CA Stock MarketDetailed Quotes

GLOW Glow LifeTech Corp

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  • 0.055
  • -0.010-15.38%
15min DelayPost Market Sep 13 15:54 ET
4.48MMarket Cap-1833P/E (TTM)

Glow LifeTech Corp 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
6,486.65%366.55K
219.44%24.93K
-99.95%34
-99.95%34
-82.03%47.47K
6.43%5.57K
-95.92%7.81K
-89.92%75.2K
-89.92%75.2K
-82.30%264.19K
-Cash and cash equivalents
6,486.65%366.55K
219.44%24.93K
-99.90%34
-99.90%34
-82.03%47.47K
6.43%5.57K
-95.92%7.81K
-95.55%33.2K
-95.55%33.2K
-80.96%264.19K
-Accounts receivable
--170.27K
--180.89K
----
----
----
----
----
----
----
----
Total current assets
161.03%734.75K
64.11%421.79K
-53.14%190.58K
-53.14%190.58K
-61.47%210.28K
-30.70%281.48K
-65.29%257.01K
-68.47%406.67K
-68.47%406.67K
-73.10%545.73K
Non current assets
-Accumulated depreciation
-32.04%-223.67K
-40.95%-207.51K
-58.03%-191.35K
-58.03%-191.35K
-79.02%-189.94K
-99.80%-169.4K
-131.68%-147.23K
-179.06%-121.08K
-179.06%-121.08K
---106.1K
-Long term equity investment
----
----
--0
--0
----
----
----
--29.38K
--29.38K
----
-Goodwill
-11.51%1.28M
-11.18%1.32M
-14.12%1.36M
-14.12%1.36M
320.91%1.4M
333.66%1.45M
346.41%1.49M
-21.90%1.59M
-21.90%1.59M
-83.61%333.33K
-Other intangible assets
114.43%532.11K
-76.80%57.56K
0.00%248.16K
0.00%248.16K
-69.45%248.16K
-70.30%248.16K
-70.30%248.16K
-70.30%248.16K
-70.30%248.16K
-2.79%812.24K
Regulatory assets
106.17%206.24K
320.41%275.82K
-55.83%67.06K
-55.83%67.06K
-52.84%55.71K
-71.09%100.04K
-78.26%65.61K
-41.63%151.83K
-41.63%151.83K
-64.81%118.13K
Total assets
-47.90%35.97K
-4.85%32.93K
-69.21%43.06K
-69.21%43.06K
-69.62%32.54K
-79.39%69.04K
-88.49%34.61K
-46.25%139.83K
-46.25%139.83K
-68.09%107.13K
Liabilities
Current liabilities
Current debt and capital lease obligation
--359.51K
--413.34K
45.58%171.75K
45.58%171.75K
----
----
----
195.45%117.97K
195.45%117.97K
----
-Current debt
--312.76K
--392.35K
74.09%130.56K
74.09%130.56K
----
----
----
87.83%75K
87.83%75K
----
-Current capital lease obligation
--46.75K
--20.99K
-4.16%41.18K
-4.16%41.18K
----
----
----
--42.97K
--42.97K
----
-accounts payable
47.59%1.11M
63.79%1.02M
182.02%1.07M
182.02%1.07M
97.29%904.75K
168.37%752.03K
175.40%620.89K
115.48%378.66K
115.48%378.66K
-27.99%458.6K
-Total tax payable
--0
--0
--0
--0
--0
--0
--0
--29.38K
--29.38K
--0
-Due to related parties current
14.43%1.09M
65.18%1.12M
72.60%1.11M
72.60%1.11M
100.94%1.08M
224.03%955.11K
349.80%677.95K
470.54%641.09K
470.54%641.09K
--536.85K
-Other payable
--2
--2
200.00%1
200.00%1
----
----
----
---1
---1
----
Current liabilities
50.10%2.56M
96.34%2.55M
106.21%2.35M
106.21%2.35M
99.26%1.98M
188.92%1.71M
224.63%1.3M
246.84%1.14M
246.84%1.14M
56.31%995.45K
Non current liabilities
Long term debt and capital lease obligation
--0
100.00%62K
100.00%24K
100.00%24K
110.59%23.17K
181.82%31K
3,000.00%31K
--12K
--12K
--11K
-Long term debt
----
----
--0
--0
----
----
----
--29.38K
--29.38K
----
Non current accrued expenses
-16.79%333.96K
-8.02%323.49K
-6.82%358.2K
-6.82%358.2K
-2.53%382.9K
-2.35%401.37K
-9.64%351.7K
-2.19%384.43K
-2.19%384.43K
5.87%392.83K
Total non current liabilities
50.10%2.56M
96.34%2.55M
101.02%2.35M
101.02%2.35M
99.26%1.98M
188.92%1.71M
224.63%1.3M
255.79%1.17M
255.79%1.17M
56.31%995.45K
Shareholders'equity
Share capital
1.81%11.63M
1.35%11.58M
0.00%11.42M
0.00%11.42M
0.00%11.42M
0.00%11.42M
0.00%11.42M
0.00%11.42M
0.00%11.42M
-8.42%11.42M
-common stock
1.81%11.63M
1.35%11.58M
0.00%11.42M
0.00%11.42M
0.00%11.42M
0.00%11.42M
0.00%11.42M
0.00%11.42M
0.00%11.42M
-8.42%11.42M
Additional paid-in capital
8.06%3.33M
8.06%3.33M
0.00%3.08M
0.00%3.08M
23.59%3.08M
23.59%3.08M
23.59%3.08M
23.59%3.08M
23.59%3.08M
-0.21%2.49M
Retained earnings
----
----
----
----
-97.92%20
-99.59%20
-99.90%83
----
----
-91.83%963
Noncontrolling interests
----
