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EMA Emera Inc

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  • 52.600
  • +0.590+1.13%
15min DelayMarket Closed Oct 31 16:00 ET
15.17BMarket Cap20.47P/E (TTM)

Emera 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
11.18%348M
-7.86%258M
82.90%567M
82.90%567M
-51.71%254M
13.82%313M
-26.51%280M
-21.32%310M
-21.32%310M
19.55%526M
-Cash and cash equivalents
11.18%348M
-7.86%258M
82.90%567M
82.90%567M
-51.71%254M
13.82%313M
-26.51%280M
-21.32%310M
-21.32%310M
19.55%526M
Receivables
6.81%1.11B
-3.34%1.13B
-30.53%1.16B
-30.53%1.16B
-9.14%1.12B
-14.79%1.04B
7.07%1.17B
56.16%1.67B
56.16%1.67B
34.46%1.24B
-Accounts receivable
7.63%790M
0.39%770M
-26.55%805M
-26.55%805M
-11.58%817M
-22.41%734M
0.79%767M
42.89%1.1B
42.89%1.1B
33.53%924M
-Unbilled accounts receivable
3.80%328M
-10.84%362M
-14.39%363M
-14.39%363M
-3.11%312M
10.88%316M
19.06%406M
33.33%424M
33.33%424M
33.61%322M
-Taxes receivable
0.00%11M
0.00%10M
11.11%10M
11.11%10M
8.33%13M
0.00%11M
42.86%10M
12.50%9M
12.50%9M
9.09%12M
-Other receivables
----
----
----
----
----
----
----
--162M
--162M
----
-Recievables adjustments allowances
16.67%-15M
11.76%-15M
11.76%-15M
11.76%-15M
14.29%-18M
0.00%-18M
15.00%-17M
19.05%-17M
19.05%-17M
12.50%-21M
Inventory
-4.24%791M
1.36%745M
2.73%790M
2.73%790M
16.34%840M
39.76%826M
67.81%735M
42.94%769M
42.94%769M
35.97%722M
Prepaid assets
20.33%148M
6.19%103M
28.05%105M
28.05%105M
26.42%134M
20.59%123M
27.63%97M
26.15%82M
26.15%82M
15.22%106M
Restricted cash
50.00%33M
-18.18%18M
-4.55%21M
-4.55%21M
-17.39%19M
4.76%22M
-4.35%22M
-4.35%22M
-4.35%22M
-36.11%23M
Hedging assets-current
-40.20%119M
-41.86%125M
-41.22%174M
-41.22%174M
-60.29%220M
-63.08%199M
-44.01%215M
51.79%296M
51.79%296M
122.49%554M
Other current assets
-39.69%670M
-43.29%833M
-49.05%888M
-49.05%888M
-64.07%784M
-7.49%1.11B
47.34%1.47B
105.30%1.74B
105.30%1.74B
303.33%2.18B
Total current assets
-11.38%3.22B
-19.45%3.21B
-24.26%3.71B
-24.26%3.71B
-36.92%3.38B
-7.99%3.64B
17.59%3.98B
56.12%4.9B
56.12%4.9B
90.46%5.35B
Non current assets
Net PPE
10.46%25.86B
7.70%25.16B
6.00%24.38B
6.00%24.38B
7.36%24.22B
11.34%23.41B
15.60%23.36B
12.99%23B
12.99%23B
10.07%22.56B
-Gross PPE
10.05%36.41B
7.37%35.47B
5.53%34.37B
5.53%34.37B
6.61%34.23B
10.05%33.09B
14.19%33.03B
11.96%32.57B
11.96%32.57B
8.07%32.1B
-Accumulated depreciation
-9.06%-10.56B
-6.59%-10.3B
-4.39%-9.99B
-4.39%-9.99B
-4.85%-10.01B
-7.04%-9.68B
-10.92%-9.67B
-9.55%-9.57B
-9.55%-9.57B
-3.62%-9.55B
Investments and advances
