Advanced Micro Devices
AMD
ASML Holding
ASML
Cisco
CSCO
Taiwan Semiconductor
TSM
Disney
DIS
(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 | -53.57%212.35K | 259.63%247.19K | -82.82%138.03K | 521.64%1.22M | 521.64%1.22M | 180.88%457.39K | -58.16%68.74K | -0.82%803.4K | 173.17%196.15K | 173.17%196.15K |
-Cash and cash equivalents | -53.57%212.35K | 259.63%247.19K | -82.82%138.03K | 521.64%1.22M | 521.64%1.22M | 180.88%457.39K | -58.16%68.74K | -0.82%803.4K | 173.17%196.15K | 173.17%196.15K |
Receivables | 33.58%798.33K | 92.31%703.75K | 49.59%512.15K | 35.94%563.91K | 35.94%563.91K | 18.32%597.66K | -47.86%365.94K | -52.16%342.38K | -34.06%414.81K | -34.06%414.81K |
-Accounts receivable | 33.58%798.33K | 92.31%703.75K | 49.59%512.15K | 35.94%563.91K | 35.94%563.91K | 18.32%597.66K | -47.86%365.94K | -52.16%342.38K | -34.06%414.81K | -34.06%414.81K |
Other current assets | -54.22%441.2K | -28.10%492.28K | 33.96%719.35K | 258.86%1.73M | 258.86%1.73M | 161.65%963.78K | 71.18%684.66K | 37.55%536.99K | 53.93%480.71K | 53.93%480.71K |
Total current assets | -28.08%1.45M | 28.94%1.44M | -18.61%1.37M | 221.37%3.51M | 221.37%3.51M | 94.81%2.02M | -11.59%1.12M | -12.18%1.68M | 7.75%1.09M | 7.75%1.09M |
Non current assets | ||||||||||
Net PPE | -19.52%1.11M | 12.05%1.18M | 23.85%1.25M | 30.05%1.32M | 30.05%1.32M | 29.49%1.38M | -5.71%1.05M | -13.82%1.01M | 431.63%1.02M | 431.63%1.02M |
-Gross PPE | -19.52%1.11M | 12.05%1.18M | 23.85%1.25M | 27.83%1.4M | 27.83%1.4M | 29.49%1.38M | -5.71%1.05M | -13.82%1.01M | 340.82%1.1M | 340.82%1.1M |
-Accumulated depreciation | ---- | ---- | ---- | 0.44%-79.84K | 0.44%-79.84K | ---- | ---- | ---- | -39.06%-80.18K | -39.06%-80.18K |
Goodwill and other intangible assets | 100.52%11.28M | 171.20%11.49M | 181.10%12.13M | 20.76%5.37M | 20.76%5.37M | 21.17%5.63M | -12.71%4.24M | -15.32%4.32M | -18.06%4.45M | -18.06%4.45M |
-Goodwill | 0.00%1.48M | 0.00%1.48M | 0.00%1.48M | 0.00%1.48M | 0.00%1.48M | 0.00%1.48M | 0.00%1.48M | 0.00%1.48M | 0.00%1.48M | 0.00%1.48M |
-Other intangible assets | 136.58%9.8M | 263.62%10M | 276.09%10.65M | 31.17%3.88M | 31.17%3.88M | 31.12%4.14M | -18.31%2.75M | -21.62%2.83M | -24.86%2.96M | -24.86%2.96M |
Financial assets | -94.91%375.28K | --3.32M | --5.78M | --5.48M | --5.48M | --7.38M | ---- | ---- | --0 | --0 |
Total non current assets | -11.24%12.77M | 202.32%15.99M | 259.95%19.17M | 122.86%12.18M | 122.86%12.18M | 151.90%14.39M | -11.40%5.29M | -15.04%5.32M | -2.72%5.46M | -2.72%5.46M |
Total assets | -13.31%14.22M | 172.04%17.43M | 193.05%20.54M | 139.26%15.69M | 139.26%15.69M | 143.13%16.4M | -11.43%6.41M | -14.37%7.01M | -1.12%6.56M | -1.12%6.56M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 99.57%7.86M | 0.25%7.06M | 38.59%7.2M | 23.93%5.51M | 23.93%5.51M | -8.92%3.94M | 273.20%7.05M | 84.09%5.2M | 85.99%4.45M | 85.99%4.45M |
