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BTTR Better Choice

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  • 2.2400
  • 0.00000.00%
Trading Nov 7 10:04 ET
4.09MMarket Cap-96P/E (TTM)

Better Choice 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
-8.71%3.29M
135.05%3.88M
40.40%4.46M
40.40%4.46M
-32.77%3.8M
-66.79%3.61M
-89.98%1.65M
-85.40%3.17M
-85.40%3.17M
-78.30%5.65M
-Cash and cash equivalents
-8.71%3.29M
135.05%3.88M
40.40%4.46M
40.40%4.46M
-32.77%3.8M
-66.79%3.61M
-89.98%1.65M
-85.40%3.17M
-85.40%3.17M
-78.30%5.65M
Receivables
-25.19%4.33M
-31.30%4.34M
-35.44%4.35M
-35.44%4.35M
-10.55%8.58M
-33.48%5.78M
-34.98%6.32M
-0.71%6.74M
-0.71%6.74M
27.51%9.59M
-Accounts receivable
-25.19%4.33M
-31.30%4.34M
-35.44%4.35M
-35.44%4.35M
-10.55%8.58M
-33.48%5.78M
-34.98%6.32M
-0.71%6.74M
-0.71%6.74M
27.51%9.59M
Inventory
-55.30%3.83M
-41.45%5.2M
-35.55%6.61M
-35.55%6.61M
-35.05%7.54M
-18.42%8.56M
7.23%8.88M
95.56%10.26M
95.56%10.26M
239.11%11.61M
Prepaid assets
--647K
--451K
--451K
--451K
----
----
----
--0
--0
--0
Restricted cash
----
----
--0
--0
--0
--0
-9.52%6.3M
-12.66%6.3M
-12.66%6.3M
-3.47%6.96M
Other current assets
-93.19%124K
-31.23%718K
-65.65%361K
-65.65%361K
-10.47%992K
113.36%1.82M
34.02%1.04M
24.38%1.05M
24.38%1.05M
-32.07%1.11M
Total current assets
-38.20%12.21M
-39.71%14.59M
-41.03%16.23M
-41.03%16.23M
-40.12%20.92M
-50.53%19.77M
-45.38%24.19M
-37.33%27.53M
-37.33%27.53M
-27.13%34.93M
Non current assets
Net PPE
-38.27%271K
-38.21%304K
-36.13%350K
-36.13%350K
-35.42%392K
-14.09%439K
-7.87%492K
28.94%548K
28.94%548K
157.20%607K
-Gross PPE
-4.45%644K
-6.54%643K
-8.79%654K
-8.79%654K
9.06%662K
31.90%674K
28.84%688K
13.63%717K
13.63%717K
157.20%607K
-Accumulated depreciation
-58.72%-373K
-72.96%-339K
-79.88%-304K
-79.88%-304K
---270K
---235K
---196K
17.96%-169K
17.96%-169K
----
Goodwill and other intangible assets
-95.64%405K
-95.82%405K
--0
--0
-69.32%8.91M
-68.42%9.3M
-67.54%9.68M
-66.69%10.06M
-66.69%10.06M
-4.99%29.06M
-Goodwill
--405K
--405K
----
----
----
----
----
----
----
0.00%18.61M
-Other intangible assets
----
----
----
----
-14.63%8.91M
-14.11%9.3M
-13.63%9.68M
-13.18%10.06M
-13.18%10.06M
-12.76%10.44M
Other non current assets
-78.43%195K
-80.95%149K
-71.51%155K
-71.51%155K
652.73%828K
795.05%904K
674.26%782K
368.97%544K
368.97%544K
-3.51%110K
Total non current assets
-91.81%871K
-92.17%858K
-95.47%505K
-95.47%505K
-65.96%10.13M
-64.59%10.64M
-64.04%10.95M
-63.73%11.15M
-63.73%11.15M
-3.75%29.77M
Total assets
-56.96%13.09M
-56.06%15.44M
-56.73%16.74M
-56.73%16.74M
-52.01%31.05M
-56.57%30.4M
-52.98%35.15M
-48.20%38.68M
-48.20%38.68M
-17.96%64.7M
Liabilities
Current liabilities
Payables
44.74%6.21M
134.57%7.57M
131.20%7.03M
131.20%7.03M
99.90%7.91M
5.12%4.29M
-44.63%3.23M
-35.17%3.04M
-35.17%3.04M
