US Stock MarketDetailed Quotes

CHAAW CATCHA INVESTMENT CORP

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  • 0.038
  • 0.0000.00%
15min DelayClose Jul 9 16:00 ET
0Market Cap0.00P/E (TTM)

CATCHA INVESTMENT CORP 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
-97.45%2.95K
48.99%30.85K
48.99%30.85K
-89.70%7.83K
-76.62%99.7K
-82.85%115.6K
-97.92%20.71K
-97.92%20.71K
-92.73%76K
-62.15%426.46K
-Cash and cash equivalents
-97.45%2.95K
48.99%30.85K
48.99%30.85K
-89.70%7.83K
-76.62%99.7K
-82.85%115.6K
-97.92%20.71K
-97.92%20.71K
-92.73%76K
-62.15%426.46K
Receivables
--750K
--750K
--750K
----
----
----
--0
--0
----
----
-Notes receivable
--750K
--750K
--750K
----
----
----
--0
--0
----
----
Prepaid assets
-89.77%7.98K
-70.00%10.16K
-70.00%10.16K
-74.10%30.46K
-65.54%54.23K
1,182.66%77.97K
-19.26%33.88K
-19.26%33.88K
13.06%117.59K
-7.43%157.36K
Total current assets
1,529.14%3.15M
6,276.53%3.48M
6,276.53%3.48M
-80.22%38.29K
-73.63%153.93K
-71.53%193.57K
-94.74%54.58K
-94.74%54.58K
-83.15%193.6K
-54.98%583.82K
Non current assets
Other non current assets
-22.78%17.97M
-91.85%24.78M
-91.85%24.78M
-91.96%24.27M
-92.09%23.77M
-92.24%23.28M
1.33%304.09M
1.33%304.09M
0.54%301.68M
0.14%300.44M
Total non current assets
-22.78%17.97M
-91.85%24.78M
-91.85%24.78M
-91.96%24.27M
-92.09%23.77M
-92.24%23.28M
1.33%304.09M
1.33%304.09M
0.54%301.68M
0.14%300.44M
Total assets
-9.98%21.13M
-90.71%28.26M
-90.71%28.26M
-91.95%24.31M
-92.05%23.92M
-92.20%23.47M
1.00%304.14M
1.00%304.14M
0.22%301.88M
-0.10%301.03M
Liabilities
Current liabilities
Payables
472.47%7.42M
730.12%6.02M
730.12%6.02M
1,447.80%5.4M
190.19%1.64M
152.00%1.3M
50.98%725.07K
50.98%725.07K
6,057.40%348.94K
9,892.25%566.26K
-accounts payable
526.82%7.14M
863.82%5.78M
863.82%5.78M
1,948.64%5.19M
191.10%1.46M
138.23%1.14M
26.40%599.44K
26.40%599.44K
--253.32K
--500.64K
-Due to related parties current
74.37%271.37K
92.13%241.37K
92.13%241.37K
121.04%211.37K
183.25%185.89K
336.84%155.63K
1,993.75%125.63K
1,993.75%125.63K
1,587.40%95.63K
1,058.02%65.63K
Current debt and capital lease obligation
209.36%4.56M
--4.12M
--4.12M
--2.41M
--1.69M
--1.47M
----
----
----
----
-Current debt
209.36%4.56M
--4.12M
--4.12M
--2.41M
--1.69M
--1.47M
----
----
----
----
Other current liabilities
--2.39M
--2.69M
--2.69M
----
----
----
----
----
----
----
Current liabilities
418.78%14.37M
1,668.94%12.83M
1,668.94%12.83M
2,137.06%7.81M
489.26%3.34M
438.84%2.77M
50.98%725.07K
50.98%725.07K
1,710.14%348.94K
1,087.30%566.26K
Non current liabilities
Non current deferred liabilities
----
--0
--0
--0
0.00%10.5M
0.00%10.5M
0.00%10.5M
0.00%10.5M
0.00%10.5M
0.00%10.5M
Derivative product liabilities
746.36%1.53M
805.87%621.97K
805.87%621.97K
7.14%766.67K
-99.04%16.37K
-95.28%181.17K
-99.23%68.66K
-99.23%68.66K
-92.94%715.56K
-88.83%1.7M
Total non current liabilities
-85.64%1.53M
-94.11%621.97K
-94.11%621.97K
-93.16%766.67K
-13.81%10.52M
-25.52%10.68M
-45.55%10.57M
-45.55%10.57M
-45.66%11.22M
-52.58%12.2M
Total liabilities
18.23%15.9M
19.07%13.45M
19.07%13.45M
-25.87%8.57M
8.50%13.85M
-9.45%13.45M
-43.22%11.29M
-43.22%11.29M
-44.03%11.56M
-50.47%12.77M
Shareholders'equity
Share capital
-22.78%17.97M
-91.85%24.78M
-91.85%24.78M
-91.96%24.27M
-92.09%23.77M
-92.24%23.28M
1.33%304.09M
1.33%304.09M
0.54%301.68M
11.05%300.44M
-common stock
-22.78%17.97M
-91.85%24.78M
-91.85%24.78M
-91.96%24.27M
-92.09%23.77M
-92.24%23.28M
1.33%304.09M
1.33%304.09M
0.54%301.68M
11.05%300.44M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
3.83%-12.75M
11.31%-9.97M
11.31%-9.97M
24.94%-8.54M
-12.44%-13.7M
6.48%-13.26M
40.39%-11.24M
40.39%-11.24M
41.72%-11.37M
-347.24%-12.18M
Paid-in capital
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total stockholders'equity
-47.87%5.22M
-94.94%14.81M
-94.94%14.81M
-94.58%15.73M
-96.51%10.07M
-96.50%10.02M
4.13%292.85M
4.13%292.85M
3.48%290.31M
4.61%288.26M
Total equity
