US Stock MarketDetailed Quotes

JNVR Janover

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  • 0.635
  • +0.015+2.42%
Trading Dec 13 10:16 ET
7.18MMarket Cap-2.10P/E (TTM)

Janover Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
-52.39%2.77M
104.65%3.24M
411.37%3.92M
417.33%5.08M
417.33%5.08M
355.34%5.82M
6.12%1.58M
--767.39K
-42.53%981.13K
-42.53%981.13K
-Cash and cash equivalents
-52.39%2.77M
104.65%3.24M
411.37%3.92M
417.33%5.08M
417.33%5.08M
355.34%5.82M
6.12%1.58M
--767.39K
-42.53%981.13K
-42.53%981.13K
Receivables
29.81%165.79K
12.03%111.18K
4.38%120.78K
124.98%86.14K
124.98%86.14K
63.02%127.71K
298.69%99.24K
--115.71K
-70.65%38.29K
-70.65%38.29K
-Accounts receivable
29.81%165.79K
12.03%111.18K
4.38%120.78K
124.98%86.14K
124.98%86.14K
63.02%127.71K
298.69%99.24K
--115.71K
-65.39%38.29K
-65.39%38.29K
Prepaid assets
-32.50%129.21K
846.47%71.61K
1,646.58%132.15K
1,623.90%130.43K
1,623.90%130.43K
1,460.25%191.41K
-38.33%7.57K
--7.57K
216.04%7.57K
216.04%7.57K
Current deferred assets
--48.53K
----
----
----
----
----
----
----
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----
Total current assets
-49.27%3.11M
102.53%3.42M
368.99%4.18M
415.32%5.29M
415.32%5.29M
348.51%6.13M
10.53%1.69M
--890.67K
-44.19%1.03M
-44.19%1.03M
Non current assets
Net PPE
-26.03%61.94K
-11.70%76.44K
-14.71%83.76K
-17.09%90.92K
-17.09%90.92K
-36.19%83.73K
-34.48%86.57K
--98.2K
--109.66K
--109.66K
-Gross PPE
-18.96%67.94K
-7.01%80.5K
-12.38%86.04K
-16.26%91.83K
-16.26%91.83K
-36.11%83.84K
-34.48%86.57K
--98.2K
--109.66K
--109.66K
-Accumulated depreciation
-5,514.02%-6.01K
---4.05K
---2.29K
---912
---912
---107
----
----
--0
--0
Goodwill and other intangible assets
6,804.12%1.12M
7,089.39%1.16M
7,385.56%1.21M
7,828.19%1.28M
7,828.19%1.28M
0.00%16.18K
0.00%16.18K
--16.18K
0.00%16.18K
0.00%16.18K
-Goodwill
--606.67K
--606.67K
--606.67K
--606.67K
--606.67K
----
----
----
--0
--0
-Other intangible assets
--510.28K
--556.43K
--604.35K
4,078.25%675.96K
4,078.25%675.96K
----
----
----
--16.18K
--16.18K
Investments and advances
--173.25K
----
----
----
----
----
----
----
----
----
Non current deferred assets
----
----
----
--0
--0
--0
183.26%254.85K
--177.22K
--177.22K
--177.22K
Other non current assets
201.61%20.74K
1,290.58%95.63K
163.30%18.11K
163.30%18.11K
163.30%18.11K
0.00%6.88K
0.00%6.88K
--6.88K
187.26%6.88K
187.26%6.88K
Total non current assets
1,185.66%1.37M
266.33%1.34M
339.87%1.31M
349.01%1.39M
349.01%1.39M
-61.20%106.78K
48.67%364.47K
--298.47K
1,568.83%309.94K
1,568.83%309.94K
Total assets
-28.14%4.48M
131.61%4.75M
361.68%5.49M
399.94%6.68M
399.94%6.68M
279.87%6.24M
15.80%2.05M
--1.19M
-28.07%1.34M
-28.07%1.34M
Liabilities
Current liabilities
Current debt and capital lease obligation
-45.75%27.66K
-0.00%41.18K
0.00%54.5K
15.85%52.73K
15.85%52.73K
16.61%50.99K
-3.44%41.18K
--54.5K
--45.52K
--45.52K
-Current capital lease obligation
-45.75%27.66K
-0.00%41.18K
0.00%54.5K
15.85%52.73K
15.85%52.73K
16.61%50.99K
-3.44%41.18K
--54.5K
--45.52K
--45.52K
Current deferred liabilities
--200.95K
--86.62K
--83.23K
--83.23K
--83.23K
----
----
----
--0
--0
Current liabilities
61.58%350.15K
34.67%314.84K
43.79%349.91K
229.48%675.1K
229.48%675.1K
