US Stock MarketDetailed Quotes

IPDN Professional Diversity Network

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  • 0.4400
  • +0.0029+0.66%
Close Sep 27 16:00 ET
  • 0.4400
  • 0.00000.00%
Post 20:01 ET
5.61MMarket Cap-1466P/E (TTM)

Professional Diversity Network 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
-71.93%619.31K
-89.93%97.11K
-49.25%627.64K
-49.25%627.64K
-57.95%615.13K
-9.54%2.21M
-67.57%964.31K
-63.65%1.24M
-63.65%1.24M
-64.25%1.46M
-Cash and cash equivalents
-71.93%619.31K
-89.93%97.11K
-49.25%627.64K
-49.25%627.64K
-57.95%615.13K
-9.54%2.21M
-67.57%964.31K
-63.65%1.24M
-63.65%1.24M
-64.25%1.46M
Receivables
-1.86%883.19K
-15.47%1.17M
-29.02%1.18M
-29.02%1.18M
-23.44%954.35K
-29.23%899.92K
-4.08%1.39M
-4.08%1.67M
-4.08%1.67M
-10.02%1.25M
-Accounts receivable
-2.08%832.21K
-1.16%1.12M
-13.97%1.13M
-13.97%1.13M
0.90%904.35K
-7.78%849.92K
3.56%1.13M
-5.10%1.32M
-5.10%1.32M
-35.30%896.31K
-Other receivables
1.95%50.98K
-79.78%50.98K
-85.71%50K
-85.71%50K
-85.72%50K
-85.71%50K
-27.96%252.16K
0.00%350K
0.00%350K
--350.25K
Other current assets
-33.36%535.26K
68.21%548.44K
60.06%556.7K
60.06%556.7K
-7.71%671.96K
57.97%803.24K
-60.30%326.05K
-22.84%347.81K
-22.84%347.81K
162.51%728.1K
Total current assets
-47.94%2.04M
-32.22%1.82M
-27.29%2.37M
-27.29%2.37M
-34.75%2.25M
-7.33%3.91M
-48.89%2.68M
-41.80%3.26M
-41.80%3.26M
-40.24%3.44M
Non current assets
Net PPE
-19.46%298.94K
-16.16%321.8K
-15.01%340.53K
-15.01%340.53K
-15.08%354.26K
-12.91%371.19K
-12.97%383.84K
-12.27%400.67K
-12.27%400.67K
-10.51%417.16K
-Gross PPE
-19.46%298.94K
-16.16%321.8K
-15.01%340.53K
-15.01%340.53K
-15.08%354.26K
-12.91%371.19K
-12.97%383.84K
-12.27%400.67K
-12.27%400.67K
-10.51%417.16K
Goodwill and other intangible assets
-7.71%1.88M
-13.37%1.86M
16.95%1.83M
16.95%1.83M
24.31%1.94M
14.34%2.04M
7.04%2.15M
-31.56%1.56M
-31.56%1.56M
-39.37%1.56M
-Goodwill
0.00%1.42M
0.00%1.42M
11.22%1.42M
11.22%1.42M
11.22%1.42M
11.22%1.42M
11.22%1.42M
0.00%1.27M
0.00%1.27M
0.00%1.27M
-Other intangible assets
-25.40%460.59K
-39.32%443.35K
42.19%411.95K
42.19%411.95K
82.05%526.14K
22.24%617.41K
-0.23%730.62K
-71.35%289.72K
-71.35%289.72K
-77.85%289.01K
Investments and advances
----
----
----
----
----
----
----
----
----
--1.35M
Non current prepaid assets
-25.00%49.76K
-25.00%49.76K
0.00%66.34K
0.00%66.34K
0.00%66.34K
0.00%66.34K
0.00%66.34K
0.00%66.34K
0.00%66.34K
-84.07%66.34K
Other non current assets
-25.58%1.53M
5.20%1.63M
11.27%1.72M
11.27%1.72M
762.82%1.97M
430.73%2.06M
298.00%1.55M
167.48%1.55M
167.48%1.55M
-60.58%228.05K
Total non current assets
-17.05%3.76M
