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EDBL Edible Garden

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  • 0.465
  • -0.045-8.80%
Close Sep 26 16:00 ET
  • 0.490
  • +0.025+5.33%
Post 17:06 ET
1.47MMarket Cap-14P/E (TTM)

Edible Garden 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
59.94%2.19M
-90.17%388K
363.64%510K
363.64%510K
30.53%2.58M
-76.02%1.37M
21,833.33%3.95M
254.84%110K
254.84%110K
--1.98M
-Cash and cash equivalents
59.94%2.19M
-90.17%388K
363.64%510K
363.64%510K
30.53%2.58M
-76.02%1.37M
21,833.33%3.95M
254.84%110K
254.84%110K
--1.98M
Receivables
15.27%3.08M
27.98%1.14M
13.03%1.25M
13.03%1.25M
106.72%1.69M
238.23%2.67M
1.25%890K
44.07%1.11M
44.07%1.11M
--818K
-Accounts receivable
114.04%3.08M
27.98%1.14M
13.03%1.25M
13.03%1.25M
61.74%1.32M
82.15%1.44M
1.25%890K
44.07%1.11M
44.07%1.11M
--818K
-Other receivables
----
----
----
----
--368K
--1.23M
----
----
----
----
Inventory
84.85%891K
-20.35%814K
15.70%678K
15.70%678K
22.27%549K
22.34%482K
156.14%1.02M
62.78%586K
62.78%586K
--449K
Other current assets
-17.51%146K
73.58%276K
238.71%210K
238.71%210K
134.42%361K
59.46%177K
3,080.00%159K
87.88%62K
87.88%62K
--154K
Total current assets
34.18%6.31M
-56.52%2.62M
42.08%2.65M
42.08%2.65M
52.50%5.18M
-32.86%4.7M
362.64%6.02M
56.42%1.86M
56.42%1.86M
--3.4M
Non current assets
Net PPE
-29.01%3.5M
-28.07%3.65M
-20.40%3.89M
-20.40%3.89M
-6.51%4.75M
122.03%4.93M
111.30%5.07M
90.09%4.89M
90.09%4.89M
--5.08M
-Gross PPE
-31.21%5.41M
-30.58%5.29M
-26.30%5.24M
-26.30%5.24M
16.16%8.07M
103.02%7.86M
97.77%7.63M
85.41%7.11M
85.41%7.11M
--6.94M
-Accumulated depreciation
34.90%-1.91M
35.55%-1.65M
39.27%-1.35M
39.27%-1.35M
-78.08%-3.31M
-77.45%-2.93M
-75.50%-2.56M
-75.87%-2.22M
-75.87%-2.22M
---1.86M
Goodwill and other intangible assets
-6.25%45K
-6.12%46K
-6.00%47K
-6.00%47K
--47K
--48K
--49K
--50K
--50K
----
-Other intangible assets
-6.25%45K
-6.12%46K
-6.00%47K
-6.00%47K
--47K
--48K
--49K
--50K
--50K
----
Other non current assets
-70.94%34K
-72.66%38K
-57.14%69K
-57.14%69K
-44.97%93K
-41.21%117K
-33.17%139K
-28.76%161K
-28.76%161K
--169K
Total non current assets
-29.76%3.58M
-29.05%3.73M
-21.42%4.01M
-21.42%4.01M
-6.85%4.89M
110.58%5.09M
101.65%5.26M
82.28%5.1M
82.28%5.1M
--5.25M
Total assets
0.92%9.88M
-43.71%6.35M
-4.44%6.66M
-4.44%6.66M
16.45%10.07M
3.98%9.79M
188.54%11.28M
74.56%6.97M
74.56%6.97M
--8.65M
Liabilities
Current liabilities
Payables
64.95%1.64M
88.22%3.31M
-28.65%1.23M
-28.65%1.23M
-1.96%1.1M
-32.22%993K
-35.38%1.76M
-23.88%1.73M
-23.88%1.73M
--1.12M
-accounts payable
64.95%1.64M
88.22%3.31M
-28.65%1.23M
-28.65%1.23M
-1.96%1.1M
-32.22%993K
-35.38%1.76M
-23.88%1.73M
-23.88%1.73M
--1.12M
Current accrued expenses
119.50%698K
-39.06%195K
-66.63%305K
-66.63%305K
-41.07%297K
10.42%318K
-40.52%320K
85.02%914K
85.02%914K
--504K
Current debt and capital lease obligation
974.78%4.9M
826.46%4.45M
-80.27%421K
-80.27%421K
-84.77%441K
-82.63%456K
-91.61%480K
-50.21%2.13M
-50.21%2.13M
--2.9M
-Current debt
1,210.43%4.9M
1,089.81%4.44M
-81.05%387K
-81.05%387K
-86.40%382K
-85.28%374K
-93.39%373K
-51.48%2.04M
-51.48%2.04M
