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INXD INX Digital Co Inc

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  • 0.085
  • 0.0000.00%
15min DelayTrading Nov 5 15:57 ET
20.03MMarket Cap-414P/E (TTM)

INX Digital Co Inc 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
-6.17%36.23M
-8.97%37.25M
-6.89%40.38M
-6.89%40.38M
-7.70%39.55M
-22.07%38.61M
-12.21%40.92M
76.44%43.37M
76.44%43.37M
--42.85M
-Cash and cash equivalents
-31.03%10.71M
-40.85%10.57M
-35.03%12.91M
-35.03%12.91M
-50.31%12.81M
-61.17%15.53M
-61.65%17.87M
-19.19%19.86M
-19.19%19.86M
--25.77M
-Short term investments
10.55%25.52M
15.76%26.67M
16.89%27.48M
16.89%27.48M
56.61%26.74M
141.45%23.09M
--23.04M
--23.51M
--23.51M
--17.08M
Receivables
4.70%2.65M
-27.36%3.05M
155.00%2.45M
155.00%2.45M
-18.16%2.44M
-7.15%2.53M
-28.63%4.19M
-81.19%960K
-81.19%960K
--2.99M
-Accounts receivable
-1.44%887K
-13.31%964K
39.53%706K
39.53%706K
25.94%903K
25.87%900K
16.68%1.11M
-39.33%506K
-39.33%506K
--717K
-Due from related parties current
----
----
1,934.69%997K
1,934.69%997K
----
----
-37.41%3.08M
-98.85%49K
-98.85%49K
--2.27M
-Other receivables
8.08%1.77M
--2.08M
83.95%745K
83.95%745K
--1.54M
--1.63M
----
--405K
--405K
----
Prepaid assets
----
----
-25.16%827K
-25.16%827K
----
----
8.03%1.17M
-53.63%1.11M
-53.63%1.11M
--1.03M
Restricted cash
37.49%17.23M
87.57%18.28M
183.69%16.52M
183.69%16.52M
78.75%15.57M
-8.44%12.54M
-47.73%9.75M
-73.51%5.82M
-73.51%5.82M
--8.71M
Hedging assets-current
----
----
--0
--0
13.60%777K
225.39%1.04M
--1.07M
--1.07M
--1.07M
--684K
Other current assets
-29.71%5.69M
50.47%5.01M
-19.50%4.19M
-19.50%4.19M
192.48%7.77M
339.01%8.09M
--3.33M
--5.21M
--5.21M
--2.66M
Total current assets
-1.60%61.81M
5.22%63.58M
11.87%64.37M
11.87%64.37M
12.21%66.11M
-8.62%62.81M
-16.32%60.43M
6.44%57.54M
6.44%57.54M
--58.92M
Non current assets
Net PPE
-29.68%891K
-39.95%989K
-36.62%1.08M
-36.62%1.08M
-36.40%1.17M
-36.46%1.27M
-16.18%1.65M
48.56%1.7M
48.56%1.7M
--1.84M
-Gross PPE
-29.68%891K
-39.95%989K
-22.10%1.91M
-22.10%1.91M
-36.40%1.17M
-36.46%1.27M
-16.18%1.65M
113.78%2.45M
113.78%2.45M
--1.84M
-Accumulated depreciation
----
----
-10.96%-830K
-10.96%-830K
----
----
----
---748K
---748K
----
Investments and advances
-67.89%2.57M
-72.16%3.18M
-76.62%3.83M
-76.62%3.83M
-70.61%5.57M
-39.28%8M
-35.74%11.43M
13.47%16.38M
13.47%16.38M
--18.96M
-Financial asset investment
-67.89%2.57M
-72.16%3.18M
-76.62%3.83M
-76.62%3.83M
-70.61%5.57M
-39.28%8M
-35.74%11.43M
13.47%16.38M
13.47%16.38M
--18.96M
-Including:Available-for-sale securities
-67.89%2.57M
-72.16%3.18M
-76.62%3.83M
-76.62%3.83M
-61.14%5.57M
-39.28%8M
-35.74%11.43M
13.47%16.38M
13.47%16.38M
--14.34M
-Including:Held to maturity investments
----
----
----
----
----
----
----
----
----
--4.62M
Non current note receivables
----
----
----
----
----
----
----
----
----
--0
Goodwill and other intangible assets
-3.79%5.36M
-3.94%5.46M
-4.61%5.55M
-4.61%5.55M
-6.36%5.43M
-11.15%5.57M
-15.14%5.69M
-15.05%5.82M
-15.05%5.82M
--5.8M
-Goodwill
-0.85%2.21M
-0.98%2.23M
-1.62%2.25M
-1.62%2.25M
-3.91%2.19M
-2.88%2.23M
-6.97%2.26M
-6.72%2.29M
-6.72%2.29M
--2.28M
-Other intangible assets
-5.74%3.15M
