US Stock MarketDetailed Quotes

LAB Standard BioTools

Watchlist
  • 1.940
  • +0.100+5.43%
Close Dec 2 16:00 ET
  • 1.880
  • -0.060-3.09%
Post 20:01 ET
722.18MMarket Cap-2811P/E (TTM)

Standard BioTools 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
184.31%366.33M
177.37%394.71M
199.14%462.28M
-30.70%114.9M
-30.70%114.9M
-30.41%128.85M
-32.62%142.3M
415.42%154.54M
482.70%165.78M
482.70%165.78M
-Cash and cash equivalents
164.45%210.65M
89.60%269.81M
152.55%287.06M
-36.41%51.7M
-36.41%51.7M
32.32%79.66M
91.37%142.3M
279.09%113.66M
185.79%81.31M
185.79%81.31M
-Short-term investments
216.46%155.68M
--124.9M
328.70%175.23M
-25.20%63.19M
-25.20%63.19M
-60.63%49.2M
--0
--40.87M
--84.48M
--84.48M
Receivables
113.27%35.32M
114.57%32.44M
148.29%36.01M
13.77%19.66M
13.77%19.66M
-4.24%16.56M
38.24%15.12M
-5.95%14.5M
-5.68%17.28M
-5.68%17.28M
-Accounts receivable
113.39%35.34M
85.88%28.1M
148.29%36.01M
13.77%19.66M
13.77%19.66M
-4.24%16.56M
38.24%15.12M
-5.95%14.5M
-5.68%17.28M
-5.68%17.28M
-Other receivables
--608K
--4.81M
----
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----
----
----
----
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-Recievables adjustments allowances
---628K
---476K
----
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----
----
----
----
----
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Inventory
94.48%42.64M
93.02%42.62M
79.27%40.36M
-4.38%20.53M
-4.38%20.53M
-0.09%21.93M
-3.12%22.08M
-3.15%22.51M
3.11%21.47M
3.11%21.47M
Other current assets
173.68%9.32M
187.55%10.26M
164.14%8.91M
-26.91%3.13M
-26.91%3.13M
--3.4M
--3.57M
--3.37M
-4.30%4.28M
-4.30%4.28M
Total current assets
165.67%453.61M
162.21%480.03M
180.91%547.57M
-24.23%158.22M
-24.23%158.22M
-25.45%170.74M
-27.03%183.07M
166.31%194.93M
189.76%208.82M
189.76%208.82M
Non current assets
Net PPE
29.64%72.25M
30.65%74.1M
34.11%77.75M
-7.87%54.85M
-7.87%54.85M
-9.10%55.73M
-9.53%56.72M
-9.54%57.98M
-8.62%59.54M
-8.62%59.54M
-Gross PPE
58.74%141.87M
58.49%140.67M
41.23%140.58M
2.00%90.34M
2.00%90.34M
-9.62%89.37M
-11.26%88.75M
-0.59%99.54M
-10.50%88.56M
-10.50%88.56M
-Accumulated depreciation
-106.96%-69.62M
-107.77%-66.57M
-51.16%-62.83M
-22.25%-35.49M
-22.25%-35.49M
10.47%-33.64M
14.18%-32.04M
-15.30%-41.57M
14.12%-29.03M
14.12%-29.03M
Goodwill and other intangible assets
17.38%129.71M
14.80%130.33M
12.51%131.06M
-9.80%107.72M
-9.80%107.72M
-9.59%110.5M
-9.41%113.53M
-11.94%116.5M
-11.90%119.43M
-11.90%119.43M
-Goodwill
0.11%106.34M
-0.03%106.25M
-0.02%106.27M
0.06%106.32M
0.06%106.32M
0.15%106.23M
0.08%106.29M
-0.05%106.29M
-0.12%106.25M
-0.12%106.25M
-Other intangible assets
446.72%23.37M
232.48%24.08M
142.84%24.79M