-5.36%3.96M
-accounts payable
45.67%6.11M
139.07%7.48M
136.29%6.93M
136.29%6.93M
102.67%7.81M
4.72%4.19M
-45.37%3.13M
-35.60%2.93M
-35.60%2.93M
-4.82%3.85M
-Total tax payable
5.10%103K
-6.00%94K
-4.55%105K
-4.55%105K
0.00%107K
25.64%98K
-3.85%100K
-20.86%110K
-20.86%110K
-21.32%107K
Current accrued expenses
0.97%1.15M
16.72%1.06M
-12.01%1.52M
-12.01%1.52M
-1.02%1.84M
-27.42%1.14M
16.69%909K
91.77%1.72M
91.77%1.72M
54.45%1.86M
Current debt and capital lease obligation
-29.08%1.64M
9,867.92%5.28M
8,898.08%4.68M
8,898.08%4.68M
0.00%1.97M
98.97%2.31M
-94.83%53K
-94.28%52K
-94.28%52K
137.14%1.97M
-Current debt
-30.00%1.58M
--5.23M
--4.62M
--4.62M
-0.26%1.92M
100.00%2.26M
----
----
----
146.41%1.92M
-Current capital lease obligation
9.26%59K
9.43%58K
9.62%57K
9.62%57K
9.80%56K
63.64%54K
15.22%53K
-3.70%52K
-3.70%52K
-1.92%51K
Current deferred liabilities
--0
-96.13%15K
-97.92%7K
-97.92%7K
-102.69%-8K
-91.97%20K
63.71%388K
49.33%336K
49.33%336K
63.19%297K
Other current liabilities
-97.11%109K
272.22%335K
7.04%456K
7.04%456K
71.90%1.46M
1,078.13%3.77M
-72.56%90K
-30.84%426K
-30.84%426K
884.88%847K
Current liabilities
-21.01%9.11M
205.61%14.27M
145.38%13.69M
145.38%13.69M
47.46%13.17M
56.23%11.53M
-43.07%4.67M
-23.99%5.58M
-23.99%5.58M
37.74%8.93M
Non current liabilities
Long term debt and capital lease obligation
-98.60%37K
-99.55%52K
-99.42%67K
-99.42%67K
-73.03%2.8M
-76.45%2.65M
-0.22%11.57M
22.80%11.57M
22.80%11.57M
7.50%10.37M
-Long term debt
----
----
----
----
-73.47%2.71M
-77.30%2.55M
-1.16%11.46M
21.55%11.44M
21.55%11.44M
6.29%10.23M
-Long term capital lease obligation
-61.46%37K
-52.73%52K
-45.97%67K
-45.97%67K
-40.15%82K
--96K
--110K
2,380.00%124K
2,380.00%124K
621.05%137K
Non current deferred liabilities
----
----
----
----
----
----
----
----
----
--24K
Total non current liabilities
-98.60%37K
-99.55%52K
-99.42%67K
-99.42%67K
-73.09%2.8M
-76.50%2.65M
-0.42%11.57M
22.49%11.57M
22.49%11.57M
7.75%10.39M
Total liabilities
-35.49%9.15M
-11.83%14.32M
-19.76%13.76M
-19.76%13.76M
-17.36%15.97M
-23.93%14.18M
-18.06%16.24M
2.16%17.15M
2.16%17.15M
19.81%19.33M
Shareholders'equity
Share capital
-96.67%1K
13.33%34K
10.34%32K
10.34%32K
10.34%32K
3.45%30K
3.45%30K
0.00%29K
0.00%29K
0.00%29K
-common stock
-96.67%1K
13.33%34K
10.34%32K
10.34%32K
10.34%32K
3.45%30K
3.45%30K
0.00%29K
0.00%29K
0.00%29K
Retained earnings
-5.41%-321.52M
-7.32%-324.17M
-7.63%-321.34M
-7.63%-321.34M
-11.83%-306.64M
-13.96%-305.02M
-14.72%-302.06M
-15.16%-298.57M
-15.16%-298.57M
-8.02%-274.21M
Paid-in capital
1.32%325.46M
1.35%325.26M
1.32%324.29M
1.32%324.29M
0.67%321.69M
0.70%321.22M
0.86%320.93M
0.94%320.07M
0.94%320.07M
0.95%319.56M
Total stockholders'equity
-75.73%3.94M
-94.04%1.13M
-86.17%2.98M
-86.17%2.98M
-66.77%15.08M
-68.41%16.23M
-65.58%18.91M
-62.80%21.53M