--2.81M
-Current capital lease obligation
--0
-91.59%9K
-63.04%34K
-63.04%34K
-32.95%59K
-2.38%82K
33.75%107K
19.48%92K
19.48%92K
--88K
Current liabilities
353.21%8.62M
261.90%9.58M
-39.86%2.9M
-39.86%2.9M
-57.18%1.99M
-57.55%1.9M
-70.73%2.65M
-31.88%4.83M
-31.88%4.83M
--4.64M
Non current liabilities
Long term debt and capital lease obligation
-82.23%752K
-80.34%852K
-6.39%4.04M
-6.39%4.04M
-5.81%4.14M
24.85%4.23M
6.36%4.33M
7.68%4.32M
7.68%4.32M
--4.39M
-Long term debt
-82.23%752K
-80.30%852K
-5.65%4.04M
-5.65%4.04M
-4.53%4.14M
27.94%4.23M
8.97%4.32M
10.30%4.28M
10.30%4.28M
--4.33M
-Long term capital lease obligation
--0
----
--0
--0
--0
--0
-91.51%9K
-73.02%34K
-73.02%34K
--59K
Total non current liabilities
-82.23%752K
-80.34%852K
-6.39%4.04M
-6.39%4.04M
-5.81%4.14M
24.85%4.23M
6.36%4.33M
7.68%4.32M
7.68%4.32M
--4.39M
Total liabilities
52.81%9.37M
49.48%10.44M
-24.07%6.94M
-24.07%6.94M
-32.20%6.12M
-22.07%6.13M
-46.79%6.98M
-17.59%9.15M
-17.59%9.15M
--9.03M
Shareholders'equity
Share capital
--1K
--1K
--1K
--1K
0.00%1K
--0
--0
--0
--0
--1K
-common stock
--1K
--1K
--1K
--1K
0.00%1K
--0
--0
--0
--0
--1K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
----
Retained earnings
-53.33%-36.17M
-49.17%-34.24M
-50.76%-30.26M
-50.76%-30.26M
-52.43%-26.02M
-57.25%-23.59M
-124.46%-22.95M
-163.45%-20.07M
-163.45%-20.07M
---17.07M
Paid-in capital
34.61%36.68M
10.65%30.15M
67.51%29.97M
67.51%29.97M
79.57%29.97M
64.67%27.25M
2,592.29%27.25M
3,401.37%17.89M
3,401.37%17.89M
--16.69M
Total stockholders'equity
-86.04%511K
-195.18%-4.09M
86.79%-288K
86.79%-288K
1,139.47%3.95M
136.43%3.66M
146.62%4.3M
69.33%-2.18M
69.33%-2.18M
---380K
Total equity
-86.04%511K
-195.18%-4.09M
86.79%-288K
86.79%-288K
1,139.47%3.95M
136.43%3.66M
146.62%4.3M
69.33%-2.18M
69.33%-2.18M
---380K
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 59.94%2.19M-90.17%388K363.64%510K363.64%510K30.53%2.58M-76.02%1.37M21,833.33%3.95M254.84%110K254.84%110K--1.98M
-Cash and cash equivalents 59.94%2.19M-90.17%388K363.64%510K363.64%510K30.53%2.58M-76.02%1.37M21,833.33%3.95M254.84%110K254.84%110K--1.98M
Receivables 15.27%3.08M27.98%1.14M13.03%1.25M13.03%1.25M106.72%1.69M238.23%2.67M1.25%890K44.07%1.11M44.07%1.11M--818K
-Accounts receivable 114.04%3.08M27.98%1.14M13.03%1.25M13.03%1.25M61.74%1.32M82.15%1.44M1.25%890K44.07%1.11M44.07%1.11M--818K
-Other receivables ------------------368K--1.23M----------------
Inventory 84.85%891K-20.35%814K15.70%678K15.70%678K22.27%549K22.34%482K156.14%1.02M62.78%586K62.78%586K--449K
Other current assets -17.51%146K73.58%276K238.71%210K238.71%210K134.42%361K59.46%177K3,080.00%159K87.88%62K87.88%62K--154K
Total current assets 34.18%6.31M-56.52%2.62M42.08%2.65M42.08%2.65M52.50%5.18M-32.86%4.7M362.64%6.02M56.42%1.86M56.42%1.86M--3.4M
Non current assets
Net PPE -29.01%3.5M-28.07%3.65M-20.40%3.89M-20.40%3.89M-6.51%4.75M122.03%4.93M111.30%5.07M90.09%4.89M90.09%4.89M--5.08M
-Gross PPE -31.21%5.41M-30.58%5.29M-26.30%5.24M-26.30%5.24M16.16%8.07M103.02%7.86M97.77%7.63M85.41%7.11M85.41%7.11M--6.94M
-Accumulated depreciation 34.90%-1.91M35.55%-1.65M39.27%-1.35M39.27%-1.35M-78.08%-3.31M-77.45%-2.93M-75.50%-2.56M-75.87%-2.22M-75.87%-2.22M---1.86M