-47.87%5.22M
-94.94%14.81M
-94.94%14.81M
-94.58%15.73M
-96.51%10.07M
-96.50%10.02M
4.13%292.85M
4.13%292.85M
3.48%290.31M
4.61%288.26M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(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 -97.45%2.95K48.99%30.85K48.99%30.85K-89.70%7.83K-76.62%99.7K-82.85%115.6K-97.92%20.71K-97.92%20.71K-92.73%76K-62.15%426.46K
-Cash and cash equivalents -97.45%2.95K48.99%30.85K48.99%30.85K-89.70%7.83K-76.62%99.7K-82.85%115.6K-97.92%20.71K-97.92%20.71K-92.73%76K-62.15%426.46K
Receivables --750K--750K--750K--------------0--0--------
-Notes receivable --750K--750K--750K--------------0--0--------
Prepaid assets -89.77%7.98K-70.00%10.16K-70.00%10.16K-74.10%30.46K-65.54%54.23K1,182.66%77.97K-19.26%33.88K-19.26%33.88K13.06%117.59K-7.43%157.36K
Total current assets 1,529.14%3.15M6,276.53%3.48M6,276.53%3.48M-80.22%38.29K-73.63%153.93K-71.53%193.57K-94.74%54.58K-94.74%54.58K-83.15%193.6K-54.98%583.82K
Non current assets
Other non current assets -22.78%17.97M-91.85%24.78M-91.85%24.78M-91.96%24.27M-92.09%23.77M-92.24%23.28M1.33%304.09M1.33%304.09M0.54%301.68M0.14%300.44M
Total non current assets -22.78%17.97M-91.85%24.78M-91.85%24.78M-91.96%24.27M-92.09%23.77M-92.24%23.28M1.33%304.09M1.33%304.09M0.54%301.68M0.14%300.44M
Total assets -9.98%21.13M-90.71%28.26M-90.71%28.26M-91.95%24.31M-92.05%23.92M-92.20%23.47M1.00%304.14M1.00%304.14M0.22%301.88M-0.10%301.03M
Liabilities
Current liabilities
Payables 472.47%7.42M730.12%6.02M730.12%6.02M1,447.80%5.4M190.19%1.64M152.00%1.3M50.98%725.07K50.98%725.07K6,057.40%348.94K9,892.25%566.26K
-accounts payable 526.82%7.14M863.82%5.78M863.82%5.78M1,948.64%5.19M191.10%1.46M138.23%1.14M26.40%599.44K26.40%599.44K--253.32K--500.64K
-Due to related parties current 74.37%271.37K92.13%241.37K92.13%241.37K121.04%211.37K183.25%185.89K336.84%155.63K1,993.75%125.63K1,993.75%125.63K1,587.40%95.63K1,058.02%65.63K
Current debt and capital lease obligation 209.36%4.56M--4.12M--4.12M--2.41M--1.69M--1.47M----------------
-Current debt 209.36%4.56M--4.12M--4.12M--2.41M--1.69M--1.47M----------------
Other current liabilities --2.39M--2.69M--2.69M----------------------------
Current liabilities 418.78%14.37M1,668.94%12.83M1,668.94%12.83M2,137.06%7.81M489.26%3.34M438.84%2.77M50.98%725.07K50.98%725.07K1,710.14%348.94K1,087.30%566.26K
Non current liabilities
Non current deferred liabilities ------0--0--00.00%10.5M0.00%10.5M0.00%10.5M0.00%10.5M0.00%10.5M0.00%10.5M
Derivative product liabilities 746.36%1.53M805.87%621.97K805.87%621.97K7.14%766.67K-99.04%16.37K-95.28%181.17K-99.23%68.66K-99.23%68.66K-92.94%715.56K-88.83%1.7M
Total non current liabilities -85.64%1.53M-94.11%621.97K-94.11%621.97K-93.16%766.67K-13.81%10.52M-25.52%10.68M-45.55%10.57M-45.55%10.57M-45.66%11.22M-52.58%12.2M
Total liabilities 18.23%15.9M19.07%13.45M19.07%13.45M-25.87%8.57M8.50%13.85M-9.45%13.45M-43.22%11.29M-43.22%11.29M-44.03%11.56M-50.47%12.77M
Shareholders'equity
Share capital -22.78%17.97M-91.85%24.78M-91.85%24.78M-91.96%24.27M-92.09%23.77M-92.24%23.28M1.33%304.09M1.33%304.09M0.54%301.68M11.05%300.44M
-common stock -22.78%17.97M-91.85%24.78M-91.85%24.78M-91.96%24.27M-92.09%23.77M-92.24%23.28M1.33%304.09M1.33%304.09M0.54%301.68M11.05%300.44M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 3.83%-12.75M11.31%-9.97M11.31%-9.97M24.94%-8.54M-12.44%-13.7M6.48%-13.26M40.39%-11.24M40.39%-11.24M41.72%-11.37M-347.24%-12.18M
Paid-in capital --0--0--0--0--0--0--0--0--0--0
Total stockholders'equity -47.87%5.22M-94.94%14.81M-94.94%14.81M-94.58%15.73M-96.51%10.07M-96.50%10.02M4.13%292.85M4.13%292.85M3.48%290.31M4.61%288.26M
Total equity -47.87%5.22M-94.94%14.81M-94.94%14.81M-94.58%15.73M-96.51%10.07M-96.50%10.02M4.13%292.85M4.13%292.85M3.48%290.31M4.61%288.26M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion with Explanatory Notes------

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