-62.80%21.53M
-27.67%45.38M
Total equity
-75.73%3.94M
-94.04%1.13M
-86.17%2.98M
-86.17%2.98M
-66.77%15.08M
-68.41%16.23M
-65.58%18.91M
-62.80%21.53M
-62.80%21.53M
-27.67%45.38M
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 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 -8.71%3.29M135.05%3.88M40.40%4.46M40.40%4.46M-32.77%3.8M-66.79%3.61M-89.98%1.65M-85.40%3.17M-85.40%3.17M-78.30%5.65M
-Cash and cash equivalents -8.71%3.29M135.05%3.88M40.40%4.46M40.40%4.46M-32.77%3.8M-66.79%3.61M-89.98%1.65M-85.40%3.17M-85.40%3.17M-78.30%5.65M
Receivables -25.19%4.33M-31.30%4.34M-35.44%4.35M-35.44%4.35M-10.55%8.58M-33.48%5.78M-34.98%6.32M-0.71%6.74M-0.71%6.74M27.51%9.59M
-Accounts receivable -25.19%4.33M-31.30%4.34M-35.44%4.35M-35.44%4.35M-10.55%8.58M-33.48%5.78M-34.98%6.32M-0.71%6.74M-0.71%6.74M27.51%9.59M
Inventory -55.30%3.83M-41.45%5.2M-35.55%6.61M-35.55%6.61M-35.05%7.54M-18.42%8.56M7.23%8.88M95.56%10.26M95.56%10.26M239.11%11.61M
Prepaid assets --647K--451K--451K--451K--------------0--0--0
Restricted cash ----------0--0--0--0-9.52%6.3M-12.66%6.3M-12.66%6.3M-3.47%6.96M
Other current assets -93.19%124K-31.23%718K-65.65%361K-65.65%361K-10.47%992K113.36%1.82M34.02%1.04M24.38%1.05M24.38%1.05M-32.07%1.11M
Total current assets -38.20%12.21M-39.71%14.59M-41.03%16.23M-41.03%16.23M-40.12%20.92M-50.53%19.77M-45.38%24.19M-37.33%27.53M-37.33%27.53M-27.13%34.93M
Non current assets
Net PPE -38.27%271K-38.21%304K-36.13%350K-36.13%350K-35.42%392K-14.09%439K-7.87%492K28.94%548K28.94%548K157.20%607K
-Gross PPE -4.45%644K-6.54%643K-8.79%654K-8.79%654K9.06%662K31.90%674K28.84%688K13.63%717K13.63%717K157.20%607K
-Accumulated depreciation -58.72%-373K-72.96%-339K-79.88%-304K-79.88%-304K---270K---235K---196K17.96%-169K17.96%-169K----
Goodwill and other intangible assets -95.64%405K-95.82%405K--0--0-69.32%8.91M-68.42%9.3M-67.54%9.68M-66.69%10.06M-66.69%10.06M-4.99%29.06M
-Goodwill --405K--405K----------------------------0.00%18.61M
-Other intangible assets -----------------14.63%8.91M-14.11%9.3M-13.63%9.68M-13.18%10.06M-13.18%10.06M-12.76%10.44M
Other non current assets -78.43%195K-80.95%149K-71.51%155K-71.51%155K652.73%828K795.05%904K674.26%782K368.97%544K368.97%544K-3.51%110K
Total non current assets -91.81%871K-92.17%858K-95.47%505K-95.47%505K-65.96%10.13M-64.59%10.64M-64.04%10.95M-63.73%11.15M-63.73%11.15M-3.75%29.77M
Total assets -56.96%13.09M-56.06%15.44M-56.73%16.74M-56.73%16.74M-52.01%31.05M-56.57%30.4M-52.98%35.15M-48.20%38.68M-48.20%38.68M-17.96%64.7M
Liabilities
Current liabilities
Payables 44.74%6.21M134.57%7.57M131.20%7.03M131.20%7.03M99.90%7.91M5.12%4.29M-44.63%3.23M-35.17%3.04M-35.17%3.04M-5.36%3.96M
-accounts payable 45.67%6.11M139.07%7.48M136.29%6.93M136.29%6.93M102.67%7.81M4.72%4.19M-45.37%3.13M-35.60%2.93M-35.60%2.93M-4.82%3.85M