-6.88%3.86M
10.60%3.96M
10.60%3.96M
19.50%4.33M
70.40%4.53M
42.80%4.15M
5.64%3.58M
5.64%3.58M
-10.27%3.63M
Total assets
-31.36%5.8M
-16.83%5.68M
-7.45%6.33M
-7.45%6.33M
-6.92%6.58M
22.71%8.45M
-16.21%6.83M
-23.91%6.84M
-23.91%6.84M
-27.88%7.07M
Liabilities
Current liabilities
Payables
-28.41%585.91K
5.50%476.64K
42.39%625.65K
42.39%625.65K
52.60%636.67K
229.53%818.42K
-1.98%451.78K
76.75%439.4K
76.75%439.4K
45.49%417.23K
-accounts payable
-28.41%585.91K
5.50%476.64K
55.01%524.85K
55.01%524.85K
52.60%636.67K
229.53%818.42K
-1.98%451.78K
36.21%338.6K
36.21%338.6K
45.49%417.23K
-Total tax payable
----
----
0.00%100.8K
0.00%100.8K
----
----
----
--100.8K
--100.8K
----
Current accrued expenses
-26.79%824.56K
-18.12%834.77K
-39.14%317.08K
-39.14%317.08K
-18.04%919.77K
21.53%1.13M
-40.47%1.02M
10.29%521.04K
10.29%521.04K
-27.62%1.12M
Current provisions
----
----
0.00%450K
0.00%450K
----
----
----
-67.99%450K
-67.99%450K
----
Current debt and capital lease obligation
3.01%83.88K
3.03%83.27K
-20.19%82.65K
-20.19%82.65K
-10.23%82.04K
36.83%81.43K
13.92%80.81K
26.56%103.56K
26.56%103.56K
-0.84%91.39K
-Current capital lease obligation
3.01%83.88K
3.03%83.27K
-20.19%82.65K
-20.19%82.65K
-10.23%82.04K
36.83%81.43K
13.92%80.81K
26.56%103.56K
26.56%103.56K
-0.84%91.39K
Current deferred liabilities
-2.55%2.06M
-0.74%2.18M
3.85%2M
3.85%2M
11.22%1.87M
6.73%2.11M
-1.00%2.19M
-10.42%1.93M
-10.42%1.93M
-16.20%1.68M
Other current liabilities
----
----
----
----
5.25%509.25K
8.17%497.69K
9.99%482.39K
-38.71%503.09K
-38.71%503.09K
-40.07%483.84K
Current liabilities
-23.38%3.55M
-15.52%3.57M
-11.86%3.48M
-11.86%3.48M
5.83%4.01M
26.21%4.63M
-13.70%4.23M
-23.88%3.94M
-23.88%3.94M
-19.97%3.79M
Non current liabilities
Long term debt and capital lease obligation
-26.21%239.59K
-24.15%261.48K
-17.03%283.06K
-17.03%283.06K
-18.24%304.33K
-23.07%324.68K
-19.52%344.75K
-21.56%341.17K
-21.56%341.17K
-15.75%372.21K
-Long term capital lease obligation
-26.21%239.59K
-24.15%261.48K
-17.03%283.06K
-17.03%283.06K
-18.24%304.33K
-23.07%324.68K
-19.52%344.75K
-21.56%341.17K
-21.56%341.17K
-15.75%372.21K
Non current deferred liabilities
----
----
--0
--0
1.26%122.23K
-11.59%129.46K
-3.64%131.6K
-11.88%143.07K
-11.88%143.07K
-28.02%120.71K
Other non current liabilities
----
----
----
----
----
----
----
0.00%100K
0.00%100K
0.00%100K
Total non current liabilities
-47.24%239.59K
-45.11%261.48K
-51.55%283.06K
-51.55%283.06K
-28.06%426.56K
-32.07%454.14K
-28.36%476.34K
-16.21%584.23K
-16.21%584.23K
-16.43%592.92K
Total liabilities
-25.51%3.79M
-18.52%3.83M
-16.98%3.76M
-16.98%3.76M
