US Stock MarketDetailed Quotes

GLATF GLOBAL ATOMIC CORPORATION

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  • 1.020
  • -0.018-1.69%
15min DelayClose Oct 1 16:00 ET
231.41MMarket Cap-34000P/E (TTM)

GLOBAL ATOMIC CORPORATION 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
-94.74%1.86M
-64.32%18.57M
195.93%24.86M
195.93%24.86M
28.73%23.48M
136.38%35.37M
114.23%52.05M
-75.42%8.4M
-75.42%8.4M
141.31%18.24M
-Cash and cash equivalents
-94.74%1.86M
-64.32%18.57M
195.93%24.86M
195.93%24.86M
28.73%23.48M
136.38%35.37M
114.23%52.05M
-75.42%8.4M
-75.42%8.4M
141.31%18.24M
Receivables
21.59%794.67K
7.65%625.75K
24.15%683.28K
24.15%683.28K
-82.87%503.57K
-5.02%653.59K
-33.07%581.27K
77.64%550.38K
77.64%550.38K
802.79%2.94M
-Accounts receivable
----
----
----
----
----
----
----
----
----
--2.49M
-Taxes receivable
-23.18%272.91K
-27.42%210.03K
17.44%331.46K
17.44%331.46K
38.64%151.61K
42.20%355.26K
-35.69%289.4K
87.11%282.23K
87.11%282.23K
26.22%109.35K
-Related party accounts receivable
74.84%521.58K
43.72%415.54K
31.15%351.63K
31.15%351.63K
3.18%351.97K
-31.93%298.32K
-30.91%289.13K
68.68%268.12K
68.68%268.12K
42.79%341.13K
-Other receivables
--177
-93.55%177
535.48%197
535.48%197
----
----
--2.75K
-13.89%31
-13.89%31
350.00%162
Prepaid assets
-65.18%67.15K
119.37%194.02K
58.54%207.7K
58.54%207.7K
-64.22%162.53K
-6.69%192.83K
-62.69%88.45K
-62.27%131.01K
-62.27%131.01K
61.19%454.24K
Total current assets
-92.48%2.72M
-63.22%19.39M
183.53%25.75M
183.53%25.75M
11.62%24.15M
128.38%36.22M
107.55%52.72M
-73.93%9.08M
-73.93%9.08M
164.92%21.64M
Non current assets
Net PPE
57.23%180.09M
66.61%157.96M
64.47%138.88M
64.47%138.88M
69.03%125.13M
80.83%114.54M
64.30%94.81M
70.27%84.44M
70.27%84.44M
69.11%74.03M
-Gross PPE
60.97%189.9M
71.56%166.48M
68.99%145.51M
68.99%145.51M
73.26%130.27M
84.27%117.97M
66.89%97.04M
72.60%86.11M
72.60%86.11M
71.75%75.19M
-Accumulated depreciation
-185.84%-9.81M
-282.16%-8.52M
-298.97%-6.63M
-298.97%-6.63M
-343.94%-5.13M
-403.37%-3.43M
-409.69%-2.23M
-467.35%-1.66M
-467.35%-1.66M
---1.16M
Goodwill and other intangible assets
-21.78%293.04K
-17.78%316.1K
-1.16%339.16K
-1.16%339.16K
11.64%362.21K
-0.69%374.62K
30.47%384.44K
82.69%343.13K
82.69%343.13K
--324.44K
Investments and advances
80.61%15.88M
-18.47%13.52M
-22.94%12.63M
-22.94%12.63M
-48.15%8.58M
-8.16%8.79M
76.29%16.59M
82.44%16.39M
82.44%16.39M
24.46%16.54M
Related parties assets
74.84%521.58K
43.72%415.54K
31.15%351.63K
31.15%351.63K
3.18%351.97K
-31.93%298.32K
-30.91%289.13K
68.68%268.12K
68.68%268.12K
42.79%341.13K
Total non current assets
58.65%196.26M
53.69%171.8M
50.09%151.85M
50.09%151.85M
47.51%134.07M
68.79%123.71M
65.82%111.78M
72.17%101.17M
72.17%101.17M
56.92%90.89M
Total assets
24.42%198.99M
16.22%191.19M
61.08%177.6M
61.08%177.6M
40.61%158.22M
79.39%159.93M
77.24%164.5M
17.79%110.26M
17.79%110.26M
70.27%112.53M
Liabilities
Current liabilities
Payables
-12.17%2.64M
-54.89%2.05M
-61.34%1.19M
-61.34%1.19M
-12.27%634.43K
1,177.69%3M
411.46%4.55M
384.67%3.08M
384.67%3.08M
36.42%723.2K
-accounts payable
-12.17%2.64M
-54.73%2.05M
-61.34%1.19M