-89.32%1.41M
-89.32%1.41M
-73.53%4.27M
-62.12%7.24M
-60.67%10.21M
-54.85%13.18M
-54.85%13.18M
Non current accounts receivable
--3.39M
--3.74M
--4.35M
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----
----
----
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Other non current assets
875.35%22.59M
717.44%20.53M
651.00%16.94M
-10.00%2.28M
-10.00%2.28M
-2.44%2.32M
12.09%2.51M
-4.33%2.26M
4.07%2.53M
4.07%2.53M
Total non current assets
35.24%227.93M
32.38%228.7M
30.20%230.1M
-9.17%164.85M
-9.17%164.85M
-9.34%168.54M
-9.19%172.76M
-11.08%176.73M
-10.66%181.5M
-10.66%181.5M
Total assets
100.88%681.54M
99.18%708.73M
109.24%777.67M
-17.23%323.07M
-17.23%323.07M
-18.23%339.29M
-19.34%355.83M
36.67%371.65M
41.82%390.31M
41.82%390.31M
Liabilities
Current liabilities
Payables
17.98%10.93M
70.67%12.57M
74.12%13.14M
12.57%10.23M
12.57%10.23M
-16.58%9.26M
-28.37%7.37M
-46.34%7.55M
-24.35%9.09M
-24.35%9.09M
-accounts payable
49.12%10.93M
106.44%12.57M
115.11%13.14M
16.70%9.24M
16.70%9.24M
-21.26%7.33M
-32.46%6.09M
-51.19%6.11M
-25.35%7.91M
-25.35%7.91M
-Total tax payable
----
----
----
-15.33%994K
-15.33%994K
7.68%1.93M
0.79%1.28M
-7.05%1.44M
-16.80%1.17M
-16.80%1.17M
Current accrued expenses
47.56%15.94M
41.07%16.89M
73.62%16.06M
-2.08%9.98M
-2.08%9.98M
-3.31%10.8M
14.77%11.97M
-18.31%9.25M
17.48%10.19M
17.48%10.19M
Current debt and capital lease obligation
579.68%61.04M
613.76%60.63M
752.33%60.49M
1,007.60%63.85M
1,007.60%63.85M
106.53%8.98M
157.97%8.5M
121.16%7.1M
-41.71%5.77M
-41.71%5.77M
-Current debt
998.26%54.91M
1,095.35%54.78M
1,539.84%54.66M
2,757.90%59.53M
2,757.90%59.53M
500.24%5M
--4.58M
--3.33M
-69.54%2.08M
-69.54%2.08M
-Current capital lease obligation
53.82%6.12M
49.57%5.85M
54.99%5.83M
17.41%4.32M
17.41%4.32M
13.23%3.98M
18.80%3.91M
17.30%3.76M
20.60%3.68M
20.60%3.68M
Current deferred liabilities
6.68%18.32M
28.71%19.71M
32.63%20.26M
5.42%15.22M
5.42%15.22M
14.67%17.18M
1.17%15.32M
-3.91%15.27M
-6.76%14.44M
-6.76%14.44M
Current liabilities
132.85%120.62M
164.32%123.81M
177.60%121.55M
151.66%109.33M
151.66%109.33M
12.20%51.8M
9.52%46.84M
-7.18%43.79M
-12.36%43.44M
-12.36%43.44M
Non current liabilities
Long term debt and capital lease obligation
-68.66%28.44M
-67.80%29.92M
-66.90%31.41M
-64.54%34.36M
-64.54%34.36M
-8.12%90.74M
-7.36%92.89M
-30.64%94.89M
-4.78%96.89M
-4.78%96.89M
-Long term debt
-99.50%299K
-99.51%299K
-99.52%299K
-93.66%3.98M
-93.66%3.98M
-6.72%59.59M
-6.02%60.66M
-38.29%61.73M
-2.18%62.81M
-2.18%62.81M
-Long term capital lease obligation
-9.66%28.14M
-8.11%29.62M
-6.16%31.11M
-10.88%30.37M
-10.88%30.37M
-10.67%31.15M
-9.80%32.23M
-9.82%33.15M
-9.23%34.08M
-9.23%34.08M