1.25%4.44M
17.23%5.09M
-15.45%4.7M
-22.97%4.53M
-22.97%4.53M
-19.51%4.39M
Shareholders'equity
Share capital
16.00%127.41K
11.91%114.92K
10.46%114.52K
10.46%114.52K
-39.86%110.71K
-34.16%109.84K
-37.18%102.7K
29.05%103.68K
29.05%103.68K
14.93%184.09K
-common stock
16.00%127.41K
11.91%114.92K
10.46%114.52K
10.46%114.52K
-39.86%110.71K
-34.16%109.84K
-37.18%102.7K
29.05%103.68K
29.05%103.68K
14.93%184.09K
Retained earnings
-0.38%-101.25M
-1.25%-100.69M
-1.55%-99.9M
-1.55%-99.9M
-4.96%-102.18M
-4.64%-100.86M
-3.08%-99.45M
-2.72%-98.38M
-2.72%-98.38M
-3.01%-97.35M
Paid-in capital
-0.83%103.61M
1.13%102.96M
1.13%102.87M
1.13%102.87M
3.96%104.59M
5.29%104.48M
2.88%101.81M
3.26%101.73M
3.26%101.73M
2.41%100.61M
Less: Treasury stock
0.00%37.12K
0.00%37.12K
-95.84%37.12K
-95.84%37.12K
-93.28%37.12K
-91.24%37.12K
-79.04%37.12K
2,304.51%892.48K
2,304.51%892.48K
1,388.70%552.56K
Gains losses not affecting retained earnings
----
----
--0
--0
-14.22%-16.68K
-367.75%-17.85K
-212.75%-8.42K
-267.34%-10.99K
-267.34%-10.99K
-578.19%-14.6K
Total stockholders'equity
-33.20%2.46M
-3.00%2.34M
19.71%3.05M
19.71%3.05M
-14.14%2.47M
42.09%3.68M
-2.39%2.41M
-8.75%2.55M
-8.75%2.55M
-25.57%2.87M
Noncontrolling interests
-41.84%-446.19K
-71.14%-495.24K
-102.29%-479.92K
-102.29%-479.92K
-72.48%-329.07K
-653.97%-314.59K
-356.36%-289.37K
-174.74%-237.24K
-174.74%-237.24K
-138.80%-190.78K
Total equity
-40.22%2.01M
-13.10%1.85M
11.23%2.57M
11.23%2.57M
-20.30%2.14M
32.06%3.36M
-17.85%2.12M
-25.70%2.31M
-25.70%2.31M
-38.37%2.68M
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 with Explanatory Notes
--
--
--
--
--
--
--
(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 -71.93%619.31K-89.93%97.11K-49.25%627.64K-49.25%627.64K-57.95%615.13K-9.54%2.21M-67.57%964.31K-63.65%1.24M-63.65%1.24M-64.25%1.46M
-Cash and cash equivalents -71.93%619.31K-89.93%97.11K-49.25%627.64K-49.25%627.64K-57.95%615.13K-9.54%2.21M-67.57%964.31K-63.65%1.24M-63.65%1.24M-64.25%1.46M
Receivables -1.86%883.19K-15.47%1.17M-29.02%1.18M-29.02%1.18M-23.44%954.35K-29.23%899.92K-4.08%1.39M-4.08%1.67M-4.08%1.67M-10.02%1.25M
-Accounts receivable -2.08%832.21K-1.16%1.12M-13.97%1.13M-13.97%1.13M0.90%904.35K-7.78%849.92K3.56%1.13M-5.10%1.32M-5.10%1.32M-35.30%896.31K
-Other receivables 1.95%50.98K-79.78%50.98K-85.71%50K-85.71%50K-85.72%50K-85.71%50K-27.96%252.16K0.00%350K0.00%350K--350.25K
Other current assets -33.36%535.26K68.21%548.44K60.06%556.7K60.06%556.7K-7.71%671.96K57.97%803.24K-60.30%326.05K-22.84%347.81K-22.84%347.81K162.51%728.1K
Total current assets -47.94%2.04M-32.22%1.82M-27.29%2.37M-27.29%2.37M-34.75%2.25M-7.33%3.91M-48.89%2.68M-41.80%3.26M-41.80%3.26M-40.24%3.44M