-5.89%3.23M
-6.55%3.3M
-6.55%3.3M
-7.95%3.24M
-15.92%3.34M
-19.78%3.43M
-19.71%3.53M
-19.71%3.53M
--3.52M
Other non current assets
--889K
--969K
----
----
----
----
----
----
----
----
Total non current assets
-34.56%9.71M
-43.48%10.6M
-56.24%10.46M
-56.24%10.46M
-54.23%12.17M
-32.21%14.84M
-37.41%18.76M
-2.23%23.9M
-2.23%23.9M
--26.6M
Total assets
-7.90%71.52M
-6.32%74.19M
-8.12%74.83M
-8.12%74.83M
-8.45%78.29M
-14.31%77.65M
-22.50%79.19M
3.74%81.44M
3.74%81.44M
--85.52M
Liabilities
Current liabilities
Current debt and capital lease obligation
-45.01%281K
-38.83%323K
-24.86%390K
-24.86%390K
-5.13%481K
2.40%511K
3.94%528K
62.70%519K
62.70%519K
--507K
-Current capital lease obligation
-45.01%281K
-38.83%323K
-24.86%390K
-24.86%390K
-5.13%481K
2.40%511K
3.94%528K
62.70%519K
62.70%519K
--507K
Payables
15.87%8.18M
37.13%8.1M
25.19%6.35M
25.19%6.35M
33.49%6.63M
55.79%7.06M
-18.66%5.9M
-31.85%5.07M
-31.85%5.07M
--4.97M
-accounts payable
185.38%8.18M
37.13%8.1M
25.19%6.35M
25.19%6.35M
-53.45%2.31M
-36.75%2.87M
-18.66%5.9M
-31.85%5.07M
-31.85%5.07M
--4.97M
-Other payable
----
----
----
----
--4.32M
--4.19M
----
----
----
----
Current deferred liabilities
--85K
--120K
--85K
--85K
--85K
----
----
--0
--0
----
Other current liabilities
-27.21%50.08M
-13.78%47.16M
-5.25%55.36M
-5.25%55.36M
-16.29%78.66M
-21.92%68.8M
-68.04%54.69M
-80.05%58.43M
-80.05%58.43M
--93.97M
Current liabilities
-23.24%58.62M
-8.88%55.7M
-2.86%62.18M
-2.86%62.18M
-13.66%85.85M
-18.38%76.37M
-65.83%61.13M
-78.70%64.02M
-78.70%64.02M
--99.44M
Non current liabilities
Long term debt and capital lease obligation
-45.41%327K
-44.21%400K
-44.82%479K
-44.82%479K
-51.46%481K
-46.66%599K
-45.48%717K
5.72%868K
5.72%868K
--991K
-Long term capital lease obligation
-45.41%327K
-44.21%400K
-44.82%479K
-44.82%479K
-51.46%481K
-46.66%599K
-45.48%717K
5.72%868K
5.72%868K
--991K
Derivative product liabilities
----
----
----
----
-50.00%8K
-72.47%109K
-99.67%15K
----
----
--16K
Long term provisions
----
----
--597K
--597K
----
----
----
----
----
----
Total non current liabilities
-53.81%327K
-45.36%400K
23.96%1.08M
23.96%1.08M
-51.44%489K
-53.39%708K
-87.53%732K
5.72%868K
5.72%868K
--1.01M
Total liabilities
-23.52%58.95M
-9.31%56.1M
-2.51%63.26M
-2.51%63.26M
-14.04%86.34M
-18.94%77.07M
-66.52%61.86M
-78.48%64.88M
-78.48%64.88M
--100.45M
Shareholders'equity
Share capital
10.22%64.82M
11.17%64.6M
12.39%64.12M
12.39%64.12M
13.62%63.65M
7.34%58.81M
9.29%58.11M
135.78%57.05M
135.78%57.05M
--56.02M
-common stock
10.22%64.82M
11.17%64.6M
12.39%64.12M
12.39%64.12M
13.62%63.65M
7.34%58.81M
9.29%58.11M
135.78%57.05M
135.78%57.05M
--56.02M
Retained earnings
8.69%-53.01M
-16.53%-47.2M
-33.18%-53.04M
-33.18%-53.04M
-2.84%-71.69M
2.48%-58.05M
70.31%-40.5M
83.93%-39.83M
83.93%-39.83M
---69.71M
Gains losses not affecting retained earnings
122.48%172K
111.56%100K
92.66%-92K
92.66%-92K
67.42%-594K
-153.31%-765K
-931.73%-865K
-767.02%-1.25M
-767.02%-1.25M
---1.82M
Other equity interest
0.00%582K
0.00%582K
0.00%582K
0.00%582K
0.00%582K
0.00%582K
0.00%582K
0.00%582K
0.00%582K
--582K
Total stockholders'equity
2,081.94%12.57M
4.38%18.09M
-30.11%11.57M
-30.11%11.57M
46.04%-8.06M
