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HC Hypercharge Networks Corp

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  • 0.125
  • +0.015+13.64%
15min DelayMarket Closed Jul 18 16:00 ET
8.81MMarket Cap-1041P/E (TTM)

Hypercharge Networks Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q3)Dec 31, 2022
(FY)Aug 31, 2022
(Q4)Aug 31, 2022
(Q3)May 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-7.04%2.5M
--2.5M
6.40%4.37M
37.05%5.22M
--6.93M
139.97%2.69M
--4.1M
-62.97%1.12M
-62.97%1.12M
--2.33M
-Cash and cash equivalents
-7.04%2.5M
--2.5M
6.40%4.37M
37.96%5.22M
--6.93M
139.97%2.69M
--4.1M
-62.97%1.12M
-62.97%1.12M
--2.33M
-Accounts receivable
38.04%1.44M
--1.44M
18.43%1.02M
33,913.16%1.55M
--1.05M
164.02%1.05M
--861.68K
--396.02K
--396.02K
--89.49K
-Accrued interest receivable
-73.74%1.49K
--1.49K
--46.11K
--61.42K
--17.55K
--5.67K
----
--0
--0
----
-Other receivables
0.00%10.2K
--10.2K
0.00%10.2K
--10.2K
--10.2K
-65.25%10.2K
--10.2K
--29.37K
--29.37K
--29.37K
Total current assets
-5.25%5.54M
--5.54M
-5.78%6.88M
68.76%8.68M
--10M
-34.63%5.85M
--7.31M
175.84%8.95M
175.84%8.95M
--4.22M
Non current assets
-Accumulated depreciation
-136.47%-163.08K
---163.08K
-163.72%-133.26K
-49.16%-105.68K
---85.89K
-113.97%-68.96K
---50.53K
-21,386.00%-32.23K
-21,386.00%-32.23K
---110.05K
-Long term equity investment
-68.65%79.16K
--79.16K
-60.89%121.86K
4.65%162.5K
--202.1K
178.62%252.53K
--311.56K
--90.64K
--90.64K
--123.3K
-Goodwill
----
----
----
----
----
----
----
----
----
--2.07M
-Other intangible assets
84.26%3.43M
--3.43M
152.53%3.88M
370.69%3.19M
--5.06M
-71.77%1.86M
--1.54M
1,816.93%6.58M
1,816.93%6.58M
--878.68K
Regulatory assets
55.05%1.5M
--1.5M
-18.64%974.49K
1,867.61%1.51M
--990.38K
93.30%966.16K
--1.2M
130.40%499.81K
130.40%499.81K
--196.49K
Non current deferred assets
----
----
----
----
----
--33.42K
--79.1K
----
----
----
Total assets
-72.89%28.51K
--28.51K
-98.17%2.12K
40.89%80.68K
--134.91K
62.51%105.17K
--115.65K
--64.72K
--64.72K
--69.04K
Liabilities
Current liabilities
Current debt and capital lease obligation
-37.36%173.37K
--173.37K
-27.20%203.07K
12.53%232.13K
--260.56K
23.30%276.76K
--278.95K
--224.47K
--224.47K
--244.63K
-Current debt
----
----
----
----
----
----
--11.57K
--97.92K
--97.92K
--121.42K
-Current capital lease obligation
-37.36%173.37K
--173.37K
-24.05%203.07K
94.04%232.13K
--260.56K
118.69%276.76K
--267.38K
--126.55K
--126.55K
--123.21K
-accounts payable
73.15%1.59M
--1.59M
8.26%1.24M
--1.47M
--1.27M
59.75%919.01K
--1.14M
160.74%575.26K
160.74%575.26K
--437.11K
-Total tax payable
-19.32%280.1K
--280.1K
-6.79%319.77K
84.48%336.26K
--313.61K
283.05%347.18K
--343.07K
--90.64K
--90.64K
--123.3K
Current deferred liabilities
26.67%440.61K
--440.61K
251.35%478.87K
23.97%434.63K
--383.75K
-16.99%347.84K
--136.29K
--419.05K
--419.05K
--357.79K
Current liabilities
42.58%2.22M
--2.22M
23.02%1.93M
146.85%2.15M
--1.93M
24.49%1.55M
--1.57M
20.33%1.25M
20.33%1.25M
--1.07M
Non current liabilities
-Long term debt
-68.65%79.16K
--79.16K
-60.89%121.86K
4.65%162.5K
--202.1K
178.62%252.53K
--311.56K
--90.64K
--90.64K
--123.3K
Non current accrued expenses
-12.21%457.06K
--457.06K
-7.43%499.88K
23.74%466.11K
--493.77K
47.72%520.62K
--539.99K
13,731.59%352.43K
13,731.59%352.43K
--352K
Regulatory liabilities
32.42%-237.77K
---237.77K
-577.18%-167.41K
---281.68K
---358.61K
-5,884.08%-351.8K
---24.72K
---5.88K
---5.88K
----
Total non current liabilities
31.28%2.5M
--2.5M
17.67%2.25M
136.04%2.48M
--2.24M
41.99%1.9M
--1.91M
29.07%1.34M
29.07%1.34M
--1.19M
Shareholders'equity
Share capital
31.40%22.66M
--22.66M
30.03%22.27M
115.05%22.07M
--19.98M
47.02%17.25M
--17.13M
309.92%11.73M
309.92%11.73M
--11.56M
-common stock
31.40%22.66M
--22.66M
30.03%22.27M
115.05%22.07M
--19.98M
47.02%17.25M
--17.13M
309.92%11.73M
309.92%11.73M
--11.56M
Retained earnings
--0
--0
----
----
----
--0
--0
--5.67M
--5.67M
----
Gains losses not affecting retained earnings
---3.58K
---3.58K
--3.32K
---2.42K
--562
--0
----
--0
--0
----
Other equity interest
-38.44%742.54K
--742.54K
