CA Stock MarketDetailed Quotes

GHG Global Hemp Group Inc

Watchlist
  • 0.015
  • -0.005-25.00%
15min DelayMarket Closed Dec 27 10:33 ET
364.37KMarket Cap-0.09P/E (TTM)

Global Hemp Group Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Jun 30, 2024
(Q2)Mar 31, 2024
(Q1)Dec 31, 2023
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q3)Jun 30, 2023
(Q2)Mar 31, 2023
(Q1)Dec 31, 2022
(FY)Sep 30, 2022
(Q4)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
211.31%3.14K
76.28%6.81K
-99.69%169
-93.25%4.5K
-93.25%4.5K
-98.86%1.01K
37.84%3.86K
1,079.75%55.18K
-51.78%66.66K
-51.78%66.66K
-Cash and cash equivalents
211.31%3.14K
76.28%6.81K
-99.69%169
-93.25%4.5K
-93.25%4.5K
-98.86%1.01K
37.84%3.86K
1,079.75%55.18K
-51.78%66.66K
-51.78%66.66K
Receivables
-63.22%7.9K
-98.84%338
-43.94%9.94K
-42.02%10.65K
-42.02%10.65K
-34.78%21.49K
14.60%29.07K
-38.02%17.73K
-52.49%18.38K
-52.49%18.38K
-Accounts receivable
----
-98.84%338
-43.94%9.94K
-42.02%10.65K
-42.02%10.65K
-34.78%21.49K
14.60%29.07K
-38.02%17.73K
-52.49%18.38K
-52.49%18.38K
-Taxes receivable
--7.9K
----
----
----
----
----
----
----
----
----
Prepaid assets
-78.56%27.6K
-56.00%55K
-0.30%13.85K
68.36%27.6K
68.36%27.6K
438.79%128.75K
298.14%125K
-66.55%13.9K
4.22%16.4K
4.22%16.4K
Total current assets
-74.45%38.65K
-60.65%62.14K
-72.39%23.97K
-57.84%42.76K
-57.84%42.76K
3.91%151.25K
165.16%157.93K
16.00%86.81K
-47.35%101.44K
-47.35%101.44K
Non current assets
Non current prepaid assets
----
----
----
--0
--0
-89.46%1.44K
-97.23%1.46K
-89.11%1.47K
-93.60%1.48K
-93.60%1.48K
Goodwill and other intangible assets
----
----
----
----
----
--520.28K
--520.28K
----
----
----
Total non current assets
--0
--0
--0
--0
--0
-88.35%521.71K
-87.01%521.74K
-99.96%1.47K
-99.96%1.48K
-99.96%1.48K
Total assets
-94.26%38.65K
-90.86%62.14K
-72.85%23.97K
-58.45%42.76K
-58.45%42.76K
-85.44%672.96K
-83.15%679.67K
-97.79%88.28K
-97.43%102.92K
-97.43%102.92K
Liabilities
Current liabilities
Current debt and capital lease obligation
95.00%714.66K
357.99%629.47K
----
----
----
-82.80%366.49K
-92.75%137.44K
----
----
----
-Current debt
95.00%714.66K
357.99%629.47K
----
----
----
-82.80%366.49K
-92.75%137.44K
----
----
----
Payables
46.40%886.11K
15.80%854.82K
132.27%933.09K
142.19%852.21K
142.19%852.21K
124.04%605.27K
43.78%738.19K
-3.56%401.74K
6.05%351.88K
6.05%351.88K
-accounts payable
32.99%514.26K
49.71%518.67K
154.45%641.95K
140.13%591.8K
140.13%591.8K
43.13%386.69K
-32.52%346.44K
-39.44%252.29K
-25.72%246.45K
-25.72%246.45K
-Dividends payable
70.12%371.85K
80.54%336.15K
94.82%291.14K
147.00%260.41K
147.00%260.41K
--218.59K
--186.19K
--149.45K
--105.43K
--105.43K
-Other payable
----
----
----
----
----
----
--205.56K
----
----
----
Current accrued expenses
310.56%150.59K
1,376.39%150.59K
156.37%128.7K
169.81%128.7K
169.81%128.7K
-36.97%36.68K
-82.47%10.2K
4.78%50.2K
-22.03%47.7K
-22.03%47.7K
Current liabilities
73.67%1.75M
84.56%1.63M
134.94%1.06M
145.48%980.91K
145.48%980.91K
-59.00%1.01M
-64.09%885.83K
-74.13%451.94K
-74.95%399.58K
-74.95%399.58K
Non current liabilities
Long term debt and capital lease obligation
----
----
108.10%732.11K
108.94%697.93K
108.94%697.93K
30.00%389.27K
28.49%369.79K
-56.30%351.8K
-58.08%334.03K
-58.08%334.03K
-Long term debt
----
----