112.91%576K
120.99%17.33M
107.43%16.56M
107.43%16.56M
---14.93M
Total equity
2,081.94%12.57M
4.38%18.09M
-30.11%11.57M
-30.11%11.57M
46.04%-8.06M
112.91%576K
120.99%17.33M
107.43%16.56M
107.43%16.56M
---14.93M
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
--
--
--
--
Unqualified Opinion
--
--
(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 -6.17%36.23M-8.97%37.25M-6.89%40.38M-6.89%40.38M-7.70%39.55M-22.07%38.61M-12.21%40.92M76.44%43.37M76.44%43.37M--42.85M
-Cash and cash equivalents -31.03%10.71M-40.85%10.57M-35.03%12.91M-35.03%12.91M-50.31%12.81M-61.17%15.53M-61.65%17.87M-19.19%19.86M-19.19%19.86M--25.77M
-Short term investments 10.55%25.52M15.76%26.67M16.89%27.48M16.89%27.48M56.61%26.74M141.45%23.09M--23.04M--23.51M--23.51M--17.08M
Receivables 4.70%2.65M-27.36%3.05M155.00%2.45M155.00%2.45M-18.16%2.44M-7.15%2.53M-28.63%4.19M-81.19%960K-81.19%960K--2.99M
-Accounts receivable -1.44%887K-13.31%964K39.53%706K39.53%706K25.94%903K25.87%900K16.68%1.11M-39.33%506K-39.33%506K--717K
-Due from related parties current --------1,934.69%997K1,934.69%997K---------37.41%3.08M-98.85%49K-98.85%49K--2.27M
-Other receivables 8.08%1.77M--2.08M83.95%745K83.95%745K--1.54M--1.63M------405K--405K----
Prepaid assets ---------25.16%827K-25.16%827K--------8.03%1.17M-53.63%1.11M-53.63%1.11M--1.03M
Restricted cash 37.49%17.23M87.57%18.28M183.69%16.52M183.69%16.52M78.75%15.57M-8.44%12.54M-47.73%9.75M-73.51%5.82M-73.51%5.82M--8.71M
Hedging assets-current ----------0--013.60%777K225.39%1.04M--1.07M--1.07M--1.07M--684K
Other current assets -29.71%5.69M50.47%5.01M-19.50%4.19M-19.50%4.19M192.48%7.77M339.01%8.09M--3.33M--5.21M--5.21M--2.66M
Total current assets -1.60%61.81M5.22%63.58M11.87%64.37M11.87%64.37M12.21%66.11M-8.62%62.81M-16.32%60.43M6.44%57.54M6.44%57.54M--58.92M
Non current assets
Net PPE -29.68%891K-39.95%989K-36.62%1.08M-36.62%1.08M-36.40%1.17M-36.46%1.27M-16.18%1.65M48.56%1.7M48.56%1.7M--1.84M
-Gross PPE -29.68%891K-39.95%989K-22.10%1.91M-22.10%1.91M-36.40%1.17M-36.46%1.27M-16.18%1.65M113.78%2.45M113.78%2.45M--1.84M
-Accumulated depreciation ---------10.96%-830K-10.96%-830K---------------748K---748K----
Investments and advances -67.89%2.57M-72.16%3.18M-76.62%3.83M-76.62%3.83M-70.61%5.57M-39.28%8M-35.74%11.43M13.47%16.38M13.47%16.38M--18.96M
-Financial asset investment -67.89%2.57M-72.16%3.18M-76.62%3.83M-76.62%3.83M-70.61%5.57M-39.28%8M-35.74%11.43M13.47%16.38M13.47%16.38M--18.96M
-Including:Available-for-sale securities -67.89%2.57M-72.16%3.18M-76.62%3.83M-76.62%3.83M-61.14%5.57M-39.28%8M-35.74%11.43M13.47%16.38M13.47%16.38M--14.34M
-Including:Held to maturity investments --------------------------------------4.62M
Non current note receivables --------------------------------------0
Goodwill and other intangible assets -3.79%5.36M-3.94%5.46M-4.61%5.55M-4.61%5.55M-6.36%5.43M-11.15%5.57M-15.14%5.69M-15.05%5.82M-15.05%5.82M--5.8M
-Goodwill -0.85%2.21M-0.98%2.23M-1.62%2.25M-1.62%2.25M-3.91%2.19M-2.88%2.23M-6.97%2.26M-6.72%2.29M-6.72%2.29M--2.28M
-Other intangible assets -5.74%3.15M-5.89%3.23M-6.55%3.3M-6.55%3.3M-7.95%3.24M-15.92%3.34M-19.78%3.43M-19.71%3.53M-19.71%3.53M--3.52M
Other non current assets --889K--969K--------------------------------
