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MU
(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 | -80.73%3.24M | -62.07%7.94M | -62.09%9.75M | -42.51%13.25M | -42.51%13.25M | -36.57%16.83M | -35.01%20.94M | -29.75%25.72M | -43.44%23.05M | -43.44%23.05M |
-Cash and cash equivalents | -93.85%913.42K | 62.01%3.09M | -40.52%2.35M | 27.50%9.17M | 27.50%9.17M | 157.03%14.86M | -94.09%1.91M | -89.19%3.96M | -82.36%7.19M | -82.36%7.19M |
-Short-term investments | 18.27%2.33M | -74.50%4.85M | -66.01%7.4M | -74.23%4.09M | -74.23%4.09M | -90.51%1.97M | --19.03M | --21.76M | --15.86M | --15.86M |
Receivables | ---- | ---- | --0 | --0 | --0 | --0 | 1,114.96%79.6K | 34.49%64.52K | -63.79%39.88K | -63.79%39.88K |
-Accounts receivable | ---- | ---- | --0 | --0 | --0 | --0 | 1,114.96%79.6K | 34.49%64.52K | -63.79%39.88K | -63.79%39.88K |
Prepaid assets | -67.71%112.23K | -27.97%306.3K | -77.53%207.42K | -80.33%219.82K | -80.33%219.82K | -62.72%347.57K | -53.73%425.23K | 63.30%923.13K | 944.50%1.12M | 944.50%1.12M |
Current deferred assets | --553.32K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Other current assets | -24.39%280.91K | -34.46%356.49K | -7.77%851.06K | 352.23%739.18K | 352.23%739.18K | -26.56%371.54K | -32.97%543.92K | -20.80%922.76K | -89.12%163.45K | -89.12%163.45K |
Total current assets | -76.13%4.19M | -60.87%8.6M | -60.88%10.81M | -41.69%14.21M | -41.69%14.21M | -37.29%17.55M | -35.25%21.98M | -28.03%27.63M | -42.62%24.37M | -42.62%24.37M |
Non current assets | ||||||||||
Net PPE | -43.41%186.77K | -38.40%224K | -51.33%260.26K | -47.70%295.6K | -47.70%295.6K | -44.52%330.03K | 743.87%363.62K | --534.75K | --565.18K | --565.18K |
-Gross PPE | -33.05%236.93K | -49.94%267.59K | -45.60%297.29K | -42.99%326.05K | -42.99%326.05K | -40.67%353.92K | 1,140.65%534.59K | --546.52K | --571.9K | --571.9K |
-Accumulated depreciation | -110.00%-50.16K | 74.50%-43.59K | -214.64%-37.02K | -352.97%-30.45K | -352.97%-30.45K | -1,320.88%-23.89K | ---170.97K | ---11.77K | ---6.72K | ---6.72K |
Total non current assets | -43.41%186.77K | -38.40%224K | -51.33%260.26K | -47.70%295.6K | -47.70%295.6K | -44.52%330.03K | 743.87%363.62K | --534.75K | --565.18K | --565.18K |
Total assets | -75.52%4.38M | -60.50%8.83M | -60.70%11.07M | -41.83%14.51M | -41.83%14.51M | -37.44%17.88M | -34.26%22.35M | -26.64%28.16M | -41.28%24.94M | -41.28%24.94M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 254.07%2.6M | 101.26%1.52M | 64.15%1.57M | -10.65%1.03M | -10.65%1.03M | -5.97%734.56K | -12.35%754.15K | 18.96%959.08K | 5.63%1.15M | 5.63%1.15M |
-accounts payable | 244.32%2.53M | 77.76%1.34M | 34.90%1.29M | -43.82%646.77K | -43.82%646.77K | -5.97%734.56K | -12.35%754.15K | 18.96%959.08K | 5.63%1.15M | 5.63%1.15M |
-Other payable | --71.66K | --177.26K | --280.61K | --381.78K | --381.78K | ---- | ---- | ---- | ---- | ---- |
