CA Stock MarketDetailed Quotes

HAPB Hapbee Technologies Inc

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  • 0.040
  • -0.005-11.11%
15min DelayMarket Closed Dec 27 16:00 ET
7.67MMarket Cap-1.48P/E (TTM)

Hapbee Technologies Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
627.68%1.22M
87.87%448.12K
1,072.82%1.85M
-27.97%212.65K
-27.97%212.65K
-39.79%168.21K
-60.42%238.52K
-91.48%157.33K
-91.87%295.22K
-91.87%295.22K
-Cash and cash equivalents
627.68%1.22M
87.87%448.12K
1,072.82%1.85M
-27.97%212.65K
-27.97%212.65K
-39.79%168.21K
-60.42%238.52K
-91.48%157.33K
-91.87%295.22K
-91.87%295.22K
Receivables
142.16%127.76K
190.14%117.6K
-22.91%103.72K
-51.67%82.42K
-51.67%82.42K
44.42%52.76K
92.37%40.53K
868.03%134.55K
85.53%170.55K
85.53%170.55K
-Accounts receivable
142.16%127.76K
190.14%117.6K
-22.91%103.72K
-51.67%82.42K
-51.67%82.42K
44.42%52.76K
92.37%40.53K
868.03%134.55K
85.53%170.55K
85.53%170.55K
Inventory
327.37%756.23K
224.91%668.5K
14.12%261.6K
-40.15%156.31K
-40.15%156.31K
-45.38%176.95K
-44.84%205.75K
-53.40%229.23K
-7.91%261.15K
-7.91%261.15K
Prepaid assets
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total current assets
429.76%2.11M
154.58%1.23M
324.20%2.21M
-37.90%451.38K
-37.90%451.38K
-41.49%397.92K
-53.60%484.8K
-79.80%521.11K
-81.85%726.92K
-81.85%726.92K
Non current assets
Goodwill and other intangible assets
-11.08%1.7M
-10.79%1.75M
-10.53%1.81M
-10.26%1.86M
-10.26%1.86M
-10.01%1.91M
-9.76%1.96M
-9.52%2.02M
-9.31%2.07M
-9.31%2.07M
-Other intangible assets
-11.08%1.7M
-10.79%1.75M
--1.81M
-10.26%1.86M
-10.26%1.86M
--1.91M
-9.76%1.96M
----
-9.31%2.07M
-9.31%2.07M
Total non current assets
-11.08%1.7M
-10.79%1.75M
-10.53%1.81M
-10.26%1.86M
-10.26%1.86M
-10.01%1.91M
-9.76%1.96M
-9.52%2.02M
-9.31%2.07M
-9.31%2.07M
Total assets
64.88%3.81M
21.94%2.99M
58.17%4.02M
-17.44%2.31M
-17.44%2.31M
-17.65%2.31M
-23.98%2.45M
-47.21%2.54M
-55.51%2.8M
-55.51%2.8M
Liabilities
Current liabilities
Current debt and capital lease obligation
-75.59%32.33K
-55.52%50.75K
--89.86K
--133.91K
--133.91K
--132.46K
--114.11K
----
----
----
-Current debt
-75.59%32.33K
-55.52%50.75K
--89.86K
--133.91K
--133.91K
--132.46K
--114.11K
----
----
----
Payables
19.47%2.18M
80.35%2.17M
-4.08%2.28M
32.65%2.16M
32.65%2.16M
--1.83M
48.88%1.21M
193.22%2.37M
68.45%1.63M
68.45%1.63M
-accounts payable
-15.48%951.26K
25.39%1.28M
-20.34%1.39M
-0.65%838.66K
-0.65%838.66K
--1.13M
71.47%1.02M
139.71%1.74M
23.04%844.18K
23.04%844.18K
-Due to related parties current
75.45%1.23M
391.69%889.28K
40.42%892.56K
68.56%1.32M
68.56%1.32M
--702.65K
-14.75%180.86K
652.91%635.63K
179.83%782.87K
179.83%782.87K
Current provisions
-41.01%9.13K
-84.20%9.13K
-84.20%9.13K
-84.20%9.13K
-84.20%9.13K
-73.21%15.48K
0.00%57.79K
-9.39%57.79K
9.43%57.79K
9.43%57.79K
Current deferred liabilities
-35.29%161.63K
-38.14%183.66K
-40.20%205.69K
-41.77%227.73K
-41.77%227.73K
-43.01%249.76K
-38.77%296.88K
-35.67%343.99K
-32.49%391.11K
-32.49%391.11K
Other current liabilities
----
----
--2K
----
----
----
----
----
----
----
Current liabilities
7.25%2.39M
44.40%2.42M
-6.91%2.58M
21.83%2.53M
21.83%2.53M
