91M2.05%2.39M30.89%2.85M30.89%2.85M
Current debt and capital lease obligation -57.23%145K-19.09%267K-4.05%308K11.50%349K11.50%349K-2.02%339K-3.23%330K27.38%321K10.60%313K10.60%313K
-Current capital lease obligation -57.23%145K-19.09%267K-4.05%308K11.50%349K11.50%349K-2.02%339K-3.23%330K27.38%321K10.60%313K10.60%313K
Current deferred liabilities --0--0--0220.00%16K220.00%16K-69.23%4K--0-72.41%8K-84.38%5K-84.38%5K
Current liabilities -56.51%1.7M-10.68%2.98M85.93%5.23M40.51%4.58M40.51%4.58M53.98%3.91M75.46%3.33M3.88%2.81M26.59%3.26M26.59%3.26M
Non current liabilities
Long term debt and capital lease obligation --0-94.68%15K52.17%560K-77.21%103K-77.21%103K-63.99%193K-53.69%282K15.72%368K21.18%452K21.18%452K
-Long term debt ----------500K----------------------------
-Long term capital lease obligation --0-94.68%15K-83.70%60K-77.21%103K-77.21%103K-63.99%193K-53.69%282K15.72%368K21.18%452K21.18%452K
Total non current liabilities --0-94.68%15K52.17%560K-77.21%103K-77.21%103K-63.99%193K-53.69%282K15.72%368K19.58%452K19.58%452K
Total liabilities -58.55%1.7M-17.24%2.99M82.02%5.79M26.18%4.69M26.18%4.69M33.42%4.1M44.10%3.61M5.12%3.18M25.69%3.71M25.69%3.71M
Shareholders'equity
Share capital -33.70%122K-32.58%120K-32.56%116K3.64%114K3.64%114K21.85%184K18.67%178K19.44%172K-21.99%110K-21.99%110K
-common stock -78.48%17K-79.45%15K-83.58%11K80.00%9K80.00%9K71.74%79K62.22%73K71.79%67K-86.11%5K-86.11%5K
-Preferred stock 0.00%105K0.00%105K0.00%105K0.00%105K0.00%105K0.00%105K0.00%105K0.00%105K0.00%105K0.00%105K
Retained earnings -6.39%-254.25M-7.65%-252.33M-11.25%-248.42M-13.45%-245.02M-13.45%-245.02M-14.33%-238.97M-15.67%-234.4M-13.42%-223.31M-14.32%-215.97M-14.32%-215.97M
Paid-in capital 6.77%253.82M7.56%252.31M8.38%244.09M11.89%241.99M11.89%241.99M12.78%237.73M11.99%234.57M9.20%225.22M7.54%216.28M7.54%216.28M
Total stockholders'equity 71.56%-300K-71.47%99K-302.59%-4.22M-796.89%-2.91M-796.89%-2.91M-154.75%-1.06M-95.02%347K-78.09%2.08M-96.61%418K-96.61%418K
Noncontrolling interests -83.81%17K-80.90%17K119.70%13K223.81%26K223.81%26K775.00%105K-25.83%89K-512.50%-66K-109.59%-21K-109.59%-21K
Total equity 70.21%-283K-73.39%116K-308.59%-4.2M-827.20%-2.89M-827.20%-2.89M-148.99%-950K-93.84%436K-78.82%2.02M-96.84%397K-96.84%397K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes------------
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