108.10%732.11K
108.94%697.93K
108.94%697.93K
30.00%389.27K
28.49%369.79K
-56.30%351.8K
-58.08%334.03K
-58.08%334.03K
Derivative product liabilities
1,195.59%1.28M
748.43%1.26M
298.78%1.22M
290.72%1.29M
290.72%1.29M
-65.07%99.09K
-63.90%148.95K
-31.49%305.89K
-57.19%329.55K
-57.19%329.55K
Preferred securities outside stock equity
13.48%3.09M
11.66%3.03M
8.28%2.87M
8.95%2.86M
8.95%2.86M
13.89%2.73M
19.87%2.71M
18.37%2.65M
19.32%2.62M
19.32%2.62M
Total non current liabilities
36.18%4.38M
32.83%4.29M
45.73%4.82M
47.35%4.84M
47.35%4.84M
7.99%3.21M
9.05%3.23M
-5.21%3.31M
-12.70%3.29M
-12.70%3.29M
Total liabilities
45.13%6.13M
43.96%5.93M
56.44%5.89M
57.99%5.83M
57.99%5.83M
-22.32%4.22M
-24.17%4.12M
-28.19%3.76M
-31.22%3.69M
-31.22%3.69M
Shareholders'equity
Share capital
2.14%10.79M
2.14%10.79M
3.27%10.57M
3.27%10.57M
3.27%10.57M
3.18%10.56M
9.61%10.56M
6.23%10.24M
6.23%10.24M
6.23%10.24M
-common stock
2.14%10.79M
2.14%10.79M
3.27%10.57M
3.27%10.57M
3.27%10.57M
3.18%10.56M
9.61%10.56M
6.23%10.24M
6.23%10.24M
6.23%10.24M
Retained earnings
-14.13%-23.76M
-13.63%-23.53M
-12.48%-23.2M
-12.57%-23.11M
-12.57%-23.11M
-12.99%-20.82M
-12.56%-20.71M
-12.95%-20.62M
-11.79%-20.53M
-11.79%-20.53M
Gains losses not affecting retained earnings
2.22%6.85M
2.13%6.85M
27,713.38%6.74M
0.44%6.74M
0.44%6.74M
-9.07%6.7M
-8.91%6.71M
-99.67%24.25K
-8.91%6.71M
-8.91%6.71M
Other equity interest
--25.5K
--25.5K
-99.73%18K
--18K
--18K
----
----
--6.69M
----
----
Total stockholders'equity
-71.56%-6.09M
-70.60%-5.87M
-59.55%-5.86M
-61.33%-5.78M
-61.33%-5.78M
-336.40%-3.55M
-146.06%-3.44M
-193.59%-3.67M
-163.21%-3.58M
-163.21%-3.58M
Total equity
-71.56%-6.09M
-70.60%-5.87M
-59.55%-5.86M
-61.33%-5.78M
-61.33%-5.78M
-336.40%-3.55M
-146.06%-3.44M
-193.59%-3.67M
-163.21%-3.58M
-163.21%-3.58M
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
--
(Q3)Jun 30, 2024(Q2)Mar 31, 2024(Q1)Dec 31, 2023(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q3)Jun 30, 2023(Q2)Mar 31, 2023(Q1)Dec 31, 2022(FY)Sep 30, 2022(Q4)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 211.31%3.14K76.28%6.81K-99.69%169-93.25%4.5K-93.25%4.5K-98.86%1.01K37.84%3.86K1,079.75%55.18K-51.78%66.66K-51.78%66.66K
-Cash and cash equivalents 211.31%3.14K76.28%6.81K-99.69%169-93.25%4.5K-93.25%4.5K-98.86%1.01K37.84%3.86K1,079.75%55.18K-51.78%66.66K-51.78%66.66K
Receivables -63.22%7.9K-98.84%338-43.94%9.94K-42.02%10.65K-42.02%10.65K-34.78%21.49K14.60%29.07K-38.02%17.73K-52.49%18.38K-52.49%18.38K
-Accounts receivable -----98.84%338-43.94%9.94K-42.02%10.65K-42.02%10.65K-34.78%21.49K14.60%29.07K-38.02%17.73K-52.49%18.38K-52.49%18.38K
-Taxes receivable --7.9K------------------------------------
Prepaid assets -78.56%27.6K-56.00%55K-0.30%13.85K68.36%27.6K68.36%27.6K438.79%128.75K298.14%125K-66.55%13.9K4.22%16.4K4.22%16.4K
Total current assets -74.45%38.65K-60.65%62.14K-72.39%23.97K-57.84%42.76K-57.84%42.76K3.91%151.25K165.16%157.93K16.00%86.81K-47.35%101.44K-47.35%101.44K
Non current assets
Non current prepaid assets --------------0--0-89.46%1.44K-97.23%1.46K-89.11%1.47K-93.60%1.48K-93.60%1.48K
Goodwill and other intangible assets ----------------------520.28K--520.28K------------
Total non current assets --0--0--0--0--0-88.35%521.71K-87.01%521.74K-99.96%1.47K-99.96%1.48K-99.96%1.48K