-54.34%647M
-1.96%1.4B
-1.13%1.4B
-1.13%1.4B
0.00%1.42B
1.50%1.42B
3.10%1.43B
2.60%1.42B
2.60%1.42B
2.83%1.42B
-Long term equity investment
-54.34%647M
-1.96%1.4B
-1.13%1.4B
-1.13%1.4B
0.00%1.42B
1.50%1.42B
3.10%1.43B
2.60%1.42B
2.60%1.42B
2.83%1.42B
Financial assets
-34.85%43M
-6.06%62M
-34.00%66M
-34.00%66M
-58.74%59M
-38.89%66M
-21.43%66M
-5.66%100M
-5.66%100M
58.89%143M
Non current accounts receivable
3.55%613M
2.83%618M
2.81%621M
2.81%621M
-2.48%589M
-2.31%592M
-0.83%601M
30.74%604M
30.74%604M
29.89%604M
Goodwill and other intangible assets
3.37%6.08B
0.13%6.02B
-2.35%5.87B
-2.35%5.87B
-2.55%6B
1.52%5.88B
7.00%6.01B
5.55%6.01B
5.55%6.01B
7.58%6.16B
-Goodwill
3.37%6.08B
0.13%6.02B
-2.35%5.87B
-2.35%5.87B
-2.55%6B
1.52%5.88B
7.00%6.01B
5.55%6.01B
5.55%6.01B
7.58%6.16B
Regulatory assets
-6.50%2.62B
2.26%2.86B
-8.35%2.77B
-8.35%2.77B
7.89%2.79B
14.94%2.8B
20.29%2.79B
30.48%3.02B
30.48%3.02B
62.07%2.59B
Non current deferred assets
11.23%208M
95.24%205M
-12.24%208M
-12.24%208M
-32.69%243M
-45.64%187M
-55.13%105M
-19.66%237M
-19.66%237M
-0.82%361M
Other non current assets
2.66%501M
7.49%502M
0.22%462M
0.22%462M
-27.30%458M
-15.13%488M
-4.89%467M
-7.98%461M
-7.98%461M
93.85%630M
Total non current assets
4.95%36.56B
5.71%36.82B
2.66%35.77B
2.66%35.77B
3.83%35.77B
7.92%34.84B
12.55%34.83B
12.02%34.85B
12.02%34.85B
13.21%34.45B
Total assets
3.41%39.78B
3.13%40.03B
-0.66%39.48B
-0.66%39.48B
-1.65%39.15B
6.19%38.47B
13.05%38.82B
16.06%39.74B
16.06%39.74B
19.74%39.8B
Liabilities
Current liabilities
Current debt and capital lease obligation
-44.20%1.65B
-38.92%2.15B
-36.09%2.11B
-36.09%2.11B
8.19%3.34B
20.77%2.95B
52.23%3.52B
49.73%3.3B
49.73%3.3B
61.14%3.09B
-Current debt
-44.20%1.65B
-38.92%2.15B
-36.09%2.11B
-36.09%2.11B
8.19%3.34B
20.77%2.95B
52.23%3.52B
49.73%3.3B
49.73%3.3B
61.14%3.09B
Payables
7.40%1.38B
-8.28%1.2B
-28.37%1.47B
-28.37%1.47B
-31.24%1.42B
-27.10%1.28B
-8.23%1.3B
36.81%2.05B
36.81%2.05B
44.02%2.07B
-accounts payable
7.40%1.38B
-8.28%1.2B
-28.20%1.45B
-28.20%1.45B
-31.24%1.42B
-27.10%1.28B
-8.23%1.3B
36.36%2.03B
36.36%2.03B
44.02%2.07B
-Total tax payable
----
----
-43.48%13M
-43.48%13M
----
----
----
91.67%23M
91.67%23M
----
Current accrued expenses
----
----
2.95%279M
2.95%279M
----
----
----
16.81%271M
16.81%271M
----
Current provisions
----
----
----
----
----
----
----
--172M
--172M
----
Pension and other retirement benefit plans
----
----
-30.30%23M
-30.30%23M
----
----
----
22.22%33M
22.22%33M
----
Other current liabilities
0.77%1.04B
-0.28%1.09B
-54.48%666M
-54.48%666M
