US Stock MarketDetailed Quotes

CBRGU Chain Bridge I

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  • 11.150
  • 0.0000.00%
Close Aug 2 16:00 ET
0Market Cap0.00P/E (TTM)

Chain Bridge I Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-97.96%5.12K
-96.65%3.9K
-96.65%3.9K
-28.84%33.23K
-87.97%36.55K
-57.36%250.2K
-84.29%116.32K
-84.29%116.32K
1,094.17%46.69K
7,491.80%303.67K
-Cash and cash equivalents
-97.96%5.12K
-96.65%3.9K
-96.65%3.9K
-28.84%33.23K
-87.97%36.55K
-57.36%250.2K
-84.29%116.32K
-84.29%116.32K
1,094.17%46.69K
7,491.80%303.67K
Prepaid assets
-84.01%45.83K
-99.02%3.15K
-99.02%3.15K
-86.18%76.47K
-65.66%190.74K
-58.36%286.67K
-60.99%322.29K
-60.99%322.29K
--553.4K
--555.51K
Total current assets
-90.51%50.95K
-98.39%7.05K
-98.39%7.05K
-81.72%109.69K
-73.55%227.29K
-57.90%536.87K
-72.01%438.61K
-72.01%438.61K
15,247.52%600.09K
21,379.65%859.19K
Non current assets
Other non current assets
-95.34%11.19M
-80.93%45.36M
-80.93%45.36M
-81.02%44.77M
-81.19%44.19M
2.43%240.41M
1.35%237.8M
1.35%237.8M
--235.89M
--234.98M
Total non current assets
-95.34%11.19M
-80.93%45.36M
-80.93%45.36M
-81.02%44.77M
-81.19%44.19M
2.43%240.41M
1.35%237.8M
1.35%237.8M
37,558.17%235.89M
42,311.65%234.98M
Total assets
-95.33%11.24M
-80.96%45.36M
-80.96%45.36M
-81.02%44.88M
-81.17%44.42M
2.11%240.95M
0.87%238.23M
0.87%238.23M
37,419.77%236.49M
42,161.62%235.84M
Liabilities
Current liabilities
Payables
313.38%267.33K
-66.50%9.07K
-66.50%9.07K
9,611.42%130.91K
30,738.25%194.28K
-8.80%64.67K
--27.06K
--27.06K
-99.65%1.35K
-99.88%630
-accounts payable
313.38%267.33K
-66.50%9.07K
-66.50%9.07K
9,611.42%130.91K
--194.28K
-8.80%64.67K
--27.06K
--27.06K
-99.65%1.35K
----
-Due to related parties current
----
----
----
----
----
----
----
----
----
-99.53%630
Current accrued expenses
--234.81K
993.87%59.43K
993.87%59.43K
-57.70%31.73K
-67.86%25.71K
--0
-95.33%5.43K
-95.33%5.43K
13.64%75K
158.06%80K
Current liabilities
676.48%502.13K
110.83%68.5K
110.83%68.5K
113.02%162.64K
172.84%219.99K
-69.29%64.67K
-72.07%32.49K
-72.07%32.49K
-88.67%76.35K
-85.73%80.63K
Non current liabilities
Long term debt and capital lease obligation
-91.42%150.32K
----
----
106.84%2.11M
89.07%1.91M
65.68%1.75M
35.88%1.43M
35.88%1.43M
--1.02M
--1.01M
-Long term debt
-91.42%150.32K
----
----
106.84%2.11M
89.07%1.91M
65.68%1.75M
35.88%1.43M
35.88%1.43M
--1.02M
--1.01M
Non current deferred liabilities
----
--0
--0
0.00%267.42K
0.00%267.42K
0.00%267.42K
0.00%267.42K
0.00%267.42K
--267.42K
--267.42K
Derivative product liabilities
-44.70%1.16M
-95.35%118.33K
-95.35%118.33K
-40.47%2.1M
-76.80%1.3M
-75.94%2.1M
-77.85%2.55M
-77.85%2.55M
--3.52M
--5.62M
Total non current liabilities
-68.18%1.31M
-97.21%118.33K
-97.21%118.33K
-6.97%4.47M
-49.51%3.49M
-59.00%4.12M
-66.88%4.25M
-66.88%4.25M
--4.81M
--6.9M
Total liabilities
-56.66%1.81M
-95.63%186.82K
-95.63%186.82K
-5.09%4.63M
-46.94%3.71M
-59.21%4.18M
-66.93%4.28M
-66.93%4.28M
624.42%4.88M
1,135.98%6.98M
Shareholders'equity
Share capital
-95.38%11.09M
-80.96%45.26M
-80.96%45.26M
-81.06%44.67M
-81.23%44.09M
2.43%240.31M
1.32%237.7M
1.32%237.7M
41,006,436.70%235.79M
40,849,297.74%234.88M
-common stock
-95.38%11.09M
-80.96%45.26M
-80.96%45.26M
-81.06%44.67M
-81.23%44.09M
2.43%240.31M
1.32%237.7M
1.32%237.7M
41,006,436.70%235.79M
40,849,297.74%234.88M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
38.47%-2.18M
74.77%-943.68K
74.77%-943.68K
-5.78%-4.43M
43.92%-3.38M
60.07%-3.55M
67.05%-3.74M
67.05%-3.74M
-5,977.47%-4.18M
-18,777.09%-6.02M
Paid-in capital
--519.81K
--863.33K
--863.33K
--0
--0
--0
--0
--0
--0
--0
Total stockholders'equity
-96.02%9.43M
-80.69%45.18M
-80.69%45.18M
-82.62%40.24M
-82.21%40.72M
4.89%236.76M
4.80%233.96M
4.80%233.96M
528,308.15%231.6M
3,310,671.26%228.86M
Total equity
-96.02%9.43M
-80.69%45.18M
-80.69%45.18M
-82.62%40.24M
-82.21%40.72M
4.89%236.76M
4.80%233.96M
4.80%233.96M