8.28%2.23M
-1.73%1.67M
97.13%2.78M
29.91%2.08M
29.91%2.08M
Non current liabilities
Long term debt and capital lease obligation
12.62%1.69M
12.62%1.69M
--1.69M
--1.5M
--1.5M
--1.5M
--1.5M
----
----
----
-Long term debt
12.62%1.69M
12.62%1.69M
--1.69M
--1.5M
--1.5M
--1.5M
--1.5M
----
----
----
Derivative product liabilities
149.84%1.54M
38.83%1.41M
-20.15%491.71K
-29.74%492.98K
-29.74%492.98K
76.27%617.01K
190.06%1.02M
-81.29%615.79K
-77.38%701.7K
-77.38%701.7K
Total non current liabilities
52.62%3.23M
23.20%3.1M
254.11%2.18M
183.96%1.99M
183.96%1.99M
504.69%2.12M
618.48%2.51M
-81.29%615.79K
-77.38%701.7K
-77.38%701.7K
Total liabilities
29.36%5.62M
31.68%5.52M
40.47%4.76M
62.79%4.52M
62.79%4.52M
80.52%4.34M
103.97%4.19M
-27.84%3.39M
-40.91%2.78M
-40.91%2.78M
Shareholders'equity
Share capital
27.60%19.2M
15.70%17.25M
4.00%15.22M
4.01%15.22M
4.01%15.22M
11.58%15.05M
6.83%14.91M
5.82%14.63M
9.68%14.63M
9.68%14.63M
-common stock
27.60%19.2M
15.70%17.25M
4.00%15.22M
4.01%15.22M
4.01%15.22M
11.58%15.05M
6.83%14.91M
5.82%14.63M
9.68%14.63M
9.68%14.63M
Retained earnings
-17.15%-27.45M
-14.00%-26.22M
-10.84%-24.4M
-12.70%-23.83M
-12.70%-23.83M
-17.84%-23.43M
-21.76%-23M
-11.65%-22.02M
-20.89%-21.14M
-20.89%-21.14M
Gains losses not affecting retained earnings
1.39%6.44M
1.39%6.44M
29.17%8.44M
-2.04%6.4M
-2.04%6.4M
-6.58%6.35M
4.10%6.35M
8.85%6.53M
13.85%6.53M
13.85%6.53M
Total stockholders'equity
10.98%-1.81M
-45.38%-2.53M
12.20%-748.98K
-11,147.20%-2.21M
-11,147.20%-2.21M
-610.20%-2.03M
-248.98%-1.74M
-879.46%-853.02K
-98.74%20.02K
-98.74%20.02K
Total equity
10.98%-1.81M
-45.38%-2.53M
12.20%-748.98K
-11,147.20%-2.21M
-11,147.20%-2.21M
-610.20%-2.03M
-248.98%-1.74M
-879.46%-853.02K
-98.74%20.02K
-98.74%20.02K
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)Sep 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments 627.68%1.22M87.87%448.12K1,072.82%1.85M-27.97%212.65K-27.97%212.65K-39.79%168.21K-60.42%238.52K-91.48%157.33K-91.87%295.22K-91.87%295.22K
-Cash and cash equivalents 627.68%1.22M87.87%448.12K1,072.82%1.85M-27.97%212.65K-27.97%212.65K-39.79%168.21K-60.42%238.52K-91.48%157.33K-91.87%295.22K-91.87%295.22K
Receivables 142.16%127.76K190.14%117.6K-22.91%103.72K-51.67%82.42K-51.67%82.42K44.42%52.76K92.37%40.53K868.03%134.55K85.53%170.55K85.53%170.55K
-Accounts receivable 142.16%127.76K190.14%117.6K-22.91%103.72K-51.67%82.42K-51.67%82.42K44.42%52.76K92.37%40.53K868.03%134.55K85.53%170.55K85.53%170.55K
Inventory 327.37%756.23K224.91%668.5K14.12%261.6K-40.15%156.31K-40.15%156.31K-45.38%176.95K-44.84%205.75K-53.40%229.23K-7.91%261.15K-7.91%261.15K
Prepaid assets --0--0--0--0--0--0--0--0--0--0
Total current assets 429.76%2.11M154.58%1.23M324.20%2.21M-37.90%451.38K-37.90%451.38K-41.49%397.92K-53.60%484.8K-79.80%521.11K-81.85%726.92K-81.85%726.92K
Non current assets
Goodwill and other intangible assets -11.08%1.7M-10.79%1.75M-10.53%1.81M-10.26%1.86M-10.26%1.86M-10.01%1.91M-9.76%1.96M-9.52%2.02M-9.31%2.07M-9.31%2.07M
-Other intangible assets -11.08%1.7M-10.79%1.75M--1.81M-10.26%1.86M-10.26%1.86M--1.91M-9.76%1.96M-----9.31%2.07M-9.31%2.07M