-56.25%1.11B
-40.05%1.04B
-21.54%1.09B
59.37%1.46B
59.37%1.46B
98.43%2.53B
Current liabilities
-22.78%4.07B
-25.03%4.43B
-37.64%4.54B
-37.64%4.54B
-23.63%5.87B
-11.17%5.27B
15.44%5.91B
49.38%7.29B
49.38%7.29B
66.09%7.69B
Non current liabilities
Long term debt and capital lease obligation
8.89%17.9B
12.79%17.83B
12.35%17.69B
12.35%17.69B
6.27%16.24B
13.50%16.44B
14.11%15.81B
10.90%15.74B
10.90%15.74B
10.21%15.29B
-Long term debt
8.89%17.9B
12.79%17.83B
12.35%17.69B
12.35%17.69B
6.27%16.24B
13.50%16.44B
14.11%15.81B
10.90%15.74B
10.90%15.74B
10.21%15.29B
Derivative product liabilities
-20.00%84M
-16.51%91M
-37.89%118M
-37.89%118M
-65.63%88M
-47.24%105M
22.47%109M
27.52%190M
27.52%190M
64.10%256M
Employee benefits
3.16%261M
-2.23%263M
-5.69%265M
-5.69%265M
-31.61%251M
-29.53%253M
-25.90%269M
-24.05%281M
-24.05%281M
-7.56%367M
Regulatory liabilities
3.07%1.71B
-2.03%1.69B
-9.79%1.6B
-9.79%1.6B
-10.67%1.68B
-8.58%1.66B
-3.37%1.72B
0.74%1.78B
0.74%1.78B
3.06%1.88B
Non current deferred liabilities
2.24%2.33B
8.49%2.44B
7.10%2.35B
7.10%2.35B
15.14%2.37B
17.91%2.28B
20.71%2.25B
17.56%2.2B
17.56%2.2B
15.39%2.05B
Other non current liabilities
-0.12%866M
-1.16%853M
-0.61%820M
-0.61%820M
-23.83%860M
-17.19%867M
-9.92%863M
-4.95%825M
-4.95%825M
41.48%1.13B
Total non current liabilities
7.17%23.16B
10.20%23.16B
8.73%22.85B
8.73%22.85B
2.46%21.49B
8.90%21.61B
11.17%21.02B
9.36%21.01B
9.36%21.01B
11.40%20.98B
Total liabilities
1.30%27.22B
2.47%27.59B
-3.21%27.39B
-3.21%27.39B
-4.54%27.36B
4.28%26.87B
12.07%26.93B
17.46%28.3B
17.46%28.3B
22.20%28.67B
Shareholders'equity
Share capital
7.87%10.08B
7.84%9.99B
7.62%9.88B
7.62%9.88B
3.50%9.42B
4.62%9.34B
5.39%9.26B
6.00%9.18B
6.00%9.18B
6.71%9.1B
-common stock
9.28%8.66B
9.26%8.57B
9.02%8.46B
9.02%8.46B
4.14%7.99B
5.50%7.92B
6.44%7.84B
7.18%7.76B
7.18%7.76B
8.05%7.68B
-Preferred stock
0.00%1.42B
0.00%1.42B
0.00%1.42B
0.00%1.42B
0.00%1.42B
0.00%1.42B
0.00%1.42B
0.00%1.42B
0.00%1.42B
0.00%1.42B
Additional paid-in capital
2.47%83M
1.23%82M
1.23%82M
1.23%82M
2.50%82M
1.25%81M
2.53%81M
2.53%81M
2.53%81M
1.27%80M
Retained earnings
-3.84%1.73B
-7.76%1.81B
13.83%1.8B
13.83%1.8B
33.15%1.71B
38.84%1.8B
27.39%1.96B
17.51%1.58B
17.51%1.58B
7.35%1.29B
Gains losses not affecting retained earnings
81.22%656M
-4.51%551M
-47.23%305M
-47.23%305M
-15.23%562M
154.93%362M
649.52%577M
2,212.00%578M
2,212.00%578M
1,400.00%663M
Total stockholders'equity
8.30%12.55B
4.62%12.43B
5.66%12.07B
5.66%12.07B
5.80%11.77B
10.88%11.59B
15.33%11.88B
12.96%11.43B
12.96%11.43B
14.10%11.13B