-Current debt | 103.35%7.51M | -1.25%6.82M | 38.08%6.96M | 23.18%5.27M | 23.18%5.27M | -8.64%3.7M | 330.74%6.91M | 183.82%5.04M | 84.04%4.28M | 84.04%4.28M |
-Current capital lease obligation | 42.07%345.5K | 76.13%239.43K | 55.16%240.71K | 42.81%241.95K | 42.81%241.95K | -13.00%243.19K | -52.09%135.94K | -85.17%155.14K | 153.85%169.42K | 153.85%169.42K |
Current deferred liabilities | 50.47%167.82K | 61.71%142.53K | 168.95%180.71K | 763.71%119.6K | 763.71%119.6K | 627.87%111.53K | --88.14K | 101.33%67.19K | -32.19%13.85K | -32.19%13.85K |
Current liabilities | 45.84%13.12M | 30.98%12.94M | 65.73%12.28M | 30.55%8.88M | 30.55%8.88M | 41.83%9M | 176.89%9.88M | 80.70%7.41M | 67.70%6.8M | 67.70%6.8M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 310.94%4.12M | 440.26%4.08M | -5.91%2.08M | 4.75%2.37M | 4.75%2.37M | -56.75%1M | -83.02%755.45K | -40.46%2.21M | 43.79%2.26M | 43.79%2.26M |
-Long term debt | --3.46M | --3.26M | -16.49%1.2M | -2.01%1.42M | -2.01%1.42M | ---- | ---- | -61.14%1.43M | -5.80%1.45M | -5.80%1.45M |
-Long term capital lease obligation | -34.47%656.74K | 9.12%824.34K | 13.50%886.01K | 16.85%945.89K | 16.85%945.89K | 35.53%1M | -2.43%755.45K | 2,315.65%780.64K | 2,404.67%809.46K | 2,404.67%809.46K |
Total non current liabilities | 310.94%4.12M | 440.26%4.08M | -5.91%2.08M | 4.75%2.37M | 4.75%2.37M | -56.75%1M | -83.02%755.45K | -40.46%2.21M | 43.79%2.26M | 43.79%2.26M |
Total liabilities | 72.41%17.24M | 60.06%17.02M | 49.25%14.36M | 24.12%11.24M | 24.12%11.24M | 15.46%10M | 32.64%10.63M | 23.09%9.62M | 61.02%9.06M | 61.02%9.06M |
Shareholders'equity | ||||||||||
Share capital | 36.00%1.63K | -99.25%1.48K | -99.25%1.46K | 127.47%1.38K | 127.47%1.38K | -99.30%1.2K | 13.73%196.15K | 12.61%193.93K | -99.64%608 | -99.64%608 |
-common stock | 41.29%1.18K | -99.47%1.04K | -99.47%1.02K | 65.63%1.01K | 65.63%1.01K | -99.51%838 | 13.73%196.15K | 12.61%193.93K | -99.64%608 | -99.64%608 |
-Preferred stock | 23.76%448 | --438 | --438 | --376 | --376 | --362 | --0 | --0 | --0 | --0 |
Retained earnings | -28.66%-138.21M | -41.04%-131.55M | -32.73%-120.21M | -38.83%-115.04M | -38.83%-115.04M | -23.16%-107.43M | -8.68%-93.27M | -7.38%-90.56M | -0.08%-82.86M | -0.08%-82.86M |
Paid-in capital | 18.77%135.19M | 48.52%131.96M | 44.02%126.39M | 48.68%119.48M | 48.68%119.48M | 33.70%113.83M | 4.69%88.85M | 3.81%87.76M | -3.91%80.36M | -3.91%80.36M |
Total stockholders'equity | -147.16%-3.02M | 109.72%410.65K | 336.50%6.18M | 277.66%4.44M | 277.66%4.44M | 434.57%6.4M | -440.19%-4.23M | -808.38%-2.61M | -348.83%-2.5M | -348.83%-2.5M |
Total equity | -147.16%-3.02M | 109.72%410.65K | 336.50%6.18M | 277.66%4.44M | 277.66%4.44M | 434.57%6.4M | -440.19%-4.23M | -808.38%-2.61M | -348.83%-2.5M | -348.83%-2.5M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Audit Opinions | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- |