Total non current assets -11.08%1.7M-10.79%1.75M-10.53%1.81M-10.26%1.86M-10.26%1.86M-10.01%1.91M-9.76%1.96M-9.52%2.02M-9.31%2.07M-9.31%2.07M
Total assets 64.88%3.81M21.94%2.99M58.17%4.02M-17.44%2.31M-17.44%2.31M-17.65%2.31M-23.98%2.45M-47.21%2.54M-55.51%2.8M-55.51%2.8M
Liabilities
Current liabilities
Current debt and capital lease obligation -75.59%32.33K-55.52%50.75K--89.86K--133.91K--133.91K--132.46K--114.11K------------
-Current debt -75.59%32.33K-55.52%50.75K--89.86K--133.91K--133.91K--132.46K--114.11K------------
Payables 19.47%2.18M80.35%2.17M-4.08%2.28M32.65%2.16M32.65%2.16M--1.83M48.88%1.21M193.22%2.37M68.45%1.63M68.45%1.63M
-accounts payable -15.48%951.26K25.39%1.28M-20.34%1.39M-0.65%838.66K-0.65%838.66K--1.13M71.47%1.02M139.71%1.74M23.04%844.18K23.04%844.18K
-Due to related parties current 75.45%1.23M391.69%889.28K40.42%892.56K68.56%1.32M68.56%1.32M--702.65K-14.75%180.86K652.91%635.63K179.83%782.87K179.83%782.87K
Current provisions -41.01%9.13K-84.20%9.13K-84.20%9.13K-84.20%9.13K-84.20%9.13K-73.21%15.48K0.00%57.79K-9.39%57.79K9.43%57.79K9.43%57.79K
Current deferred liabilities -35.29%161.63K-38.14%183.66K-40.20%205.69K-41.77%227.73K-41.77%227.73K-43.01%249.76K-38.77%296.88K-35.67%343.99K-32.49%391.11K-32.49%391.11K
Other current liabilities ----------2K----------------------------
Current liabilities 7.25%2.39M44.40%2.42M-6.91%2.58M21.83%2.53M21.83%2.53M8.28%2.23M-1.73%1.67M97.13%2.78M29.91%2.08M29.91%2.08M
Non current liabilities
Long term debt and capital lease obligation 12.62%1.69M12.62%1.69M--1.69M--1.5M--1.5M--1.5M--1.5M------------
-Long term debt 12.62%1.69M12.62%1.69M--1.69M--1.5M--1.5M--1.5M--1.5M------------
Derivative product liabilities 149.84%1.54M38.83%1.41M-20.15%491.71K-29.74%492.98K-29.74%492.98K76.27%617.01K190.06%1.02M-81.29%615.79K-77.38%701.7K-77.38%701.7K
Total non current liabilities 52.62%3.23M23.20%3.1M254.11%2.18M183.96%1.99M183.96%1.99M504.69%2.12M618.48%2.51M-81.29%615.79K-77.38%701.7K-77.38%701.7K
Total liabilities 29.36%5.62M31.68%5.52M40.47%4.76M62.79%4.52M62.79%4.52M80.52%4.34M103.97%4.19M-27.84%3.39M-40.91%2.78M-40.91%2.78M
Shareholders'equity
Share capital 27.60%19.2M15.70%17.25M4.00%15.22M4.01%15.22M4.01%15.22M11.58%15.05M6.83%14.91M5.82%14.63M9.68%14.63M9.68%14.63M
-common stock 27.60%19.2M15.70%17.25M4.00%15.22M4.01%15.22M4.01%15.22M11.58%15.05M6.83%14.91M5.82%14.63M9.68%14.63M9.68%14.63M
Retained earnings -17.15%-27.45M-14.00%-26.22M-10.84%-24.4M-12.70%-23.83M-12.70%-23.83M-17.84%-23.43M-21.76%-23M-11.65%-22.02M-20.89%-21.14M-20.89%-21.14M
Gains losses not affecting retained earnings 1.39%6.44M1.39%6.44M29.17%8.44M-2.04%6.4M-2.04%6.4M-6.58%6.35M4.10%6.35M8.85%6.53M13.85%6.53M13.85%6.53M
Total stockholders'equity 10.98%-1.81M-45.38%-2.53M12.20%-748.98K-11,147.20%-2.21M-11,147.20%-2.21M-610.20%-2.03M-248.98%-1.74M-879.46%-853.02K-98.74%20.02K-98.74%20.02K
Total equity 10.98%-1.81M-45.38%-2.53M12.20%-748.98K-11,147.20%-2.21M-11,147.20%-2.21M-610.20%-2.03M-248.98%-1.74M-879.46%-853.02K-98.74%20.02K-98.74%20.02K
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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