----
----
----
----
----
----
----
----
--1.7M
Total equity
10.32%2.35M
-2.34%2.07M
-19.61%1.91M
-19.61%1.91M
-33.61%2M
-26.88%2.13M
-34.60%2.12M
-36.77%2.38M
-36.77%2.38M
-32.19%3.01M
(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 6,486.65%366.55K219.44%24.93K-99.95%34-99.95%34-82.03%47.47K6.43%5.57K-95.92%7.81K-89.92%75.2K-89.92%75.2K-82.30%264.19K
-Cash and cash equivalents 6,486.65%366.55K219.44%24.93K-99.90%34-99.90%34-82.03%47.47K6.43%5.57K-95.92%7.81K-95.55%33.2K-95.55%33.2K-80.96%264.19K
-Accounts receivable --170.27K--180.89K--------------------------------
Total current assets 161.03%734.75K64.11%421.79K-53.14%190.58K-53.14%190.58K-61.47%210.28K-30.70%281.48K-65.29%257.01K-68.47%406.67K-68.47%406.67K-73.10%545.73K
Non current assets
-Accumulated depreciation -32.04%-223.67K-40.95%-207.51K-58.03%-191.35K-58.03%-191.35K-79.02%-189.94K-99.80%-169.4K-131.68%-147.23K-179.06%-121.08K-179.06%-121.08K---106.1K
-Long term equity investment ----------0--0--------------29.38K--29.38K----
-Goodwill -11.51%1.28M-11.18%1.32M-14.12%1.36M-14.12%1.36M320.91%1.4M333.66%1.45M346.41%1.49M-21.90%1.59M-21.90%1.59M-83.61%333.33K
-Other intangible assets 114.43%532.11K-76.80%57.56K0.00%248.16K0.00%248.16K-69.45%248.16K-70.30%248.16K-70.30%248.16K-70.30%248.16K-70.30%248.16K-2.79%812.24K
Regulatory assets 106.17%206.24K320.41%275.82K-55.83%67.06K-55.83%67.06K-52.84%55.71K-71.09%100.04K-78.26%65.61K-41.63%151.83K-41.63%151.83K-64.81%118.13K
Total assets -47.90%35.97K-4.85%32.93K-69.21%43.06K-69.21%43.06K-69.62%32.54K-79.39%69.04K-88.49%34.61K-46.25%139.83K-46.25%139.83K-68.09%107.13K
Liabilities
Current liabilities
Current debt and capital lease obligation --359.51K--413.34K45.58%171.75K45.58%171.75K------------195.45%117.97K195.45%117.97K----
-Current debt --312.76K--392.35K74.09%130.56K74.09%130.56K------------87.83%75K87.83%75K----
-Current capital lease obligation --46.75K--20.99K-4.16%41.18K-4.16%41.18K--------------42.97K--42.97K----
-accounts payable 47.59%1.11M63.79%1.02M182.02%1.07M182.02%1.07M97.29%904.75K168.37%752.03K175.40%620.89K115.48%378.66K115.48%378.66K-27.99%458.6K
-Total tax payable --0--0--0--0--0--0--0--29.38K--29.38K--0
-Due to related parties current 14.43%1.09M65.18%1.12M72.60%1.11M72.60%1.11M100.94%1.08M224.03%955.11K349.80%677.95K470.54%641.09K470.54%641.09K--536.85K
-Other payable --2--2200.00%1200.00%1---------------1---1----
Current liabilities 50.10%2.56M96.34%2.55M106.21%2.35M106.21%2.35M99.26%1.98M188.92%1.71M224.63%1.3M246.84%1.14M246.84%1.14M56.31%995.45K
Non current liabilities
Long term debt and capital lease obligation --0100.00%62K100.00%24K100.00%24K110.59%23.17K181.82%31K3,000.00%31K--12K--12K--11K
-Long term debt ----------0--0--------------29.38K--29.38K----
Non current accrued expenses -16.79%333.96K-8.02%323.49K-6.82%358.2K-6.82%358.2K-2.53%382.9K-2.35%401.37K-9.64%351.7K-2.19%384.43K-2.19%384.43K5.87%392.83K
Total non current liabilities 50.10%2.56M96.34%2.55M101.02%2.35M101.02%2.35M99.26%1.98M188.92%1.71M224.63%1.3M255.79%1.17M255.79%1.17M56.31%995.45K
Shareholders'equity
Share capital 1.81%11.63M1.35%11.58M0.00%11.42M0.00%11.42M0.00%11.42M0.00%11.42M0.00%11.42M0.00%11.42M0.00%11.42M-8.42%11.42M
-common stock 1.81%11.63M1.35%11.58M0.00%11.42M0.00%11.42M0.00%11.42M0.00%11.42M0.00%11.42M0.00%11.42M0.00%11.42M-8.42%11.42M
Additional paid-in capital 8.06%3.33M8.06%3.33M0.00%3.08M0.00%3.08M23.59%3.08M23.59%3.08M23.59%3.08M23.59%3.08M23.59%3.08M-0.21%2.49M
Retained earnings -----------------97.92%20-99.59%20-99.90%83---------91.83%963
Noncontrolling interests --------------------------------------1.7M
Total equity 10.32%2.35M-2.34%2.07M-19.61%1.91M-19.61%1.91M-33.61%2M-26.88%2.13M-34.60%2.12M-36.77%2.38M-36.77%2.38M-32.19%3.01M

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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