-Total tax payable 5.10%103K-6.00%94K-4.55%105K-4.55%105K0.00%107K25.64%98K-3.85%100K-20.86%110K-20.86%110K-21.32%107K
Current accrued expenses 0.97%1.15M16.72%1.06M-12.01%1.52M-12.01%1.52M-1.02%1.84M-27.42%1.14M16.69%909K91.77%1.72M91.77%1.72M54.45%1.86M
Current debt and capital lease obligation -29.08%1.64M9,867.92%5.28M8,898.08%4.68M8,898.08%4.68M0.00%1.97M98.97%2.31M-94.83%53K-94.28%52K-94.28%52K137.14%1.97M
-Current debt -30.00%1.58M--5.23M--4.62M--4.62M-0.26%1.92M100.00%2.26M------------146.41%1.92M
-Current capital lease obligation 9.26%59K9.43%58K9.62%57K9.62%57K9.80%56K63.64%54K15.22%53K-3.70%52K-3.70%52K-1.92%51K
Current deferred liabilities --0-96.13%15K-97.92%7K-97.92%7K-102.69%-8K-91.97%20K63.71%388K49.33%336K49.33%336K63.19%297K
Other current liabilities -97.11%109K272.22%335K7.04%456K7.04%456K71.90%1.46M1,078.13%3.77M-72.56%90K-30.84%426K-30.84%426K884.88%847K
Current liabilities -21.01%9.11M205.61%14.27M145.38%13.69M145.38%13.69M47.46%13.17M56.23%11.53M-43.07%4.67M-23.99%5.58M-23.99%5.58M37.74%8.93M
Non current liabilities
Long term debt and capital lease obligation -98.60%37K-99.55%52K-99.42%67K-99.42%67K-73.03%2.8M-76.45%2.65M-0.22%11.57M22.80%11.57M22.80%11.57M7.50%10.37M
-Long term debt -----------------73.47%2.71M-77.30%2.55M-1.16%11.46M21.55%11.44M21.55%11.44M6.29%10.23M
-Long term capital lease obligation -61.46%37K-52.73%52K-45.97%67K-45.97%67K-40.15%82K--96K--110K2,380.00%124K2,380.00%124K621.05%137K
Non current deferred liabilities --------------------------------------24K
Total non current liabilities -98.60%37K-99.55%52K-99.42%67K-99.42%67K-73.09%2.8M-76.50%2.65M-0.42%11.57M22.49%11.57M22.49%11.57M7.75%10.39M
Total liabilities -35.49%9.15M-11.83%14.32M-19.76%13.76M-19.76%13.76M-17.36%15.97M-23.93%14.18M-18.06%16.24M2.16%17.15M2.16%17.15M19.81%19.33M
Shareholders'equity
Share capital -96.67%1K13.33%34K10.34%32K10.34%32K10.34%32K3.45%30K3.45%30K0.00%29K0.00%29K0.00%29K
-common stock -96.67%1K13.33%34K10.34%32K10.34%32K10.34%32K3.45%30K3.45%30K0.00%29K0.00%29K0.00%29K
Retained earnings -5.41%-321.52M-7.32%-324.17M-7.63%-321.34M-7.63%-321.34M-11.83%-306.64M-13.96%-305.02M-14.72%-302.06M-15.16%-298.57M-15.16%-298.57M-8.02%-274.21M
Paid-in capital 1.32%325.46M1.35%325.26M1.32%324.29M1.32%324.29M0.67%321.69M0.70%321.22M0.86%320.93M0.94%320.07M0.94%320.07M0.95%319.56M
Total stockholders'equity -75.73%3.94M-94.04%1.13M-86.17%2.98M-86.17%2.98M-66.77%15.08M-68.41%16.23M-65.58%18.91M-62.80%21.53M-62.80%21.53M-27.67%45.38M
Total equity -75.73%3.94M-94.04%1.13M-86.17%2.98M-86.17%2.98M-66.77%15.08M-68.41%16.23M-65.58%18.91M-62.80%21.53M-62.80%21.53M-27.67%45.38M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

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Price Target

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