Non current deferred liabilities
158.23%41.64M
148.67%43.23M
143.13%44.57M
-21.39%15.12M
-21.39%15.12M
-20.62%16.13M
-24.34%17.39M
-31.02%18.33M
-32.31%19.23M
-32.31%19.23M
Preferred securities outside stock equity
--0
--0
--0
0.00%311.25M
0.00%311.25M
0.00%311.25M
0.00%311.25M
723.59%311.25M
--311.25M
--311.25M
Other non current liabilities
39.04%1.51M
79.83%1.52M
412.73%2.82M
10.82%1.07M
10.82%1.07M
-7.26%1.09M
-35.00%843K
-63.19%550K
8.96%961K
8.96%961K
Total non current liabilities
-82.92%71.59M
-82.32%74.66M
-81.46%78.8M
-15.54%361.79M
-15.54%361.79M
-2.85%419.21M
-3.08%422.37M
109.73%425.02M
226.85%428.33M
226.85%428.33M
Total liabilities
-59.19%192.21M
-57.70%198.47M
-57.26%200.35M
-0.14%471.12M
-0.14%471.12M
-1.39%471.01M
-1.96%469.21M
87.65%468.81M
161.20%471.78M
161.20%471.78M
Shareholders'equity
Share capital
375.61%390K
380.25%389K
383.75%387K
3.75%83K
3.75%83K
3.80%82K
2.53%81K
3.90%80K
3.90%80K
3.90%80K
-common stock
375.61%390K
380.25%389K
383.75%387K
3.75%83K
3.75%83K
3.80%82K
2.53%81K
3.90%80K
3.90%80K
3.90%80K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-17.39%-1.15B
-17.15%-1.12B
-14.42%-1.08B
-8.06%-1B
-8.06%-1B
-8.37%-980.98M
-9.61%-959.98M
-16.08%-942.94M
-25.83%-926.1M
-25.83%-926.1M
Paid-in capital
97.03%1.69B
97.13%1.68B
97.01%1.67B
1.63%860.82M
1.63%860.82M
1.41%856.93M
1.54%853.47M
1.76%850.06M
1.87%847.01M
1.87%847.01M
Less: Treasury stock
700.74%46.47M
759.86%46.47M
462.17%17.03M
961.63%5.98M
961.63%5.98M
--5.8M
--5.4M
--3.03M
--563K
--563K
Gains losses not affecting retained earnings
27.71%-1.41M
3.29%-1.5M
-34.94%-1.79M
-17.14%-2.22M
-17.14%-2.22M
25.30%-1.95M
31.16%-1.55M
-25.64%-1.33M
-109.04%-1.9M
-109.04%-1.9M
Total stockholders'equity
471.49%489.33M
550.02%510.26M
694.23%577.32M
-81.73%-148.05M
-81.73%-148.05M
-109.92%-131.72M
-202.74%-113.39M
-539.35%-97.15M
-186.12%-81.47M
-186.12%-81.47M
Total equity
471.49%489.33M
550.02%510.26M
694.23%577.32M
-81.73%-148.05M
-81.73%-148.05M
-109.92%-131.72M
-202.74%-113.39M
-539.35%-97.15M
-186.12%-81.47M
-186.12%-81.47M
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
--
--
--
--
Unqualified Opinion
--
(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 184.31%366.33M177.37%394.71M199.14%462.28M-30.70%114.9M-30.70%114.9M-30.41%128.85M-32.62%142.3M415.42%154.54M482.70%165.78M482.70%165.78M
-Cash and cash equivalents 164.45%210.65M89.60%269.81M152.55%287.06M-36.41%51.7M-36.41%51.7M32.32%79.66M91.37%142.3M279.09%113.66M185.79%81.31M185.79%81.31M
-Short-term investments 216.46%155.68M--124.9M328.70%175.23M-25.20%63.19M-25.20%63.19M-60.63%49.2M--0--40.87M--84.48M--84.48M
Receivables 113.27%35.32M114.57%32.44M148.29%36.01M13.77%19.66M13.77%19.66M-4.24%16.56M38.24%15.12M-5.95%14.5M-5.68%17.28M-5.68%17.28M