-61.34%1.19M
-12.27%634.43K
1,225.66%3M
421.53%4.54M
418.31%3.08M
418.31%3.08M
41.19%723.2K
-Due to related parties current
----
----
----
----
----
----
-20.99%16K
----
----
--0
Current accrued expenses
162.63%8.39M
53.26%5.8M
64.88%5.55M
64.88%5.55M
16.63%2.1M
513.47%3.2M
63.67%3.79M
69.54%3.37M
69.54%3.37M
403.65%1.8M
Current debt and capital lease obligation
18.48%3.53M
846.33%4M
945.03%4.09M
945.03%4.09M
737.12%3.32M
943.39%2.98M
3.73%422.37K
139.25%391.22K
139.25%391.22K
240.31%396.84K
-Current capital lease obligation
-26.73%2.18M
528.38%2.65M
601.91%2.75M
601.91%2.75M
573.66%2.67M
943.39%2.98M
3.73%422.37K
139.25%391.22K
139.25%391.22K
240.31%396.84K
Current liabilities
58.68%14.56M
35.29%11.85M
58.34%10.83M
58.34%10.83M
107.30%6.06M
781.11%9.17M
142.66%8.76M
145.57%6.84M
145.57%6.84M
190.92%2.92M
Non current liabilities
Long term debt and capital lease obligation
-28.33%4.75M
2,063.48%6.06M
2,406.79%6.99M
2,406.79%6.99M
2,161.14%5.84M
1,546.23%6.63M
-42.00%280.32K
154.90%278.91K
154.90%278.91K
211.19%258.17K
-Long term debt
--2.81M
--3.14M
--3.47M
--3.47M
--1.68M
----
----
----
----
----
-Long term capital lease obligation
-70.64%1.95M
944.24%2.93M
1,162.03%3.52M
1,162.03%3.52M
1,512.04%4.16M
1,546.23%6.63M
-42.00%280.32K
154.90%278.91K
154.90%278.91K
211.19%258.17K
Non current deferred liabilities
3.38%1.64M
0.13%1.63M
-2.35%1.59M
-2.35%1.59M
-60.75%1.62M
--1.59M
--1.62M
--1.63M
--1.63M
--4.13M
Total non current liabilities
-22.20%6.4M
303.86%7.69M
350.52%8.58M
350.52%8.58M
69.87%7.46M
1,940.58%8.22M
294.04%1.9M
1,640.29%1.9M
1,640.29%1.9M
5,193.59%4.39M
Total liabilities
20.45%20.95M
83.24%19.54M
121.95%19.41M
121.95%19.41M
84.83%13.52M
1,104.61%17.39M
160.53%10.67M
202.05%8.75M
202.05%8.75M
572.51%7.31M
Shareholders'equity
Share capital
18.51%184.25M
16.45%180.97M
56.43%169.43M
56.43%169.43M
43.54%155.47M
58.72%155.47M
60.82%155.41M
12.71%108.31M
12.71%108.31M
66.19%108.31M
-common stock
18.51%184.25M
16.45%180.97M
56.43%169.43M
56.43%169.43M
43.54%155.47M
58.72%155.47M
60.82%155.41M
12.71%108.31M
12.71%108.31M
66.19%108.31M
Retained earnings
-12.34%-15.54M
-118.34%-16.57M
-705.55%-18.96M
-705.55%-18.96M
-368.05%-14.63M
-9,794.33%-13.83M
-9,414.63%-7.59M
-209.45%-2.35M
-209.45%-2.35M
-0.86%5.46M
Paid-in capital
11.76%22.38M
41.56%21.97M
46.92%21.53M
46.92%21.53M
46.30%20.47M
54.39%20.02M
21.35%15.52M
34.37%14.66M
34.37%14.66M
29.58%13.99M
Gains losses not affecting retained earnings
22.81%-20.41M
-5.36%-22.06M
3.94%-22.72M
3.94%-22.72M
12.95%-23.93M
8.96%-26.44M
21.73%-20.94M
3.45%-23.66M
3.45%-23.66M
-43.52%-27.49M
Other equity interest
-0.00%6.87M
-37.52%6.87M
105.46%8.48M
105.46%8.48M
66.52%6.87M
15.23%6.87M
84.39%11M
-31.82%4.13M
-31.82%4.13M
53.80%4.13M
Total stockholders'equity
24.96%177.56M
11.59%171.18M
56.07%157.76M
56.07%157.76M
38.17%144.24M
62.01%142.09M
72.90%153.4M
11.44%101.08M
11.44%101.08M
60.60%104.39M
Noncontrolling interests
9.14%477.68K
5.72%464.09K
-0.58%429.01K
-0.58%429.01K
-43.86%460.21K
--437.69K
--438.97K
--431.49K
--431.49K
--819.78K
Total equity
24.91%178.03M
11.57%171.64M
55.83%158.19M
55.83%158.19M