Total assets -94.26%38.65K-90.86%62.14K-72.85%23.97K-58.45%42.76K-58.45%42.76K-85.44%672.96K-83.15%679.67K-97.79%88.28K-97.43%102.92K-97.43%102.92K
Liabilities
Current liabilities
Current debt and capital lease obligation 95.00%714.66K357.99%629.47K-------------82.80%366.49K-92.75%137.44K------------
-Current debt 95.00%714.66K357.99%629.47K-------------82.80%366.49K-92.75%137.44K------------
Payables 46.40%886.11K15.80%854.82K132.27%933.09K142.19%852.21K142.19%852.21K124.04%605.27K43.78%738.19K-3.56%401.74K6.05%351.88K6.05%351.88K
-accounts payable 32.99%514.26K49.71%518.67K154.45%641.95K140.13%591.8K140.13%591.8K43.13%386.69K-32.52%346.44K-39.44%252.29K-25.72%246.45K-25.72%246.45K
-Dividends payable 70.12%371.85K80.54%336.15K94.82%291.14K147.00%260.41K147.00%260.41K--218.59K--186.19K--149.45K--105.43K--105.43K
-Other payable --------------------------205.56K------------
Current accrued expenses 310.56%150.59K1,376.39%150.59K156.37%128.7K169.81%128.7K169.81%128.7K-36.97%36.68K-82.47%10.2K4.78%50.2K-22.03%47.7K-22.03%47.7K
Current liabilities 73.67%1.75M84.56%1.63M134.94%1.06M145.48%980.91K145.48%980.91K-59.00%1.01M-64.09%885.83K-74.13%451.94K-74.95%399.58K-74.95%399.58K
Non current liabilities
Long term debt and capital lease obligation --------108.10%732.11K108.94%697.93K108.94%697.93K30.00%389.27K28.49%369.79K-56.30%351.8K-58.08%334.03K-58.08%334.03K
-Long term debt --------108.10%732.11K108.94%697.93K108.94%697.93K30.00%389.27K28.49%369.79K-56.30%351.8K-58.08%334.03K-58.08%334.03K
Derivative product liabilities 1,195.59%1.28M748.43%1.26M298.78%1.22M290.72%1.29M290.72%1.29M-65.07%99.09K-63.90%148.95K-31.49%305.89K-57.19%329.55K-57.19%329.55K
Preferred securities outside stock equity 13.48%3.09M11.66%3.03M8.28%2.87M8.95%2.86M8.95%2.86M13.89%2.73M19.87%2.71M18.37%2.65M19.32%2.62M19.32%2.62M
Total non current liabilities 36.18%4.38M32.83%4.29M45.73%4.82M47.35%4.84M47.35%4.84M7.99%3.21M9.05%3.23M-5.21%3.31M-12.70%3.29M-12.70%3.29M
Total liabilities 45.13%6.13M43.96%5.93M56.44%5.89M57.99%5.83M57.99%5.83M-22.32%4.22M-24.17%4.12M-28.19%3.76M-31.22%3.69M-31.22%3.69M
Shareholders'equity
Share capital 2.14%10.79M2.14%10.79M3.27%10.57M3.27%10.57M3.27%10.57M3.18%10.56M9.61%10.56M6.23%10.24M6.23%10.24M6.23%10.24M
-common stock 2.14%10.79M2.14%10.79M3.27%10.57M3.27%10.57M3.27%10.57M3.18%10.56M9.61%10.56M6.23%10.24M6.23%10.24M6.23%10.24M
Retained earnings -14.13%-23.76M-13.63%-23.53M-12.48%-23.2M-12.57%-23.11M-12.57%-23.11M-12.99%-20.82M-12.56%-20.71M-12.95%-20.62M-11.79%-20.53M-11.79%-20.53M
Gains losses not affecting retained earnings 2.22%6.85M2.13%6.85M27,713.38%6.74M0.44%6.74M0.44%6.74M-9.07%6.7M-8.91%6.71M-99.67%24.25K-8.91%6.71M-8.91%6.71M
Other equity interest --25.5K--25.5K-99.73%18K--18K--18K----------6.69M--------
Total stockholders'equity -71.56%-6.09M-70.60%-5.87M-59.55%-5.86M-61.33%-5.78M-61.33%-5.78M-336.40%-3.55M-146.06%-3.44M-193.59%-3.67M-163.21%-3.58M-163.21%-3.58M
Total equity -71.56%-6.09M-70.60%-5.87M-59.55%-5.86M-61.33%-5.78M-61.33%-5.78M-336.40%-3.55M-146.06%-3.44M-193.59%-3.67M-163.21%-3.58M-163.21%-3.58M
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--

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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