Noncontrolling interests
0.00%14M
0.00%14M
0.00%14M
0.00%14M
0.00%14M
0.00%14M
0.00%14M
-58.82%14M
-58.82%14M
-58.82%14M
Total equity
8.29%12.56B
4.62%12.44B
5.66%12.09B
5.66%12.09B
5.79%11.78B
10.87%11.6B
15.31%11.89B
12.72%11.44B
12.72%11.44B
13.85%11.14B
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
--
--
--
--
--
--
--
(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 11.18%348M-7.86%258M82.90%567M82.90%567M-51.71%254M13.82%313M-26.51%280M-21.32%310M-21.32%310M19.55%526M
-Cash and cash equivalents 11.18%348M-7.86%258M82.90%567M82.90%567M-51.71%254M13.82%313M-26.51%280M-21.32%310M-21.32%310M19.55%526M
Receivables 6.81%1.11B-3.34%1.13B-30.53%1.16B-30.53%1.16B-9.14%1.12B-14.79%1.04B7.07%1.17B56.16%1.67B56.16%1.67B34.46%1.24B
-Accounts receivable 7.63%790M0.39%770M-26.55%805M-26.55%805M-11.58%817M-22.41%734M0.79%767M42.89%1.1B42.89%1.1B33.53%924M
-Unbilled accounts receivable 3.80%328M-10.84%362M-14.39%363M-14.39%363M-3.11%312M10.88%316M19.06%406M33.33%424M33.33%424M33.61%322M
-Taxes receivable 0.00%11M0.00%10M11.11%10M11.11%10M8.33%13M0.00%11M42.86%10M12.50%9M12.50%9M9.09%12M
-Other receivables ------------------------------162M--162M----
-Recievables adjustments allowances 16.67%-15M11.76%-15M11.76%-15M11.76%-15M14.29%-18M0.00%-18M15.00%-17M19.05%-17M19.05%-17M12.50%-21M
Inventory -4.24%791M1.36%745M2.73%790M2.73%790M16.34%840M39.76%826M67.81%735M42.94%769M42.94%769M35.97%722M
Prepaid assets 20.33%148M6.19%103M28.05%105M28.05%105M26.42%134M20.59%123M27.63%97M26.15%82M26.15%82M15.22%106M
Restricted cash 50.00%33M-18.18%18M-4.55%21M-4.55%21M-17.39%19M4.76%22M-4.35%22M-4.35%22M-4.35%22M-36.11%23M
Hedging assets-current -40.20%119M-41.86%125M-41.22%174M-41.22%174M-60.29%220M-63.08%199M-44.01%215M51.79%296M51.79%296M122.49%554M
Other current assets -39.69%670M-43.29%833M-49.05%888M-49.05%888M-64.07%784M-7.49%1.11B47.34%1.47B105.30%1.74B105.30%1.74B303.33%2.18B
Total current assets -11.38%3.22B-19.45%3.21B-24.26%3.71B-24.26%3.71B-36.92%3.38B-7.99%3.64B17.59%3.98B56.12%4.9B56.12%4.9B90.46%5.35B
Non current assets
Net PPE 10.46%25.86B7.70%25.16B6.00%24.38B6.00%24.38B7.36%24.22B11.34%23.41B15.60%23.36B12.99%23B12.99%23B10.07%22.56B
-Gross PPE 10.05%36.41B7.37%35.47B5.53%34.37B5.53%34.37B6.61%34.23B10.05%33.09B14.19%33.03B11.96%32.57B11.96%32.57B8.07%32.1B
-Accumulated depreciation -9.06%-10.56B-6.59%-10.3B-4.39%-9.99B-4.39%-9.99B-4.85%-10.01B-7.04%-9.68B-10.92%-9.67B-9.55%-9.57B-9.55%-9.57B-3.62%-9.55B
Investments and advances -54.34%647M-1.96%1.4B-1.13%1.4B-1.13%1.4B0.00%1.42B1.50%1.42B3.10%1.43B2.60%1.42B2.60%1.42B2.83%1.42B