528,308.15%231.6M
3,310,671.26%228.86M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
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Unqualified Opinion
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(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(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -97.96%5.12K-96.65%3.9K-96.65%3.9K-28.84%33.23K-87.97%36.55K-57.36%250.2K-84.29%116.32K-84.29%116.32K1,094.17%46.69K7,491.80%303.67K
-Cash and cash equivalents -97.96%5.12K-96.65%3.9K-96.65%3.9K-28.84%33.23K-87.97%36.55K-57.36%250.2K-84.29%116.32K-84.29%116.32K1,094.17%46.69K7,491.80%303.67K
Prepaid assets -84.01%45.83K-99.02%3.15K-99.02%3.15K-86.18%76.47K-65.66%190.74K-58.36%286.67K-60.99%322.29K-60.99%322.29K--553.4K--555.51K
Total current assets -90.51%50.95K-98.39%7.05K-98.39%7.05K-81.72%109.69K-73.55%227.29K-57.90%536.87K-72.01%438.61K-72.01%438.61K15,247.52%600.09K21,379.65%859.19K
Non current assets
Other non current assets -95.34%11.19M-80.93%45.36M-80.93%45.36M-81.02%44.77M-81.19%44.19M2.43%240.41M1.35%237.8M1.35%237.8M--235.89M--234.98M
Total non current assets -95.34%11.19M-80.93%45.36M-80.93%45.36M-81.02%44.77M-81.19%44.19M2.43%240.41M1.35%237.8M1.35%237.8M37,558.17%235.89M42,311.65%234.98M
Total assets -95.33%11.24M-80.96%45.36M-80.96%45.36M-81.02%44.88M-81.17%44.42M2.11%240.95M0.87%238.23M0.87%238.23M37,419.77%236.49M42,161.62%235.84M
Liabilities
Current liabilities
Payables 313.38%267.33K-66.50%9.07K-66.50%9.07K9,611.42%130.91K30,738.25%194.28K-8.80%64.67K--27.06K--27.06K-99.65%1.35K-99.88%630
-accounts payable 313.38%267.33K-66.50%9.07K-66.50%9.07K9,611.42%130.91K--194.28K-8.80%64.67K--27.06K--27.06K-99.65%1.35K----
-Due to related parties current -------------------------------------99.53%630
Current accrued expenses --234.81K993.87%59.43K993.87%59.43K-57.70%31.73K-67.86%25.71K--0-95.33%5.43K-95.33%5.43K13.64%75K158.06%80K
Current liabilities 676.48%502.13K110.83%68.5K110.83%68.5K113.02%162.64K172.84%219.99K-69.29%64.67K-72.07%32.49K-72.07%32.49K-88.67%76.35K-85.73%80.63K
Non current liabilities
Long term debt and capital lease obligation -91.42%150.32K--------106.84%2.11M89.07%1.91M65.68%1.75M35.88%1.43M35.88%1.43M--1.02M--1.01M
-Long term debt -91.42%150.32K--------106.84%2.11M89.07%1.91M65.68%1.75M35.88%1.43M35.88%1.43M--1.02M--1.01M
Non current deferred liabilities ------0--00.00%267.42K0.00%267.42K0.00%267.42K0.00%267.42K0.00%267.42K--267.42K--267.42K
Derivative product liabilities -44.70%1.16M-95.35%118.33K-95.35%118.33K-40.47%2.1M-76.80%1.3M-75.94%2.1M-77.85%2.55M-77.85%2.55M--3.52M--5.62M
Total non current liabilities -68.18%1.31M-97.21%118.33K-97.21%118.33K-6.97%4.47M-49.51%3.49M-59.00%4.12M-66.88%4.25M-66.88%4.25M--4.81M--6.9M
Total liabilities -56.66%1.81M-95.63%186.82K-95.63%186.82K-5.09%4.63M-46.94%3.71M-59.21%4.18M-66.93%4.28M-66.93%4.28M624.42%4.88M1,135.98%6.98M
Shareholders'equity
Share capital -95.38%11.09M-80.96%45.26M-80.96%45.26M-81.06%44.67M-81.23%44.09M2.43%240.31M1.32%237.7M1.32%237.7M41,006,436.70%235.79M40,849,297.74%234.88M
-common stock -95.38%11.09M-80.96%45.26M-80.96%45.26M-81.06%44.67M-81.23%44.09M2.43%240.31M1.32%237.7M1.32%237.7M41,006,436.70%235.79M40,849,297.74%234.88M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 38.47%-2.18M74.77%-943.68K74.77%-943.68K-5.78%-4.43M43.92%-3.38M60.07%-3.55M67.05%-3.74M67.05%-3.74M-5,977.47%-4.18M-18,777.09%-6.02M
Paid-in capital --519.81K--863.33K--863.33K--0--0--0--0--0--0--0
Total stockholders'equity -96.02%9.43M-80.69%45.18M-80.69%45.18M-82.62%40.24M-82.21%40.72M4.89%236.76M4.80%233.96M4.80%233.96M528,308.15%231.6M3,310,671.26%228.86M
Total equity -96.02%9.43M-80.69%45.18M-80.69%45.18M-82.62%40.24M-82.21%40.72M4.89%236.76M4.80%233.96M4.80%233.96M528,308.15%231.6M3,310,671.26%228.86M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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