CA Stock MarketDetailed Quotes

EDT Spectral Medical Inc

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  • 0.610
  • -0.010-1.61%
15min DelayMarket Closed Oct 18 16:00 ET
171.56MMarket Cap-8714P/E (TTM)

Spectral Medical Inc 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
198.93%7.54M
-57.55%2.07M
-64.92%2.95M
-64.92%2.95M
322.42%5.03M
-27.26%2.52M
-24.51%4.89M
-5.35%8.41M
-5.35%8.41M
-89.10%1.19M
-Cash and cash equivalents
198.93%7.54M
-57.55%2.07M
-64.92%2.95M
-64.92%2.95M
322.42%5.03M
-27.26%2.52M
-24.51%4.89M
-5.35%8.41M
-5.35%8.41M
-89.10%1.19M
-Accounts receivable
-52.56%352K
-56.34%482K
-94.10%51K
-94.10%51K
847.37%720K
642.00%742K
286.01%1.1M
3,223.08%864K
3,223.08%864K
-86.60%76K
-Other receivables
----
----
18.47%340K
18.47%340K
----
----
----
-39.71%287K
-39.71%287K
----
Total current assets
93.74%9.09M
-46.40%3.86M
-59.10%4.13M
-59.10%4.13M
155.67%6.97M
-9.23%4.69M
-14.52%7.19M
-1.72%10.09M
-1.72%10.09M
-78.51%2.73M
Non current assets
-Accumulated depreciation
----
----
-6.37%-3.34M
-6.37%-3.34M
----
----
----
1.01%-3.14M
1.01%-3.14M
----
-Long term equity investment
96.37%12.59M
35.51%8.86M
109.27%8.18M
109.27%8.18M
2,810.53%12.17M
1,347.63%6.41M
1,300.21%6.54M
697.35%3.91M
697.35%3.91M
-18.52%418K
-Goodwill
-6.12%184K
-5.50%189K
-8.53%193K
-8.53%193K
-10.70%192K
-10.50%196K
-10.71%200K
-7.46%211K
-7.46%211K
-7.73%215K
-Other intangible assets
11.26%13.74M
14.17%12.98M
13.27%12.91M
13.27%12.91M
24.63%12.72M
21.64%12.35M
4.85%11.37M
11.36%11.4M
11.36%11.4M
1.15%10.21M
Regulatory assets
-52.56%352K
-56.34%482K
-82.39%186K
-82.39%186K
847.37%720K
642.00%742K
286.01%1.1M
415.12%1.06M
415.12%1.06M
-86.60%76K
Total assets
----
----
-30.77%135K
-30.77%135K
----
----
----
174.65%195K
174.65%195K
----
Liabilities
Current liabilities
Current debt and capital lease obligation
368.37%459K
313.40%401K
120.00%385K
120.00%385K
27.37%121K
4.26%98K
4.30%97K
90.22%175K
90.22%175K
4.40%95K
-Current debt
--334K
--278K
234.18%264K
234.18%264K
----
----
----
--79K
--79K
----
-Current capital lease obligation
27.55%125K
26.80%123K
26.04%121K
26.04%121K
27.37%121K
4.26%98K
4.30%97K
4.35%96K
4.35%96K
4.40%95K
-accounts payable
2.20%2.78M
22.30%2.61M
-3.27%1.6M
-3.27%1.6M
14.84%2.31M
93.19%2.72M
27.84%2.14M
271.62%1.65M
271.62%1.65M
50.94%2.02M
-Total tax payable
77.26%17.88M
37.47%14.27M
45.47%11.52M
45.47%11.52M
241.06%15.68M
110.71%10.09M
108.54%10.38M
53.18%7.92M
53.18%7.92M
-14.24%4.6M
Current accrued expenses
----
----
-23.13%884K
-23.13%884K
----
----
----
91.03%1.15M
91.03%1.15M
----
Current deferred liabilities
-24.79%525K
-25.86%496K
4.45%727K
4.45%727K
7.38%757K
4.49%698K