-Long term equity investment -54.34%647M-1.96%1.4B-1.13%1.4B-1.13%1.4B0.00%1.42B1.50%1.42B3.10%1.43B2.60%1.42B2.60%1.42B2.83%1.42B
Financial assets -34.85%43M-6.06%62M-34.00%66M-34.00%66M-58.74%59M-38.89%66M-21.43%66M-5.66%100M-5.66%100M58.89%143M
Non current accounts receivable 3.55%613M2.83%618M2.81%621M2.81%621M-2.48%589M-2.31%592M-0.83%601M30.74%604M30.74%604M29.89%604M
Goodwill and other intangible assets 3.37%6.08B0.13%6.02B-2.35%5.87B-2.35%5.87B-2.55%6B1.52%5.88B7.00%6.01B5.55%6.01B5.55%6.01B7.58%6.16B
-Goodwill 3.37%6.08B0.13%6.02B-2.35%5.87B-2.35%5.87B-2.55%6B1.52%5.88B7.00%6.01B5.55%6.01B5.55%6.01B7.58%6.16B
Regulatory assets -6.50%2.62B2.26%2.86B-8.35%2.77B-8.35%2.77B7.89%2.79B14.94%2.8B20.29%2.79B30.48%3.02B30.48%3.02B62.07%2.59B
Non current deferred assets 11.23%208M95.24%205M-12.24%208M-12.24%208M-32.69%243M-45.64%187M-55.13%105M-19.66%237M-19.66%237M-0.82%361M
Other non current assets 2.66%501M7.49%502M0.22%462M0.22%462M-27.30%458M-15.13%488M-4.89%467M-7.98%461M-7.98%461M93.85%630M
Total non current assets 4.95%36.56B5.71%36.82B2.66%35.77B2.66%35.77B3.83%35.77B7.92%34.84B12.55%34.83B12.02%34.85B12.02%34.85B13.21%34.45B
Total assets 3.41%39.78B3.13%40.03B-0.66%39.48B-0.66%39.48B-1.65%39.15B6.19%38.47B13.05%38.82B16.06%39.74B16.06%39.74B19.74%39.8B
Liabilities
Current liabilities
Current debt and capital lease obligation -44.20%1.65B-38.92%2.15B-36.09%2.11B-36.09%2.11B8.19%3.34B20.77%2.95B52.23%3.52B49.73%3.3B49.73%3.3B61.14%3.09B
-Current debt -44.20%1.65B-38.92%2.15B-36.09%2.11B-36.09%2.11B8.19%3.34B20.77%2.95B52.23%3.52B49.73%3.3B49.73%3.3B61.14%3.09B
Payables 7.40%1.38B-8.28%1.2B-28.37%1.47B-28.37%1.47B-31.24%1.42B-27.10%1.28B-8.23%1.3B36.81%2.05B36.81%2.05B44.02%2.07B
-accounts payable 7.40%1.38B-8.28%1.2B-28.20%1.45B-28.20%1.45B-31.24%1.42B-27.10%1.28B-8.23%1.3B36.36%2.03B36.36%2.03B44.02%2.07B
-Total tax payable ---------43.48%13M-43.48%13M------------91.67%23M91.67%23M----
Current accrued expenses --------2.95%279M2.95%279M------------16.81%271M16.81%271M----
Current provisions ------------------------------172M--172M----
Pension and other retirement benefit plans ---------30.30%23M-30.30%23M------------22.22%33M22.22%33M----
Other current liabilities 0.77%1.04B-0.28%1.09B-54.48%666M-54.48%666M-56.25%1.11B-40.05%1.04B-21.54%1.09B59.37%1.46B59.37%1.46B98.43%2.53B
Current liabilities -22.78%4.07B-25.03%4.43B-37.64%4.54B-37.64%4.54B-23.63%5.87B-11.17%5.27B15.44%5.91B49.38%7.29B49.38%7.29B66.09%7.69B
Non current liabilities
