US Stock MarketDetailed Quotes

CELH Celsius Holdings

Watchlist
  • 28.370
  • +0.770+2.79%
Close Nov 27 16:00 ET
  • 28.450
  • +0.080+0.28%
Post 20:01 ET
6.67BMarket Cap39.40P/E (TTM)

Celsius Holdings 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
18.91%903.75M
32.62%903.21M
47.70%879.5M
23.09%755.98M
23.09%755.98M
28.35%760.02M
1,034.50%681.05M
2,232.27%595.48M
3,678.28%614.16M
3,678.28%614.16M
-Cash and cash equivalents
18.91%903.75M
32.62%903.21M
47.70%879.5M
23.09%755.98M
23.09%755.98M
28.35%760.02M
1,034.50%681.05M
2,232.27%595.48M
3,678.28%614.16M
3,678.28%614.16M
Receivables
-4.00%209.8M
31.30%264.09M
15.24%202.38M
180.62%186.02M
180.62%186.02M
82.29%218.55M
190.40%201.13M
123.60%175.62M
60.40%66.29M
60.40%66.29M
-Accounts receivable
-3.01%208.77M
32.91%262.92M
16.33%200.12M
190.16%183.7M
190.16%183.7M
83.96%215.24M
198.83%197.81M
136.61%172.03M
63.42%63.31M
63.42%63.31M
-Notes receivable
-69.02%1.03M
-64.91%1.17M
-37.02%2.26M
-22.19%2.32M
-22.19%2.32M
14.58%3.31M
8.38%3.32M
-38.51%3.59M
15.11%2.98M
15.11%2.98M
Inventory
-0.57%197.57M
18.44%180.67M
28.02%197.5M
32.31%229.28M
32.31%229.28M
29.08%198.7M
-5.92%152.55M
-16.19%154.28M
-9.38%173.29M
-9.38%173.29M
Restricted cash
----
----
----
--0
--0
--0
--0
--38.11M
--38.77M
--38.77M
Current deferred assets
0.00%14.12M
0.00%14.12M
0.00%14.12M
0.00%14.12M
0.00%14.12M
0.00%14.12M
--14.12M
--14.12M
--14.12M
--14.12M
Other current assets
60.98%38.23M
-2.13%22.9M
38.80%21.52M
71.97%19.5M
71.97%19.5M
96.32%23.75M
90.26%23.4M
54.42%15.51M
-16.33%11.34M
-16.33%11.34M
Total current assets
12.21%1.36B
29.17%1.38B
32.41%1.32B
31.26%1.2B
31.26%1.2B
18.32%1.22B
253.03%1.07B
233.03%993.11M
249.89%917.97M
249.89%917.97M
Non current assets
Net PPE
97.17%44.09M
126.07%38.02M
129.97%30.3M
137.86%27.03M
137.86%27.03M
214.54%22.36M
168.29%16.82M
160.24%13.18M
158.65%11.37M
158.65%11.37M
-Gross PPE
103.68%53M
127.07%44.89M
129.53%35.93M
135.63%31.68M
135.63%31.68M
188.40%26.02M
153.05%19.77M
146.64%15.65M
146.22%13.45M
146.22%13.45M
-Accumulated depreciation
-143.44%-8.91M
-132.79%-6.87M
-127.18%-5.63M
-123.45%-4.65M
-123.45%-4.65M
-91.22%-3.66M
-91.19%-2.95M
-92.99%-2.48M
-95.03%-2.08M
-95.03%-2.08M
Goodwill and other intangible assets
3.46%26.24M
-3.55%25.22M
-2.66%25.61M
1.46%26.31M
1.46%26.31M
6.45%25.36M
-6.65%26.15M
-12.53%26.31M
-15.88%25.93M
-15.88%25.93M
-Goodwill
5.68%14.36M
-1.49%13.73M
-0.60%13.87M
3.61%14.17M
3.61%14.17M
8.69%13.59M
4.61%13.94M
-2.03%13.95M
-5.84%13.68M
-5.84%13.68M
-Other intangible assets
0.89%11.88M
-5.90%11.49M
-5.00%11.74M
-0.94%12.14M
-0.94%12.14M
3.97%11.77M
-16.87%12.21M
-21.97%12.36M
-24.83%12.25M
-24.83%12.25M
Long-term notes receivables
----
----
----
--0
--0
--0
--0
--0
-49.78%3.57M
-49.78%3.57M