-Accounts receivable 113.39%35.34M85.88%28.1M148.29%36.01M13.77%19.66M13.77%19.66M-4.24%16.56M38.24%15.12M-5.95%14.5M-5.68%17.28M-5.68%17.28M
-Other receivables --608K--4.81M--------------------------------
-Recievables adjustments allowances ---628K---476K--------------------------------
Inventory 94.48%42.64M93.02%42.62M79.27%40.36M-4.38%20.53M-4.38%20.53M-0.09%21.93M-3.12%22.08M-3.15%22.51M3.11%21.47M3.11%21.47M
Other current assets 173.68%9.32M187.55%10.26M164.14%8.91M-26.91%3.13M-26.91%3.13M--3.4M--3.57M--3.37M-4.30%4.28M-4.30%4.28M
Total current assets 165.67%453.61M162.21%480.03M180.91%547.57M-24.23%158.22M-24.23%158.22M-25.45%170.74M-27.03%183.07M166.31%194.93M189.76%208.82M189.76%208.82M
Non current assets
Net PPE 29.64%72.25M30.65%74.1M34.11%77.75M-7.87%54.85M-7.87%54.85M-9.10%55.73M-9.53%56.72M-9.54%57.98M-8.62%59.54M-8.62%59.54M
-Gross PPE 58.74%141.87M58.49%140.67M41.23%140.58M2.00%90.34M2.00%90.34M-9.62%89.37M-11.26%88.75M-0.59%99.54M-10.50%88.56M-10.50%88.56M
-Accumulated depreciation -106.96%-69.62M-107.77%-66.57M-51.16%-62.83M-22.25%-35.49M-22.25%-35.49M10.47%-33.64M14.18%-32.04M-15.30%-41.57M14.12%-29.03M14.12%-29.03M
Goodwill and other intangible assets 17.38%129.71M14.80%130.33M12.51%131.06M-9.80%107.72M-9.80%107.72M-9.59%110.5M-9.41%113.53M-11.94%116.5M-11.90%119.43M-11.90%119.43M
-Goodwill 0.11%106.34M-0.03%106.25M-0.02%106.27M0.06%106.32M0.06%106.32M0.15%106.23M0.08%106.29M-0.05%106.29M-0.12%106.25M-0.12%106.25M
-Other intangible assets 446.72%23.37M232.48%24.08M142.84%24.79M-89.32%1.41M-89.32%1.41M-73.53%4.27M-62.12%7.24M-60.67%10.21M-54.85%13.18M-54.85%13.18M
Non current accounts receivable --3.39M--3.74M--4.35M----------------------------
Other non current assets 875.35%22.59M717.44%20.53M651.00%16.94M-10.00%2.28M-10.00%2.28M-2.44%2.32M12.09%2.51M-4.33%2.26M4.07%2.53M4.07%2.53M
Total non current assets 35.24%227.93M32.38%228.7M30.20%230.1M-9.17%164.85M-9.17%164.85M-9.34%168.54M-9.19%172.76M-11.08%176.73M-10.66%181.5M-10.66%181.5M
Total assets 100.88%681.54M99.18%708.73M109.24%777.67M-17.23%323.07M-17.23%323.07M-18.23%339.29M-19.34%355.83M36.67%371.65M41.82%390.31M41.82%390.31M
Liabilities
Current liabilities
Payables 17.98%10.93M70.67%12.57M74.12%13.14M12.57%10.23M12.57%10.23M-16.58%9.26M-28.37%7.37M-46.34%7.55M-24.35%9.09M-24.35%9.09M
-accounts payable 49.12%10.93M106.44%12.57M115.11%13.14M16.70%9.24M16.70%9.24M-21.26%7.33M-32.46%6.09M-51.19%6.11M-25.35%7.91M-25.35%7.91M
-Total tax payable -------------15.33%994K-15.33%994K7.68%1.93M0.79%1.28M-7.05%1.44M-16.80%1.17M-16.80%1.17M