-9.84%669K
1.02%696K
1.02%696K
-3.29%705K
Current liabilities
327.10%15.03M
270.84%10.76M
54.43%10.24M
54.43%10.24M
13.39%3.19M
62.06%3.52M
15.81%2.9M
187.97%6.63M
187.97%6.63M
30.63%2.82M
Non current liabilities
-Long term debt
16.58%436K
17.88%468K
19.05%500K
19.05%500K
27.99%535K
-15.58%374K
-14.99%397K
-14.29%420K
-14.29%420K
-18.52%418K
Non current accrued expenses
31.41%799K
30.17%850K
27.39%893K
27.39%893K
-12.20%763K
-29.87%608K
-34.50%653K
-34.12%701K
-34.12%701K
-20.49%869K
Long term provisions
101.31%12.16M
36.65%8.39M
120.13%7.68M
120.13%7.68M
--11.63M
--6.04M
--6.14M
--3.49M
--3.49M
----
Total non current liabilities
141.88%32.92M
88.43%25.03M
49.55%21.76M
49.55%21.76M
154.58%18.87M
95.53%13.61M
77.50%13.28M
94.73%14.55M
94.73%14.55M
-1.37%7.41M
Shareholders'equity
Share capital
1.65%88.5M
0.59%87.56M
0.01%87.06M
0.01%87.06M
2.80%87.06M
3.02%87.06M
3.02%87.05M
3.19%87.05M
3.19%87.05M
0.39%84.69M
-common stock
1.65%88.5M
0.59%87.56M
0.01%87.06M
0.01%87.06M
2.80%87.06M
3.02%87.06M
3.02%87.05M
3.19%87.05M
3.19%87.05M
0.39%84.69M
Additional paid-in capital
1.63%8.92M
1.63%8.92M
1.63%8.92M
1.63%8.92M
1.63%8.92M
0.00%8.77M
9.87%8.77M
9.87%8.77M
9.87%8.77M
9.87%8.77M
Other equity interest
-18.39%932K
14.89%980K
----
----
14.29%912K
0.09%1.14M
-24.98%853K
----
----
0.76%798K
Noncontrolling interests
----
--0
--0
--0
--794K
--834K
--913K
--998K
--998K
----
Total equity
59.14%10.08M
-45.37%4.89M
-56.56%5.21M
-56.56%5.21M
128.83%8.72M
1.20%6.33M
-7.03%8.96M
3.82%12M
3.82%12M
-72.81%3.81M
(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 198.93%7.54M-57.55%2.07M-64.92%2.95M-64.92%2.95M322.42%5.03M-27.26%2.52M-24.51%4.89M-5.35%8.41M-5.35%8.41M-89.10%1.19M
-Cash and cash equivalents 198.93%7.54M-57.55%2.07M-64.92%2.95M-64.92%2.95M322.42%5.03M-27.26%2.52M-24.51%4.89M-5.35%8.41M-5.35%8.41M-89.10%1.19M
-Accounts receivable -52.56%352K-56.34%482K-94.10%51K-94.10%51K847.37%720K642.00%742K286.01%1.1M3,223.08%864K3,223.08%864K-86.60%76K
-Other receivables --------18.47%340K18.47%340K-------------39.71%287K-39.71%287K----
Total current assets 93.74%9.09M-46.40%3.86M-59.10%4.13M-59.10%4.13M155.67%6.97M-9.23%4.69M-14.52%7.19M-1.72%10.09M-1.72%10.09M-78.51%2.73M
Non current assets
-Accumulated depreciation ---------6.37%-3.34M-6.37%-3.34M------------1.01%-3.14M1.01%-3.14M----
-Long term equity investment 96.37%12.59M35.51%8.86M109.27%8.18M109.27%8.18M2,810.53%12.17M1,347.63%6.41M1,300.21%6.54M697.35%3.91M697.35%3.91M-18.52%418K
-Goodwill -6.12%184K-5.50%189K-8.53%193K-8.53%193K-10.70%192K-10.50%196K-10.71%200K-7.46%211K-7.46%211K-7.73%215K