Long term debt and capital lease obligation 8.89%17.9B12.79%17.83B12.35%17.69B12.35%17.69B6.27%16.24B13.50%16.44B14.11%15.81B10.90%15.74B10.90%15.74B10.21%15.29B
-Long term debt 8.89%17.9B12.79%17.83B12.35%17.69B12.35%17.69B6.27%16.24B13.50%16.44B14.11%15.81B10.90%15.74B10.90%15.74B10.21%15.29B
Derivative product liabilities -20.00%84M-16.51%91M-37.89%118M-37.89%118M-65.63%88M-47.24%105M22.47%109M27.52%190M27.52%190M64.10%256M
Employee benefits 3.16%261M-2.23%263M-5.69%265M-5.69%265M-31.61%251M-29.53%253M-25.90%269M-24.05%281M-24.05%281M-7.56%367M
Regulatory liabilities 3.07%1.71B-2.03%1.69B-9.79%1.6B-9.79%1.6B-10.67%1.68B-8.58%1.66B-3.37%1.72B0.74%1.78B0.74%1.78B3.06%1.88B
Non current deferred liabilities 2.24%2.33B8.49%2.44B7.10%2.35B7.10%2.35B15.14%2.37B17.91%2.28B20.71%2.25B17.56%2.2B17.56%2.2B15.39%2.05B
Other non current liabilities -0.12%866M-1.16%853M-0.61%820M-0.61%820M-23.83%860M-17.19%867M-9.92%863M-4.95%825M-4.95%825M41.48%1.13B
Total non current liabilities 7.17%23.16B10.20%23.16B8.73%22.85B8.73%22.85B2.46%21.49B8.90%21.61B11.17%21.02B9.36%21.01B9.36%21.01B11.40%20.98B
Total liabilities 1.30%27.22B2.47%27.59B-3.21%27.39B-3.21%27.39B-4.54%27.36B4.28%26.87B12.07%26.93B17.46%28.3B17.46%28.3B22.20%28.67B
Shareholders'equity
Share capital 7.87%10.08B7.84%9.99B7.62%9.88B7.62%9.88B3.50%9.42B4.62%9.34B5.39%9.26B6.00%9.18B6.00%9.18B6.71%9.1B
-common stock 9.28%8.66B9.26%8.57B9.02%8.46B9.02%8.46B4.14%7.99B5.50%7.92B6.44%7.84B7.18%7.76B7.18%7.76B8.05%7.68B
-Preferred stock 0.00%1.42B0.00%1.42B0.00%1.42B0.00%1.42B0.00%1.42B0.00%1.42B0.00%1.42B0.00%1.42B0.00%1.42B0.00%1.42B
Additional paid-in capital 2.47%83M1.23%82M1.23%82M1.23%82M2.50%82M1.25%81M2.53%81M2.53%81M2.53%81M1.27%80M
Retained earnings -3.84%1.73B-7.76%1.81B13.83%1.8B13.83%1.8B33.15%1.71B38.84%1.8B27.39%1.96B17.51%1.58B17.51%1.58B7.35%1.29B
Gains losses not affecting retained earnings 81.22%656M-4.51%551M-47.23%305M-47.23%305M-15.23%562M154.93%362M649.52%577M2,212.00%578M2,212.00%578M1,400.00%663M
Total stockholders'equity 8.30%12.55B4.62%12.43B5.66%12.07B5.66%12.07B5.80%11.77B10.88%11.59B15.33%11.88B12.96%11.43B12.96%11.43B14.10%11.13B
Noncontrolling interests 0.00%14M0.00%14M0.00%14M0.00%14M0.00%14M0.00%14M0.00%14M-58.82%14M-58.82%14M-58.82%14M
Total equity 8.29%12.56B4.62%12.44B5.66%12.09B5.66%12.09B5.79%11.78B10.87%11.6B15.31%11.89B12.72%11.44B12.72%11.44B13.85%11.14B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

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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