-2.35%884.93K
150.30%991.64K
--958.86K
220.79%1.21M
--906.23K
7,992.94%376K
7,992.94%376K
--593.08K
Total equity
-6.31%6M
--6M
-6.84%7.38M
21.55%9.15M
--10.49M
-31.15%6.4M
--7.93M
183.26%9.3M
183.26%9.3M
--6.64M
(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q3)Dec 31, 2022(FY)Aug 31, 2022(Q4)Aug 31, 2022(Q3)May 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -7.04%2.5M--2.5M6.40%4.37M37.05%5.22M--6.93M139.97%2.69M--4.1M-62.97%1.12M-62.97%1.12M--2.33M
-Cash and cash equivalents -7.04%2.5M--2.5M6.40%4.37M37.96%5.22M--6.93M139.97%2.69M--4.1M-62.97%1.12M-62.97%1.12M--2.33M
-Accounts receivable 38.04%1.44M--1.44M18.43%1.02M33,913.16%1.55M--1.05M164.02%1.05M--861.68K--396.02K--396.02K--89.49K
-Accrued interest receivable -73.74%1.49K--1.49K--46.11K--61.42K--17.55K--5.67K------0--0----
-Other receivables 0.00%10.2K--10.2K0.00%10.2K--10.2K--10.2K-65.25%10.2K--10.2K--29.37K--29.37K--29.37K
Total current assets -5.25%5.54M--5.54M-5.78%6.88M68.76%8.68M--10M-34.63%5.85M--7.31M175.84%8.95M175.84%8.95M--4.22M
Non current assets
-Accumulated depreciation -136.47%-163.08K---163.08K-163.72%-133.26K-49.16%-105.68K---85.89K-113.97%-68.96K---50.53K-21,386.00%-32.23K-21,386.00%-32.23K---110.05K
-Long term equity investment -68.65%79.16K--79.16K-60.89%121.86K4.65%162.5K--202.1K178.62%252.53K--311.56K--90.64K--90.64K--123.3K
-Goodwill --------------------------------------2.07M
-Other intangible assets 84.26%3.43M--3.43M152.53%3.88M370.69%3.19M--5.06M-71.77%1.86M--1.54M1,816.93%6.58M1,816.93%6.58M--878.68K
Regulatory assets 55.05%1.5M--1.5M-18.64%974.49K1,867.61%1.51M--990.38K93.30%966.16K--1.2M130.40%499.81K130.40%499.81K--196.49K
Non current deferred assets ----------------------33.42K--79.1K------------
Total assets -72.89%28.51K--28.51K-98.17%2.12K40.89%80.68K--134.91K62.51%105.17K--115.65K--64.72K--64.72K--69.04K
Liabilities
Current liabilities
Current debt and capital lease obligation -37.36%173.37K--173.37K-27.20%203.07K12.53%232.13K--260.56K23.30%276.76K--278.95K--224.47K--224.47K--244.63K
-Current debt --------------------------11.57K--97.92K--97.92K--121.42K
-Current capital lease obligation -37.36%173.37K--173.37K-24.05%203.07K94.04%232.13K--260.56K118.69%276.76K--267.38K--126.55K--126.55K--123.21K
-accounts payable 73.15%1.59M--1.59M8.26%1.24M--1.47M--1.27M59.75%919.01K--1.14M160.74%575.26K160.74%575.26K--437.11K
-Total tax payable -19.32%280.1K--280.1K-6.79%319.77K84.48%336.26K--313.61K283.05%347.18K--343.07K--90.64K--90.64K--123.3K
Current deferred liabilities 26.67%440.61K--440.61K251.35%478.87K23.97%434.63K--383.75K-16.99%347.84K--136.29K--419.05K--419.05K--357.79K
Current liabilities 42.58%2.22M--2.22M23.02%1.93M146.85%2.15M--1.93M24.49%1.55M--1.57M20.33%1.25M20.33%1.25M--1.07M
Non current liabilities
-Long term debt -68.65%79.16K--79.16K-60.89%121.86K4.65%162.5K--202.1K178.62%252.53K--311.56K--90.64K--90.64K--123.3K
Non current accrued expenses -12.21%457.06K--457.06K-7.43%499.88K23.74%466.11K--493.77K47.72%520.62K--539.99K13,731.59%352.43K13,731.59%352.43K--352K
Regulatory liabilities 32.42%-237.77K---237.77K-577.18%-167.41K---281.68K---358.61K-5,884.08%-351.8K---24.72K---5.88K---5.88K----
Total non current liabilities 31.28%2.5M--2.5M17.67%2.25M136.04%2.48M--2.24M41.99%1.9M--1.91M29.07%1.34M29.07%1.34M--1.19M
Shareholders'equity
Share capital 31.40%22.66M--22.66M30.03%22.27M115.05%22.07M--19.98M47.02%17.25M--17.13M309.92%11.73M309.92%11.73M--11.56M
-common stock 31.40%22.66M--22.66M30.03%22.27M115.05%22.07M--19.98M47.02%17.25M--17.13M309.92%11.73M309.92%11.73M--11.56M
Retained earnings --0--0--------------0--0--5.67M--5.67M----
Gains losses not affecting retained earnings ---3.58K---3.58K--3.32K---2.42K--562--0------0--0----
Other equity interest -38.44%742.54K--742.54K-2.35%884.93K150.30%991.64K--958.86K220.79%1.21M--906.23K7,992.94%376K7,992.94%376K--593.08K
Total equity -6.31%6M--6M-6.84%7.38M21.55%9.15M--10.49M-31.15%6.4M--7.93M183.26%9.3M183.26%9.3M--6.64M

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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