Total non current assets -34.56%9.71M-43.48%10.6M-56.24%10.46M-56.24%10.46M-54.23%12.17M-32.21%14.84M-37.41%18.76M-2.23%23.9M-2.23%23.9M--26.6M
Total assets -7.90%71.52M-6.32%74.19M-8.12%74.83M-8.12%74.83M-8.45%78.29M-14.31%77.65M-22.50%79.19M3.74%81.44M3.74%81.44M--85.52M
Liabilities
Current liabilities
Current debt and capital lease obligation -45.01%281K-38.83%323K-24.86%390K-24.86%390K-5.13%481K2.40%511K3.94%528K62.70%519K62.70%519K--507K
-Current capital lease obligation -45.01%281K-38.83%323K-24.86%390K-24.86%390K-5.13%481K2.40%511K3.94%528K62.70%519K62.70%519K--507K
Payables 15.87%8.18M37.13%8.1M25.19%6.35M25.19%6.35M33.49%6.63M55.79%7.06M-18.66%5.9M-31.85%5.07M-31.85%5.07M--4.97M
-accounts payable 185.38%8.18M37.13%8.1M25.19%6.35M25.19%6.35M-53.45%2.31M-36.75%2.87M-18.66%5.9M-31.85%5.07M-31.85%5.07M--4.97M
-Other payable ------------------4.32M--4.19M----------------
Current deferred liabilities --85K--120K--85K--85K--85K----------0--0----
Other current liabilities -27.21%50.08M-13.78%47.16M-5.25%55.36M-5.25%55.36M-16.29%78.66M-21.92%68.8M-68.04%54.69M-80.05%58.43M-80.05%58.43M--93.97M
Current liabilities -23.24%58.62M-8.88%55.7M-2.86%62.18M-2.86%62.18M-13.66%85.85M-18.38%76.37M-65.83%61.13M-78.70%64.02M-78.70%64.02M--99.44M
Non current liabilities
Long term debt and capital lease obligation -45.41%327K-44.21%400K-44.82%479K-44.82%479K-51.46%481K-46.66%599K-45.48%717K5.72%868K5.72%868K--991K
-Long term capital lease obligation -45.41%327K-44.21%400K-44.82%479K-44.82%479K-51.46%481K-46.66%599K-45.48%717K5.72%868K5.72%868K--991K
Derivative product liabilities -----------------50.00%8K-72.47%109K-99.67%15K----------16K
Long term provisions ----------597K--597K------------------------
Total non current liabilities -53.81%327K-45.36%400K23.96%1.08M23.96%1.08M-51.44%489K-53.39%708K-87.53%732K5.72%868K5.72%868K--1.01M
Total liabilities -23.52%58.95M-9.31%56.1M-2.51%63.26M-2.51%63.26M-14.04%86.34M-18.94%77.07M-66.52%61.86M-78.48%64.88M-78.48%64.88M--100.45M
Shareholders'equity
Share capital 10.22%64.82M11.17%64.6M12.39%64.12M12.39%64.12M13.62%63.65M7.34%58.81M9.29%58.11M135.78%57.05M135.78%57.05M--56.02M
-common stock 10.22%64.82M11.17%64.6M12.39%64.12M12.39%64.12M13.62%63.65M7.34%58.81M9.29%58.11M135.78%57.05M135.78%57.05M--56.02M
Retained earnings 8.69%-53.01M-16.53%-47.2M-33.18%-53.04M-33.18%-53.04M-2.84%-71.69M2.48%-58.05M70.31%-40.5M83.93%-39.83M83.93%-39.83M---69.71M
Gains losses not affecting retained earnings 122.48%172K111.56%100K92.66%-92K92.66%-92K67.42%-594K-153.31%-765K-931.73%-865K-767.02%-1.25M-767.02%-1.25M---1.82M
Other equity interest 0.00%582K0.00%582K0.00%582K0.00%582K0.00%582K0.00%582K0.00%582K0.00%582K0.00%582K--582K
Total stockholders'equity 2,081.94%12.57M4.38%18.09M-30.11%11.57M-30.11%11.57M46.04%-8.06M112.91%576K120.99%17.33M107.43%16.56M107.43%16.56M---14.93M
Total equity 2,081.94%12.57M4.38%18.09M-30.11%11.57M-30.11%11.57M46.04%-8.06M112.91%576K120.99%17.33M107.43%16.56M107.43%16.56M---14.93M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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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