Non current assets
Net PPE -19.46%298.94K-16.16%321.8K-15.01%340.53K-15.01%340.53K-15.08%354.26K-12.91%371.19K-12.97%383.84K-12.27%400.67K-12.27%400.67K-10.51%417.16K
-Gross PPE -19.46%298.94K-16.16%321.8K-15.01%340.53K-15.01%340.53K-15.08%354.26K-12.91%371.19K-12.97%383.84K-12.27%400.67K-12.27%400.67K-10.51%417.16K
Goodwill and other intangible assets -7.71%1.88M-13.37%1.86M16.95%1.83M16.95%1.83M24.31%1.94M14.34%2.04M7.04%2.15M-31.56%1.56M-31.56%1.56M-39.37%1.56M
-Goodwill 0.00%1.42M0.00%1.42M11.22%1.42M11.22%1.42M11.22%1.42M11.22%1.42M11.22%1.42M0.00%1.27M0.00%1.27M0.00%1.27M
-Other intangible assets -25.40%460.59K-39.32%443.35K42.19%411.95K42.19%411.95K82.05%526.14K22.24%617.41K-0.23%730.62K-71.35%289.72K-71.35%289.72K-77.85%289.01K
Investments and advances --------------------------------------1.35M
Non current prepaid assets -25.00%49.76K-25.00%49.76K0.00%66.34K0.00%66.34K0.00%66.34K0.00%66.34K0.00%66.34K0.00%66.34K0.00%66.34K-84.07%66.34K
Other non current assets -25.58%1.53M5.20%1.63M11.27%1.72M11.27%1.72M762.82%1.97M430.73%2.06M298.00%1.55M167.48%1.55M167.48%1.55M-60.58%228.05K
Total non current assets -17.05%3.76M-6.88%3.86M10.60%3.96M10.60%3.96M19.50%4.33M70.40%4.53M42.80%4.15M5.64%3.58M5.64%3.58M-10.27%3.63M
Total assets -31.36%5.8M-16.83%5.68M-7.45%6.33M-7.45%6.33M-6.92%6.58M22.71%8.45M-16.21%6.83M-23.91%6.84M-23.91%6.84M-27.88%7.07M
Liabilities
Current liabilities
Payables -28.41%585.91K5.50%476.64K42.39%625.65K42.39%625.65K52.60%636.67K229.53%818.42K-1.98%451.78K76.75%439.4K76.75%439.4K45.49%417.23K
-accounts payable -28.41%585.91K5.50%476.64K55.01%524.85K55.01%524.85K52.60%636.67K229.53%818.42K-1.98%451.78K36.21%338.6K36.21%338.6K45.49%417.23K
-Total tax payable --------0.00%100.8K0.00%100.8K--------------100.8K--100.8K----
Current accrued expenses -26.79%824.56K-18.12%834.77K-39.14%317.08K-39.14%317.08K-18.04%919.77K21.53%1.13M-40.47%1.02M10.29%521.04K10.29%521.04K-27.62%1.12M
Current provisions --------0.00%450K0.00%450K-------------67.99%450K-67.99%450K----
Current debt and capital lease obligation 3.01%83.88K3.03%83.27K-20.19%82.65K-20.19%82.65K-10.23%82.04K36.83%81.43K13.92%80.81K26.56%103.56K26.56%103.56K-0.84%91.39K
-Current capital lease obligation 3.01%83.88K3.03%83.27K-20.19%82.65K-20.19%82.65K-10.23%82.04K36.83%81.43K13.92%80.81K26.56%103.56K26.56%103.56K-0.84%91.39K
Current deferred liabilities -2.55%2.06M-0.74%2.18M3.85%2M3.85%2M11.22%1.87M6.73%2.11M-1.00%2.19M-10.42%1.93M-10.42%1.93M-16.20%1.68M