Non current deferred assets
-7.28%261.93M
-6.97%264M
3.02%267.24M
5.66%277.86M
5.66%277.86M
6.20%282.48M
3,592.08%283.77M
3,955.86%259.41M
2,815.66%262.96M
2,815.66%262.96M
Other non current assets
3,143.02%8.59M
2,519.29%6.65M
2,927.76%7.96M
10.65%291K
10.65%291K
9.50%265K
-3.79%254K
--263K
-12.04%263K
-12.04%263K
Total non current assets
3.14%340.85M
2.11%333.9M
10.68%331.12M
9.01%331.49M
9.01%331.49M
9.92%330.47M
612.25%326.99M
554.39%299.16M
488.69%304.1M
488.69%304.1M
Total assets
10.27%1.7B
22.84%1.72B
27.38%1.65B
25.72%1.54B
25.72%1.54B
16.42%1.55B
300.20%1.4B
275.74%1.29B
289.17%1.22B
289.17%1.22B
Liabilities
Current liabilities
Payables
-47.12%46.18M
-35.65%54.97M
87.23%100.92M
29.87%94.09M
29.87%94.09M
85.11%87.32M
238.53%85.43M
6.64%53.9M
102.25%72.45M
102.25%72.45M
-accounts payable
9.92%30.94M
82.12%47.42M
143.08%40.2M
18.19%42.84M
18.19%42.84M
2.00%28.15M
3.19%26.04M
-67.28%16.54M
1.19%36.25M
1.19%36.25M
-Total tax payable
-95.37%2.74M
-87.29%7.55M
18,874.69%60.72M
3,584.18%51.25M
3,584.18%51.25M
22,063.67%59.18M
--59.39M
--320K
--1.39M
--1.39M
-Due to related parties current
----
----
----
--0
--0
----
--0
--37.04M
--34.81M
--34.81M
-Other payable
--12.5M
----
----
----
----
----
----
----
----
----
Current accrued expenses
20.14%217.02M
47.70%217.59M
65.60%177.93M
126.05%150.06M
126.05%150.06M
9.35%180.64M
278.90%147.32M
325.01%107.45M
32.18%66.38M
32.18%66.38M
Current debt and capital lease obligation
110.85%1.46M
38.11%790K
30.86%882K
42.13%1.04M
42.13%1.04M
-8.84%691K
-12.94%572K
-5.07%674K
9.27%731K
9.27%731K
-Current capital lease obligation
110.85%1.46M
38.11%790K
30.86%882K
42.13%1.04M
42.13%1.04M
-8.84%691K
-12.94%572K
-5.07%674K
9.27%731K
9.27%731K
Current deferred liabilities
-58.32%24.32M
-4.59%28.04M
-1.13%24.66M
16.44%21.36M
16.44%21.36M
389.62%58.36M
1,579.14%29.39M
1,004.38%24.94M
237.32%18.35M
237.32%18.35M
Other current liabilities
-94.37%479K
77.97%11.6M
128.05%10.89M
197.14%10.07M
197.14%10.07M
183.47%8.5M
136.07%6.52M
175.32%4.77M
247.13%3.39M
247.13%3.39M
Current liabilities
-13.73%289.46M
16.25%312.98M
64.43%315.27M
71.50%276.61M
71.50%276.61M
23.67%335.52M
154.38%269.23M
71.57%191.73M
73.20%161.3M
73.20%161.3M
Non current liabilities
Long term debt and capital lease obligation
577.28%4.38M
150.00%990K
122.56%1.1M
135.25%1.15M
135.25%1.15M
2.86%647K
-29.03%396K
-33.06%492K
-30.58%488K
-30.58%488K
-Long term capital lease obligation
577.28%4.38M
150.00%990K
122.56%1.1M
135.25%1.15M
135.25%1.15M
2.86%647K
-29.03%396K
-33.06%492K
-30.58%488K
-30.58%488K
Non current deferred liabilities
-5.39%162.37M
-5.40%164.67M
-14.10%167.1M
-13.08%170.11M
-13.08%170.11M
-0.10%171.62M
5,931.81%174.08M
6,207.56%194.53M
6,120.82%195.71M
6,120.82%195.71M