37.53%144.7M
62.51%142.53M
73.40%153.84M
11.91%101.51M
11.91%101.51M
61.86%105.21M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
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 -94.74%1.86M-64.32%18.57M195.93%24.86M195.93%24.86M28.73%23.48M136.38%35.37M114.23%52.05M-75.42%8.4M-75.42%8.4M141.31%18.24M
-Cash and cash equivalents -94.74%1.86M-64.32%18.57M195.93%24.86M195.93%24.86M28.73%23.48M136.38%35.37M114.23%52.05M-75.42%8.4M-75.42%8.4M141.31%18.24M
Receivables 21.59%794.67K7.65%625.75K24.15%683.28K24.15%683.28K-82.87%503.57K-5.02%653.59K-33.07%581.27K77.64%550.38K77.64%550.38K802.79%2.94M
-Accounts receivable --------------------------------------2.49M
-Taxes receivable -23.18%272.91K-27.42%210.03K17.44%331.46K17.44%331.46K38.64%151.61K42.20%355.26K-35.69%289.4K87.11%282.23K87.11%282.23K26.22%109.35K
-Related party accounts receivable 74.84%521.58K43.72%415.54K31.15%351.63K31.15%351.63K3.18%351.97K-31.93%298.32K-30.91%289.13K68.68%268.12K68.68%268.12K42.79%341.13K
-Other receivables --177-93.55%177535.48%197535.48%197----------2.75K-13.89%31-13.89%31350.00%162
Prepaid assets -65.18%67.15K119.37%194.02K58.54%207.7K58.54%207.7K-64.22%162.53K-6.69%192.83K-62.69%88.45K-62.27%131.01K-62.27%131.01K61.19%454.24K
Total current assets -92.48%2.72M-63.22%19.39M183.53%25.75M183.53%25.75M11.62%24.15M128.38%36.22M107.55%52.72M-73.93%9.08M-73.93%9.08M164.92%21.64M
Non current assets
Net PPE 57.23%180.09M66.61%157.96M64.47%138.88M64.47%138.88M69.03%125.13M80.83%114.54M64.30%94.81M70.27%84.44M70.27%84.44M69.11%74.03M
-Gross PPE 60.97%189.9M71.56%166.48M68.99%145.51M68.99%145.51M73.26%130.27M84.27%117.97M66.89%97.04M72.60%86.11M72.60%86.11M71.75%75.19M
-Accumulated depreciation -185.84%-9.81M-282.16%-8.52M-298.97%-6.63M-298.97%-6.63M-343.94%-5.13M-403.37%-3.43M-409.69%-2.23M-467.35%-1.66M-467.35%-1.66M---1.16M
Goodwill and other intangible assets -21.78%293.04K-17.78%316.1K-1.16%339.16K-1.16%339.16K11.64%362.21K-0.69%374.62K30.47%384.44K82.69%343.13K82.69%343.13K--324.44K
Investments and advances 80.61%15.88M-18.47%13.52M-22.94%12.63M-22.94%12.63M-48.15%8.58M-8.16%8.79M76.29%16.59M82.44%16.39M82.44%16.39M24.46%16.54M
Related parties assets 74.84%521.58K43.72%415.54K31.15%351.63K31.15%351.63K3.18%351.97K-31.93%298.32K-30.91%289.13K68.68%268.12K68.68%268.12K42.79%341.13K
Total non current assets 58.65%196.26M53.69%171.8M50.09%151.85M50.09%151.85M47.51%134.07M68.79%123.71M65.82%111.78M72.17%101.17M72.17%101.17M56.92%90.89M
Total assets 24.42%198.99M16.22%191.19M61.08%177.6M61.08%177.6M40.61%158.22M79.39%159.93M77.24%164.5M17.79%110.26M17.79%110.26M70.27%112.53M
Liabilities
Current liabilities
Payables -12.17%2.64M-54.89%2.05M-61.34%1.19M-61.34%1.19M-12.27%634.43K1,177.69%3M411.46%4.55M384.67%3.08M384.67%3.08M36.42%723.2K
-accounts payable -12.17%2.64M-54.73%2.05M-61.34%1.19M-61.34%1.19M-12.27%634.43K1,225.66%3M421.53%4.54M418.31%3.08M418.31%3.08M41.19%723.2K
-Due to related parties current -------------------------20.99%16K----------0
Current accrued expenses 162.63%8.39M53.26%5.8M64.88%5.55M64.88%5.55M16.63%2.1M513.47%3.2M63.67%3.79M69.54%3.37M69.54%3.37M403.65%1.8M