20.19%216.7K
18.52%233.78K
--243.34K
147.83%204.9K
147.83%204.9K
Non current liabilities
Long term debt and capital lease obligation
--0
--0
--0
-79.22%13.93K
-79.22%13.93K
-65.07%27.66K
-45.53%49.27K
--47.58K
--67.06K
--67.06K
-Long term capital lease obligation
--0
--0
--0
-79.22%13.93K
-79.22%13.93K
-65.07%27.66K
-45.53%49.27K
--47.58K
--67.06K
--67.06K
Derivative product liabilities
----
----
----
--0
--0
--0
-61.06%659.41K
--493.87K
-60.23%539.58K
-60.23%539.58K
Other non current liabilities
--178.82K
--178.82K
--178.82K
--178.82K
--178.82K
----
----
----
----
----
Total non current liabilities
546.54%178.82K
-74.77%178.82K
-66.97%178.82K
-68.23%192.75K
-68.23%192.75K
-98.40%27.66K
-60.27%708.68K
--541.45K
-55.29%606.64K
-55.29%606.64K
Total liabilities
116.48%528.97K
-47.62%493.66K
-32.63%528.73K
6.94%867.85K
6.94%867.85K
-87.22%244.35K
-52.43%942.45K
--784.79K
-43.62%811.54K
-43.62%811.54K
Shareholders'equity
Share capital
13.00%113
54.93%110
54.93%110
54.93%110
54.93%110
47.06%100
-84.73%71
--71
4.41%71
4.41%71
-common stock
13.00%113
54.93%110
54.93%110
54.93%110
54.93%110
47.06%100
-84.73%71
--71
4.41%71
4.41%71
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-62.53%-8.88M
-116.40%-8.41M
-117.99%-7.61M
-103.18%-6.64M
-103.18%-6.64M
-54.44%-5.47M
-18.83%-3.89M
---3.49M
-62.83%-3.27M
-62.83%-3.27M
Paid-in capital
12.01%12.84M
153.58%12.67M
222.76%12.57M
228.31%12.46M
228.31%12.46M
250.57%11.46M
63.18%5M
--3.89M
56.35%3.79M
56.35%3.79M
Total stockholders'equity
-34.03%3.96M
283.74%4.26M
1,126.99%4.96M
1,007.01%5.82M
1,007.01%5.82M
2,324.23%6M
633.00%1.11M
--404.35K
25.30%525.38K
25.30%525.38K
Total equity
-34.03%3.96M
283.74%4.26M
1,126.99%4.96M
1,007.01%5.82M
1,007.01%5.82M
2,324.23%6M
633.00%1.11M
--404.35K
25.30%525.38K
25.30%525.38K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(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 -52.39%2.77M104.65%3.24M411.37%3.92M417.33%5.08M417.33%5.08M355.34%5.82M6.12%1.58M--767.39K-42.53%981.13K-42.53%981.13K
-Cash and cash equivalents -52.39%2.77M104.65%3.24M411.37%3.92M417.33%5.08M417.33%5.08M355.34%5.82M6.12%1.58M--767.39K-42.53%981.13K-42.53%981.13K
Receivables 29.81%165.79K12.03%111.18K4.38%120.78K124.98%86.14K124.98%86.14K63.02%127.71K298.69%99.24K--115.71K-70.65%38.29K-70.65%38.29K
-Accounts receivable 29.81%165.79K12.03%111.18K4.38%120.78K124.98%86.14K124.98%86.14K63.02%127.71K298.69%99.24K--115.71K-65.39%38.29K-65.39%38.29K
Prepaid assets -32.50%129.21K846.47%71.61K1,646.58%132.15K1,623.90%130.43K1,623.90%130.43K1,460.25%191.41K-38.33%7.57K--7.57K216.04%7.57K216.04%7.57K
Current deferred assets --48.53K------------------------------------
Total current assets -49.27%3.11M102.53%3.42M368.99%4.18M415.32%5.29M415.32%5.29M348.51%6.13M10.53%1.69M--890.67K-44.19%1.03M-44.19%1.03M
Non current assets
Net PPE -26.03%61.94K-11.70%76.44K-14.71%83.76K-17.09%90.92K-17.09%90.92K-36.19%83.73K-34.48%86.57K--98.2K--109.66K--109.66K
-Gross PPE -18.96%67.94K-7.01%80.5K-12.38%86.04K-16.26%91.83K-16.26%91.83K-36.11%83.84K-34.48%86.57K--98.2K--109.66K--109.66K
-Accumulated depreciation -5,514.02%-6.01K---4.05K---2.29K---912---912---107----------0--0