Total non current liabilities
-3.20%166.75M
-5.05%165.66M
-13.76%168.19M
-12.71%171.26M
-12.71%171.26M
-0.09%172.27M
4,338.41%174.47M
5,006.49%195.02M
4,997.30%196.2M
4,997.30%196.2M
Total liabilities
-10.16%456.21M
7.88%478.65M
25.01%483.46M
25.28%447.87M
25.28%447.87M
14.44%507.78M
304.23%443.7M
234.64%386.75M
268.65%357.49M
268.65%357.49M
Shareholders'equity
Share capital
0.00%824.57M
0.00%824.57M
0.00%824.57M
0.00%824.57M
0.00%824.57M
0.00%824.57M
1,084,853.95%824.57M
1,099,320.00%824.57M
1,099,318.67%824.56M
1,099,318.67%824.56M
-common stock
2.60%79K
1.30%78K
1.30%78K
1.32%77K
1.32%77K
1.32%77K
1.32%77K
2.67%77K
1.33%76K
1.33%76K
-Preferred stock
0.00%824.49M
0.00%824.49M
0.00%824.49M
0.00%824.49M
0.00%824.49M
0.00%824.49M
--824.49M
--824.49M
--824.49M
--824.49M
Retained earnings
311.21%131.31M
190.25%131.87M
129.81%58.92M
94.95%-12.05M
94.95%-12.05M
71.42%-62.17M
-309.83%-146.12M
-341.02%-197.63M
-363.72%-238.77M
-363.72%-238.77M
Paid-in capital
5.25%292.58M
2.58%286.17M
0.49%281.25M
-1.41%276.72M
-1.41%276.72M
-1.12%277.98M
0.49%278.98M
2.53%279.87M
4.79%280.67M
4.79%280.67M
Gains losses not affecting retained earnings
86.70%-338K
-25.89%-2.36M
-59.67%-2.06M
62.73%-701K
62.73%-701K
39.66%-2.54M
13.62%-1.88M
-1,146.34%-1.29M
-406.35%-1.88M
-406.35%-1.88M
Total stockholders'equity
20.26%1.25B
29.79%1.24B
28.40%1.16B
25.90%1.09B
25.90%1.09B
17.41%1.04B
298.36%955.55M
296.54%905.52M
298.34%864.58M
298.34%864.58M
Total equity
20.26%1.25B
29.79%1.24B
28.40%1.16B
25.90%1.09B
25.90%1.09B
17.41%1.04B
298.36%955.55M
296.54%905.52M
298.34%864.58M
298.34%864.58M
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
--
(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 18.91%903.75M32.62%903.21M47.70%879.5M23.09%755.98M23.09%755.98M28.35%760.02M1,034.50%681.05M2,232.27%595.48M3,678.28%614.16M3,678.28%614.16M
-Cash and cash equivalents 18.91%903.75M32.62%903.21M47.70%879.5M23.09%755.98M23.09%755.98M28.35%760.02M1,034.50%681.05M2,232.27%595.48M3,678.28%614.16M3,678.28%614.16M
Receivables -4.00%209.8M31.30%264.09M15.24%202.38M180.62%186.02M180.62%186.02M82.29%218.55M190.40%201.13M123.60%175.62M60.40%66.29M60.40%66.29M
-Accounts receivable -3.01%208.77M32.91%262.92M16.33%200.12M190.16%183.7M190.16%183.7M83.96%215.24M198.83%197.81M136.61%172.03M63.42%63.31M63.42%63.31M
-Notes receivable -69.02%1.03M-64.91%1.17M-37.02%2.26M-22.19%2.32M-22.19%2.32M14.58%3.31M8.38%3.32M-38.51%3.59M15.11%2.98M15.11%2.98M
Inventory -0.57%197.57M18.44%180.67M28.02%197.5M32.31%229.28M32.31%229.28M29.08%198.7M-5.92%152.55M-16.19%154.28M-9.38%173.29M-9.38%173.29M
Restricted cash --------------0--0--0--0--38.11M--38.77M--38.77M
Current deferred assets 0.00%14.12M0.00%14.12M0.00%14.12M0.00%14.12M0.00%14.12M0.00%14.12M--14.12M--14.12M--14.12M--14.12M