Current debt and capital lease obligation 18.48%3.53M846.33%4M945.03%4.09M945.03%4.09M737.12%3.32M943.39%2.98M3.73%422.37K139.25%391.22K139.25%391.22K240.31%396.84K
-Current capital lease obligation -26.73%2.18M528.38%2.65M601.91%2.75M601.91%2.75M573.66%2.67M943.39%2.98M3.73%422.37K139.25%391.22K139.25%391.22K240.31%396.84K
Current liabilities 58.68%14.56M35.29%11.85M58.34%10.83M58.34%10.83M107.30%6.06M781.11%9.17M142.66%8.76M145.57%6.84M145.57%6.84M190.92%2.92M
Non current liabilities
Long term debt and capital lease obligation -28.33%4.75M2,063.48%6.06M2,406.79%6.99M2,406.79%6.99M2,161.14%5.84M1,546.23%6.63M-42.00%280.32K154.90%278.91K154.90%278.91K211.19%258.17K
-Long term debt --2.81M--3.14M--3.47M--3.47M--1.68M--------------------
-Long term capital lease obligation -70.64%1.95M944.24%2.93M1,162.03%3.52M1,162.03%3.52M1,512.04%4.16M1,546.23%6.63M-42.00%280.32K154.90%278.91K154.90%278.91K211.19%258.17K
Non current deferred liabilities 3.38%1.64M0.13%1.63M-2.35%1.59M-2.35%1.59M-60.75%1.62M--1.59M--1.62M--1.63M--1.63M--4.13M
Total non current liabilities -22.20%6.4M303.86%7.69M350.52%8.58M350.52%8.58M69.87%7.46M1,940.58%8.22M294.04%1.9M1,640.29%1.9M1,640.29%1.9M5,193.59%4.39M
Total liabilities 20.45%20.95M83.24%19.54M121.95%19.41M121.95%19.41M84.83%13.52M1,104.61%17.39M160.53%10.67M202.05%8.75M202.05%8.75M572.51%7.31M
Shareholders'equity
Share capital 18.51%184.25M16.45%180.97M56.43%169.43M56.43%169.43M43.54%155.47M58.72%155.47M60.82%155.41M12.71%108.31M12.71%108.31M66.19%108.31M
-common stock 18.51%184.25M16.45%180.97M56.43%169.43M56.43%169.43M43.54%155.47M58.72%155.47M60.82%155.41M12.71%108.31M12.71%108.31M66.19%108.31M
Retained earnings -12.34%-15.54M-118.34%-16.57M-705.55%-18.96M-705.55%-18.96M-368.05%-14.63M-9,794.33%-13.83M-9,414.63%-7.59M-209.45%-2.35M-209.45%-2.35M-0.86%5.46M
Paid-in capital 11.76%22.38M41.56%21.97M46.92%21.53M46.92%21.53M46.30%20.47M54.39%20.02M21.35%15.52M34.37%14.66M34.37%14.66M29.58%13.99M
Gains losses not affecting retained earnings 22.81%-20.41M-5.36%-22.06M3.94%-22.72M3.94%-22.72M12.95%-23.93M8.96%-26.44M21.73%-20.94M3.45%-23.66M3.45%-23.66M-43.52%-27.49M
Other equity interest -0.00%6.87M-37.52%6.87M105.46%8.48M105.46%8.48M66.52%6.87M15.23%6.87M84.39%11M-31.82%4.13M-31.82%4.13M53.80%4.13M
Total stockholders'equity 24.96%177.56M11.59%171.18M56.07%157.76M56.07%157.76M38.17%144.24M62.01%142.09M72.90%153.4M11.44%101.08M11.44%101.08M60.60%104.39M
Noncontrolling interests 9.14%477.68K5.72%464.09K-0.58%429.01K-0.58%429.01K-43.86%460.21K--437.69K--438.97K--431.49K--431.49K--819.78K
Total equity 24.91%178.03M11.57%171.64M55.83%158.19M55.83%158.19M37.53%144.7M62.51%142.53M73.40%153.84M11.91%101.51M11.91%101.51M61.86%105.21M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

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Price Target

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Heat List
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Symbol
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% Chg

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