Goodwill and other intangible assets 6,804.12%1.12M7,089.39%1.16M7,385.56%1.21M7,828.19%1.28M7,828.19%1.28M0.00%16.18K0.00%16.18K--16.18K0.00%16.18K0.00%16.18K
-Goodwill --606.67K--606.67K--606.67K--606.67K--606.67K--------------0--0
-Other intangible assets --510.28K--556.43K--604.35K4,078.25%675.96K4,078.25%675.96K--------------16.18K--16.18K
Investments and advances --173.25K------------------------------------
Non current deferred assets --------------0--0--0183.26%254.85K--177.22K--177.22K--177.22K
Other non current assets 201.61%20.74K1,290.58%95.63K163.30%18.11K163.30%18.11K163.30%18.11K0.00%6.88K0.00%6.88K--6.88K187.26%6.88K187.26%6.88K
Total non current assets 1,185.66%1.37M266.33%1.34M339.87%1.31M349.01%1.39M349.01%1.39M-61.20%106.78K48.67%364.47K--298.47K1,568.83%309.94K1,568.83%309.94K
Total assets -28.14%4.48M131.61%4.75M361.68%5.49M399.94%6.68M399.94%6.68M279.87%6.24M15.80%2.05M--1.19M-28.07%1.34M-28.07%1.34M
Liabilities
Current liabilities
Current debt and capital lease obligation -45.75%27.66K-0.00%41.18K0.00%54.5K15.85%52.73K15.85%52.73K16.61%50.99K-3.44%41.18K--54.5K--45.52K--45.52K
-Current capital lease obligation -45.75%27.66K-0.00%41.18K0.00%54.5K15.85%52.73K15.85%52.73K16.61%50.99K-3.44%41.18K--54.5K--45.52K--45.52K
Current deferred liabilities --200.95K--86.62K--83.23K--83.23K--83.23K--------------0--0
Current liabilities 61.58%350.15K34.67%314.84K43.79%349.91K229.48%675.1K229.48%675.1K20.19%216.7K18.52%233.78K--243.34K147.83%204.9K147.83%204.9K
Non current liabilities
Long term debt and capital lease obligation --0--0--0-79.22%13.93K-79.22%13.93K-65.07%27.66K-45.53%49.27K--47.58K--67.06K--67.06K
-Long term capital lease obligation --0--0--0-79.22%13.93K-79.22%13.93K-65.07%27.66K-45.53%49.27K--47.58K--67.06K--67.06K
Derivative product liabilities --------------0--0--0-61.06%659.41K--493.87K-60.23%539.58K-60.23%539.58K
Other non current liabilities --178.82K--178.82K--178.82K--178.82K--178.82K--------------------
Total non current liabilities 546.54%178.82K-74.77%178.82K-66.97%178.82K-68.23%192.75K-68.23%192.75K-98.40%27.66K-60.27%708.68K--541.45K-55.29%606.64K-55.29%606.64K
Total liabilities 116.48%528.97K-47.62%493.66K-32.63%528.73K6.94%867.85K6.94%867.85K-87.22%244.35K-52.43%942.45K--784.79K-43.62%811.54K-43.62%811.54K
Shareholders'equity
Share capital 13.00%11354.93%11054.93%11054.93%11054.93%11047.06%100-84.73%71--714.41%714.41%71
-common stock 13.00%11354.93%11054.93%11054.93%11054.93%11047.06%100-84.73%71--714.41%714.41%71
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -62.53%-8.88M-116.40%-8.41M-117.99%-7.61M-103.18%-6.64M-103.18%-6.64M-54.44%-5.47M-18.83%-3.89M---3.49M-62.83%-3.27M-62.83%-3.27M
Paid-in capital 12.01%12.84M153.58%12.67M222.76%12.57M228.31%12.46M228.31%12.46M250.57%11.46M63.18%5M--3.89M56.35%3.79M56.35%3.79M
Total stockholders'equity -34.03%3.96M283.74%4.26M1,126.99%4.96M1,007.01%5.82M1,007.01%5.82M2,324.23%6M633.00%1.11M--404.35K25.30%525.38K25.30%525.38K
Total equity -34.03%3.96M283.74%4.26M1,126.99%4.96M1,007.01%5.82M1,007.01%5.82M2,324.23%6M633.00%1.11M--404.35K25.30%525.38K25.30%525.38K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--
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