Other current assets 60.98%38.23M-2.13%22.9M38.80%21.52M71.97%19.5M71.97%19.5M96.32%23.75M90.26%23.4M54.42%15.51M-16.33%11.34M-16.33%11.34M
Total current assets 12.21%1.36B29.17%1.38B32.41%1.32B31.26%1.2B31.26%1.2B18.32%1.22B253.03%1.07B233.03%993.11M249.89%917.97M249.89%917.97M
Non current assets
Net PPE 97.17%44.09M126.07%38.02M129.97%30.3M137.86%27.03M137.86%27.03M214.54%22.36M168.29%16.82M160.24%13.18M158.65%11.37M158.65%11.37M
-Gross PPE 103.68%53M127.07%44.89M129.53%35.93M135.63%31.68M135.63%31.68M188.40%26.02M153.05%19.77M146.64%15.65M146.22%13.45M146.22%13.45M
-Accumulated depreciation -143.44%-8.91M-132.79%-6.87M-127.18%-5.63M-123.45%-4.65M-123.45%-4.65M-91.22%-3.66M-91.19%-2.95M-92.99%-2.48M-95.03%-2.08M-95.03%-2.08M
Goodwill and other intangible assets 3.46%26.24M-3.55%25.22M-2.66%25.61M1.46%26.31M1.46%26.31M6.45%25.36M-6.65%26.15M-12.53%26.31M-15.88%25.93M-15.88%25.93M
-Goodwill 5.68%14.36M-1.49%13.73M-0.60%13.87M3.61%14.17M3.61%14.17M8.69%13.59M4.61%13.94M-2.03%13.95M-5.84%13.68M-5.84%13.68M
-Other intangible assets 0.89%11.88M-5.90%11.49M-5.00%11.74M-0.94%12.14M-0.94%12.14M3.97%11.77M-16.87%12.21M-21.97%12.36M-24.83%12.25M-24.83%12.25M
Long-term notes receivables --------------0--0--0--0--0-49.78%3.57M-49.78%3.57M
Non current deferred assets -7.28%261.93M-6.97%264M3.02%267.24M5.66%277.86M5.66%277.86M6.20%282.48M3,592.08%283.77M3,955.86%259.41M2,815.66%262.96M2,815.66%262.96M
Other non current assets 3,143.02%8.59M2,519.29%6.65M2,927.76%7.96M10.65%291K10.65%291K9.50%265K-3.79%254K--263K-12.04%263K-12.04%263K
Total non current assets 3.14%340.85M2.11%333.9M10.68%331.12M9.01%331.49M9.01%331.49M9.92%330.47M612.25%326.99M554.39%299.16M488.69%304.1M488.69%304.1M
Total assets 10.27%1.7B22.84%1.72B27.38%1.65B25.72%1.54B25.72%1.54B16.42%1.55B300.20%1.4B275.74%1.29B289.17%1.22B289.17%1.22B
Liabilities
Current liabilities
Payables -47.12%46.18M-35.65%54.97M87.23%100.92M29.87%94.09M29.87%94.09M85.11%87.32M238.53%85.43M6.64%53.9M102.25%72.45M102.25%72.45M
-accounts payable 9.92%30.94M82.12%47.42M143.08%40.2M18.19%42.84M18.19%42.84M2.00%28.15M3.19%26.04M-67.28%16.54M1.19%36.25M1.19%36.25M
-Total tax payable -95.37%2.74M-87.29%7.55M18,874.69%60.72M3,584.18%51.25M3,584.18%51.25M22,063.67%59.18M--59.39M--320K--1.39M--1.39M
-Due to related parties current --------------0--0------0--37.04M--34.81M--34.81M
-Other payable --12.5M------------------------------------
Current accrued expenses 20.14%217.02M47.70%217.59M65.60%177.93M126.05%150.06M126.05%150.06M9.35%180.64M278.90%147.32M325.01%107.45M32.18%66.38M32.18%66.38M
Current debt and capital lease obligation 110.85%1.46M38.11%790K30.86%882K42.13%1.04M42.13%1.04M-8.84%691K-12.94%572K-5.07%674K9.27%731K9.27%731K