-Other intangible assets 11.26%13.74M14.17%12.98M13.27%12.91M13.27%12.91M24.63%12.72M21.64%12.35M4.85%11.37M11.36%11.4M11.36%11.4M1.15%10.21M
Regulatory assets -52.56%352K-56.34%482K-82.39%186K-82.39%186K847.37%720K642.00%742K286.01%1.1M415.12%1.06M415.12%1.06M-86.60%76K
Total assets ---------30.77%135K-30.77%135K------------174.65%195K174.65%195K----
Liabilities
Current liabilities
Current debt and capital lease obligation 368.37%459K313.40%401K120.00%385K120.00%385K27.37%121K4.26%98K4.30%97K90.22%175K90.22%175K4.40%95K
-Current debt --334K--278K234.18%264K234.18%264K--------------79K--79K----
-Current capital lease obligation 27.55%125K26.80%123K26.04%121K26.04%121K27.37%121K4.26%98K4.30%97K4.35%96K4.35%96K4.40%95K
-accounts payable 2.20%2.78M22.30%2.61M-3.27%1.6M-3.27%1.6M14.84%2.31M93.19%2.72M27.84%2.14M271.62%1.65M271.62%1.65M50.94%2.02M
-Total tax payable 77.26%17.88M37.47%14.27M45.47%11.52M45.47%11.52M241.06%15.68M110.71%10.09M108.54%10.38M53.18%7.92M53.18%7.92M-14.24%4.6M
Current accrued expenses ---------23.13%884K-23.13%884K------------91.03%1.15M91.03%1.15M----
Current deferred liabilities -24.79%525K-25.86%496K4.45%727K4.45%727K7.38%757K4.49%698K-9.84%669K1.02%696K1.02%696K-3.29%705K
Current liabilities 327.10%15.03M270.84%10.76M54.43%10.24M54.43%10.24M13.39%3.19M62.06%3.52M15.81%2.9M187.97%6.63M187.97%6.63M30.63%2.82M
Non current liabilities
-Long term debt 16.58%436K17.88%468K19.05%500K19.05%500K27.99%535K-15.58%374K-14.99%397K-14.29%420K-14.29%420K-18.52%418K
Non current accrued expenses 31.41%799K30.17%850K27.39%893K27.39%893K-12.20%763K-29.87%608K-34.50%653K-34.12%701K-34.12%701K-20.49%869K
Long term provisions 101.31%12.16M36.65%8.39M120.13%7.68M120.13%7.68M--11.63M--6.04M--6.14M--3.49M--3.49M----
Total non current liabilities 141.88%32.92M88.43%25.03M49.55%21.76M49.55%21.76M154.58%18.87M95.53%13.61M77.50%13.28M94.73%14.55M94.73%14.55M-1.37%7.41M
Shareholders'equity
Share capital 1.65%88.5M0.59%87.56M0.01%87.06M0.01%87.06M2.80%87.06M3.02%87.06M3.02%87.05M3.19%87.05M3.19%87.05M0.39%84.69M
-common stock 1.65%88.5M0.59%87.56M0.01%87.06M0.01%87.06M2.80%87.06M3.02%87.06M3.02%87.05M3.19%87.05M3.19%87.05M0.39%84.69M
Additional paid-in capital 1.63%8.92M1.63%8.92M1.63%8.92M1.63%8.92M1.63%8.92M0.00%8.77M9.87%8.77M9.87%8.77M9.87%8.77M9.87%8.77M
Other equity interest -18.39%932K14.89%980K--------14.29%912K0.09%1.14M-24.98%853K--------0.76%798K
Noncontrolling interests ------0--0--0--794K--834K--913K--998K--998K----
Total equity 59.14%10.08M-45.37%4.89M-56.56%5.21M-56.56%5.21M128.83%8.72M1.20%6.33M-7.03%8.96M3.82%12M3.82%12M-72.81%3.81M

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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