Goodwill and other intangible assets -6.25%45K-6.12%46K-6.00%47K-6.00%47K--47K--48K--49K--50K--50K----
-Other intangible assets -6.25%45K-6.12%46K-6.00%47K-6.00%47K--47K--48K--49K--50K--50K----
Other non current assets -70.94%34K-72.66%38K-57.14%69K-57.14%69K-44.97%93K-41.21%117K-33.17%139K-28.76%161K-28.76%161K--169K
Total non current assets -29.76%3.58M-29.05%3.73M-21.42%4.01M-21.42%4.01M-6.85%4.89M110.58%5.09M101.65%5.26M82.28%5.1M82.28%5.1M--5.25M
Total assets 0.92%9.88M-43.71%6.35M-4.44%6.66M-4.44%6.66M16.45%10.07M3.98%9.79M188.54%11.28M74.56%6.97M74.56%6.97M--8.65M
Liabilities
Current liabilities
Payables 64.95%1.64M88.22%3.31M-28.65%1.23M-28.65%1.23M-1.96%1.1M-32.22%993K-35.38%1.76M-23.88%1.73M-23.88%1.73M--1.12M
-accounts payable 64.95%1.64M88.22%3.31M-28.65%1.23M-28.65%1.23M-1.96%1.1M-32.22%993K-35.38%1.76M-23.88%1.73M-23.88%1.73M--1.12M
Current accrued expenses 119.50%698K-39.06%195K-66.63%305K-66.63%305K-41.07%297K10.42%318K-40.52%320K85.02%914K85.02%914K--504K
Current debt and capital lease obligation 974.78%4.9M826.46%4.45M-80.27%421K-80.27%421K-84.77%441K-82.63%456K-91.61%480K-50.21%2.13M-50.21%2.13M--2.9M
-Current debt 1,210.43%4.9M1,089.81%4.44M-81.05%387K-81.05%387K-86.40%382K-85.28%374K-93.39%373K-51.48%2.04M-51.48%2.04M--2.81M
-Current capital lease obligation --0-91.59%9K-63.04%34K-63.04%34K-32.95%59K-2.38%82K33.75%107K19.48%92K19.48%92K--88K
Current liabilities 353.21%8.62M261.90%9.58M-39.86%2.9M-39.86%2.9M-57.18%1.99M-57.55%1.9M-70.73%2.65M-31.88%4.83M-31.88%4.83M--4.64M
Non current liabilities
Long term debt and capital lease obligation -82.23%752K-80.34%852K-6.39%4.04M-6.39%4.04M-5.81%4.14M24.85%4.23M6.36%4.33M7.68%4.32M7.68%4.32M--4.39M
-Long term debt -82.23%752K-80.30%852K-5.65%4.04M-5.65%4.04M-4.53%4.14M27.94%4.23M8.97%4.32M10.30%4.28M10.30%4.28M--4.33M
-Long term capital lease obligation --0------0--0--0--0-91.51%9K-73.02%34K-73.02%34K--59K
Total non current liabilities -82.23%752K-80.34%852K-6.39%4.04M-6.39%4.04M-5.81%4.14M24.85%4.23M6.36%4.33M7.68%4.32M7.68%4.32M--4.39M
Total liabilities 52.81%9.37M49.48%10.44M-24.07%6.94M-24.07%6.94M-32.20%6.12M-22.07%6.13M-46.79%6.98M-17.59%9.15M-17.59%9.15M--9.03M
Shareholders'equity
Share capital --1K--1K--1K--1K0.00%1K--0--0--0--0--1K
-common stock --1K--1K--1K--1K0.00%1K--0--0--0--0--1K
-Preferred stock --0--0--0--0--0--0--0--0--0----
Retained earnings -53.33%-36.17M-49.17%-34.24M-50.76%-30.26M-50.76%-30.26M-52.43%-26.02M-57.25%-23.59M-124.46%-22.95M-163.45%-20.07M-163.45%-20.07M---17.07M
Paid-in capital 34.61%36.68M10.65%30.15M67.51%29.97M67.51%29.97M79.57%29.97M64.67%27.25M2,592.29%27.25M3,401.37%17.89M3,401.37%17.89M--16.69M
Total stockholders'equity -86.04%511K-195.18%-4.09M86.79%-288K86.79%-288K1,139.47%3.95M136.43%3.66M146.62%4.3M69.33%-2.18M69.33%-2.18M---380K
Total equity -86.04%511K-195.18%-4.09M86.79%-288K86.79%-288K1,139.47%3.95M136.43%3.66M146.62%4.3M69.33%-2.18M69.33%-2.18M---380K
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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