Current accrued expenses | 24.31%1.51M | 13.30%1.55M | 71.24%2.18M | -16.20%1.62M | -16.20%1.62M | -34.37%1.21M | -58.55%1.37M | -62.22%1.27M | -15.50%1.94M | -15.50%1.94M |
Current debt and capital lease obligation | -2.56%145.21K | 2.88%152.22K | 2.90%151.16K | 2.92%150.1K | 2.92%150.1K | 4.92%149.03K | --147.97K | --146.9K | -41.41%145.84K | -41.41%145.84K |
-Current capital lease obligation | -2.56%145.21K | 2.88%152.22K | 2.90%151.16K | 2.92%150.1K | 2.92%150.1K | 4.92%149.03K | --147.97K | --146.9K | --145.84K | --145.84K |
Current liabilities | 78.99%4.91M | 35.55%3.7M | 58.89%4.23M | -6.95%3.44M | -6.95%3.44M | -14.67%2.74M | -39.13%2.73M | -39.18%2.66M | -8.85%3.7M | -8.85%3.7M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | --0 | -82.93%25.61K | -67.25%58.33K | -56.13%90.12K | -56.13%90.12K | -47.84%121.01K | --149.97K | --178.11K | --205.45K | --205.45K |
-Long term capital lease obligation | --0 | -82.93%25.61K | -67.25%58.33K | -56.13%90.12K | -56.13%90.12K | -47.84%121.01K | --149.97K | --178.11K | --205.45K | --205.45K |
Total non current liabilities | --0 | -82.93%25.61K | -67.25%58.33K | -56.13%90.12K | -56.13%90.12K | -47.84%121.01K | --149.97K | --178.11K | --205.45K | --205.45K |
Total liabilities | 71.42%4.91M | 29.38%3.73M | 50.98%4.29M | -9.54%3.53M | -9.54%3.53M | -16.90%2.86M | -35.79%2.88M | -35.11%2.84M | -3.79%3.9M | -3.79%3.9M |
Shareholders'equity | ||||||||||
Share capital | 39.23%7.46K | 36.38%7.22K | -79.14%6.48K | 46.45%6.19K | 46.45%6.19K | -78.75%5.36K | -79.03%5.29K | 23.11%31.06K | -83.21%4.22K | -83.21%4.22K |
-common stock | 39.23%7.46K | 36.38%7.22K | -79.14%6.48K | 46.45%6.19K | 46.45%6.19K | -78.75%5.36K | -79.03%5.29K | 23.11%31.06K | -83.21%4.22K | -83.21%4.22K |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Retained earnings | -31.19%-82.29M | -31.62%-76.51M | -36.68%-71.55M | -39.75%-66.9M | -39.75%-66.9M | -43.88%-62.72M | -48.67%-58.13M | -51.92%-52.35M | -60.55%-47.87M | -60.55%-47.87M |
Paid-in capital | 5.16%81.75M | 5.17%81.6M | 1.10%78.32M | 13.19%77.87M | 13.19%77.87M | 13.19%77.74M | 13.14%77.59M | 13.20%77.47M | 0.87%68.8M | 0.87%68.8M |
Gains losses not affecting retained earnings | 1,326.57%1.75K | 40.26%-1.02K | -101.09%-1.8K | -99.16%877 | -99.16%877 | -100.53%-143 | ---1.71K | --165.82K | --104.72K | --104.72K |
Total stockholders'equity | -103.53%-530.59K | -73.82%5.1M | -73.24%6.78M | -47.81%10.98M | -47.81%10.98M | -40.25%15.02M | -34.02%19.46M | -25.55%25.32M | -45.24%21.04M | -45.24%21.04M |
Total equity | -103.53%-530.59K | -73.82%5.1M | -73.24%6.78M | -47.81%10.98M | -47.81%10.98M | -40.25%15.02M | -34.02%19.46M | -25.55%25.32M | -45.24%21.04M | -45.24%21.04M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
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 | -- | -- | -- | -- | -- | -- |