-Current capital lease obligation 110.85%1.46M38.11%790K30.86%882K42.13%1.04M42.13%1.04M-8.84%691K-12.94%572K-5.07%674K9.27%731K9.27%731K
Current deferred liabilities -58.32%24.32M-4.59%28.04M-1.13%24.66M16.44%21.36M16.44%21.36M389.62%58.36M1,579.14%29.39M1,004.38%24.94M237.32%18.35M237.32%18.35M
Other current liabilities -94.37%479K77.97%11.6M128.05%10.89M197.14%10.07M197.14%10.07M183.47%8.5M136.07%6.52M175.32%4.77M247.13%3.39M247.13%3.39M
Current liabilities -13.73%289.46M16.25%312.98M64.43%315.27M71.50%276.61M71.50%276.61M23.67%335.52M154.38%269.23M71.57%191.73M73.20%161.3M73.20%161.3M
Non current liabilities
Long term debt and capital lease obligation 577.28%4.38M150.00%990K122.56%1.1M135.25%1.15M135.25%1.15M2.86%647K-29.03%396K-33.06%492K-30.58%488K-30.58%488K
-Long term capital lease obligation 577.28%4.38M150.00%990K122.56%1.1M135.25%1.15M135.25%1.15M2.86%647K-29.03%396K-33.06%492K-30.58%488K-30.58%488K
Non current deferred liabilities -5.39%162.37M-5.40%164.67M-14.10%167.1M-13.08%170.11M-13.08%170.11M-0.10%171.62M5,931.81%174.08M6,207.56%194.53M6,120.82%195.71M6,120.82%195.71M
Total non current liabilities -3.20%166.75M-5.05%165.66M-13.76%168.19M-12.71%171.26M-12.71%171.26M-0.09%172.27M4,338.41%174.47M5,006.49%195.02M4,997.30%196.2M4,997.30%196.2M
Total liabilities -10.16%456.21M7.88%478.65M25.01%483.46M25.28%447.87M25.28%447.87M14.44%507.78M304.23%443.7M234.64%386.75M268.65%357.49M268.65%357.49M
Shareholders'equity
Share capital 0.00%824.57M0.00%824.57M0.00%824.57M0.00%824.57M0.00%824.57M0.00%824.57M1,084,853.95%824.57M1,099,320.00%824.57M1,099,318.67%824.56M1,099,318.67%824.56M
-common stock 2.60%79K1.30%78K1.30%78K1.32%77K1.32%77K1.32%77K1.32%77K2.67%77K1.33%76K1.33%76K
-Preferred stock 0.00%824.49M0.00%824.49M0.00%824.49M0.00%824.49M0.00%824.49M0.00%824.49M--824.49M--824.49M--824.49M--824.49M
Retained earnings 311.21%131.31M190.25%131.87M129.81%58.92M94.95%-12.05M94.95%-12.05M71.42%-62.17M-309.83%-146.12M-341.02%-197.63M-363.72%-238.77M-363.72%-238.77M
Paid-in capital 5.25%292.58M2.58%286.17M0.49%281.25M-1.41%276.72M-1.41%276.72M-1.12%277.98M0.49%278.98M2.53%279.87M4.79%280.67M4.79%280.67M
Gains losses not affecting retained earnings 86.70%-338K-25.89%-2.36M-59.67%-2.06M62.73%-701K62.73%-701K39.66%-2.54M13.62%-1.88M-1,146.34%-1.29M-406.35%-1.88M-406.35%-1.88M
Total stockholders'equity 20.26%1.25B29.79%1.24B28.40%1.16B25.90%1.09B25.90%1.09B17.41%1.04B298.36%955.55M296.54%905.52M298.34%864.58M298.34%864.58M
Total equity 20.26%1.25B29.79%1.24B28.40%1.16B25.90%1.09B25.90%1.09B17.41%1.04B298.36%955.55M296.54%905.52M298.34%864.58M298.34%864.58M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion--

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