Other current liabilities ----------------5.25%509.25K8.17%497.69K9.99%482.39K-38.71%503.09K-38.71%503.09K-40.07%483.84K
Current liabilities -23.38%3.55M-15.52%3.57M-11.86%3.48M-11.86%3.48M5.83%4.01M26.21%4.63M-13.70%4.23M-23.88%3.94M-23.88%3.94M-19.97%3.79M
Non current liabilities
Long term debt and capital lease obligation -26.21%239.59K-24.15%261.48K-17.03%283.06K-17.03%283.06K-18.24%304.33K-23.07%324.68K-19.52%344.75K-21.56%341.17K-21.56%341.17K-15.75%372.21K
-Long term capital lease obligation -26.21%239.59K-24.15%261.48K-17.03%283.06K-17.03%283.06K-18.24%304.33K-23.07%324.68K-19.52%344.75K-21.56%341.17K-21.56%341.17K-15.75%372.21K
Non current deferred liabilities ----------0--01.26%122.23K-11.59%129.46K-3.64%131.6K-11.88%143.07K-11.88%143.07K-28.02%120.71K
Other non current liabilities ----------------------------0.00%100K0.00%100K0.00%100K
Total non current liabilities -47.24%239.59K-45.11%261.48K-51.55%283.06K-51.55%283.06K-28.06%426.56K-32.07%454.14K-28.36%476.34K-16.21%584.23K-16.21%584.23K-16.43%592.92K
Total liabilities -25.51%3.79M-18.52%3.83M-16.98%3.76M-16.98%3.76M1.25%4.44M17.23%5.09M-15.45%4.7M-22.97%4.53M-22.97%4.53M-19.51%4.39M
Shareholders'equity
Share capital 16.00%127.41K11.91%114.92K10.46%114.52K10.46%114.52K-39.86%110.71K-34.16%109.84K-37.18%102.7K29.05%103.68K29.05%103.68K14.93%184.09K
-common stock 16.00%127.41K11.91%114.92K10.46%114.52K10.46%114.52K-39.86%110.71K-34.16%109.84K-37.18%102.7K29.05%103.68K29.05%103.68K14.93%184.09K
Retained earnings -0.38%-101.25M-1.25%-100.69M-1.55%-99.9M-1.55%-99.9M-4.96%-102.18M-4.64%-100.86M-3.08%-99.45M-2.72%-98.38M-2.72%-98.38M-3.01%-97.35M
Paid-in capital -0.83%103.61M1.13%102.96M1.13%102.87M1.13%102.87M3.96%104.59M5.29%104.48M2.88%101.81M3.26%101.73M3.26%101.73M2.41%100.61M
Less: Treasury stock 0.00%37.12K0.00%37.12K-95.84%37.12K-95.84%37.12K-93.28%37.12K-91.24%37.12K-79.04%37.12K2,304.51%892.48K2,304.51%892.48K1,388.70%552.56K
Gains losses not affecting retained earnings ----------0--0-14.22%-16.68K-367.75%-17.85K-212.75%-8.42K-267.34%-10.99K-267.34%-10.99K-578.19%-14.6K
Total stockholders'equity -33.20%2.46M-3.00%2.34M19.71%3.05M19.71%3.05M-14.14%2.47M42.09%3.68M-2.39%2.41M-8.75%2.55M-8.75%2.55M-25.57%2.87M
Noncontrolling interests -41.84%-446.19K-71.14%-495.24K-102.29%-479.92K-102.29%-479.92K-72.48%-329.07K-653.97%-314.59K-356.36%-289.37K-174.74%-237.24K-174.74%-237.24K-138.80%-190.78K
Total equity -40.22%2.01M-13.10%1.85M11.23%2.57M11.23%2.57M-20.30%2.14M32.06%3.36M-17.85%2.12M-25.70%2.31M-25.70%2.31M-38.37%2.68M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------------

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