Current accrued expenses 47.56%15.94M41.07%16.89M73.62%16.06M-2.08%9.98M-2.08%9.98M-3.31%10.8M14.77%11.97M-18.31%9.25M17.48%10.19M17.48%10.19M
Current debt and capital lease obligation 579.68%61.04M613.76%60.63M752.33%60.49M1,007.60%63.85M1,007.60%63.85M106.53%8.98M157.97%8.5M121.16%7.1M-41.71%5.77M-41.71%5.77M
-Current debt 998.26%54.91M1,095.35%54.78M1,539.84%54.66M2,757.90%59.53M2,757.90%59.53M500.24%5M--4.58M--3.33M-69.54%2.08M-69.54%2.08M
-Current capital lease obligation 53.82%6.12M49.57%5.85M54.99%5.83M17.41%4.32M17.41%4.32M13.23%3.98M18.80%3.91M17.30%3.76M20.60%3.68M20.60%3.68M
Current deferred liabilities 6.68%18.32M28.71%19.71M32.63%20.26M5.42%15.22M5.42%15.22M14.67%17.18M1.17%15.32M-3.91%15.27M-6.76%14.44M-6.76%14.44M
Current liabilities 132.85%120.62M164.32%123.81M177.60%121.55M151.66%109.33M151.66%109.33M12.20%51.8M9.52%46.84M-7.18%43.79M-12.36%43.44M-12.36%43.44M
Non current liabilities
Long term debt and capital lease obligation -68.66%28.44M-67.80%29.92M-66.90%31.41M-64.54%34.36M-64.54%34.36M-8.12%90.74M-7.36%92.89M-30.64%94.89M-4.78%96.89M-4.78%96.89M
-Long term debt -99.50%299K-99.51%299K-99.52%299K-93.66%3.98M-93.66%3.98M-6.72%59.59M-6.02%60.66M-38.29%61.73M-2.18%62.81M-2.18%62.81M
-Long term capital lease obligation -9.66%28.14M-8.11%29.62M-6.16%31.11M-10.88%30.37M-10.88%30.37M-10.67%31.15M-9.80%32.23M-9.82%33.15M-9.23%34.08M-9.23%34.08M
Non current deferred liabilities 158.23%41.64M148.67%43.23M143.13%44.57M-21.39%15.12M-21.39%15.12M-20.62%16.13M-24.34%17.39M-31.02%18.33M-32.31%19.23M-32.31%19.23M
Preferred securities outside stock equity --0--0--00.00%311.25M0.00%311.25M0.00%311.25M0.00%311.25M723.59%311.25M--311.25M--311.25M
Other non current liabilities 39.04%1.51M79.83%1.52M412.73%2.82M10.82%1.07M10.82%1.07M-7.26%1.09M-35.00%843K-63.19%550K8.96%961K8.96%961K
Total non current liabilities -82.92%71.59M-82.32%74.66M-81.46%78.8M-15.54%361.79M-15.54%361.79M-2.85%419.21M-3.08%422.37M109.73%425.02M226.85%428.33M226.85%428.33M
Total liabilities -59.19%192.21M-57.70%198.47M-57.26%200.35M-0.14%471.12M-0.14%471.12M-1.39%471.01M-1.96%469.21M87.65%468.81M161.20%471.78M161.20%471.78M
Shareholders'equity
Share capital 375.61%390K380.25%389K383.75%387K3.75%83K3.75%83K3.80%82K2.53%81K3.90%80K3.90%80K3.90%80K
-common stock 375.61%390K380.25%389K383.75%387K3.75%83K3.75%83K3.80%82K2.53%81K3.90%80K3.90%80K3.90%80K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -17.39%-1.15B-17.15%-1.12B-14.42%-1.08B-8.06%-1B-8.06%-1B-8.37%-980.98M-9.61%-959.98M-16.08%-942.94M-25.83%-926.1M-25.83%-926.1M
Paid-in capital 97.03%1.69B97.13%1.68B97.01%1.67B1.63%860.82M1.63%860.82M1.41%856.93M1.54%853.47M1.76%850.06M1.87%847.01M1.87%847.01M
Less: Treasury stock 700.74%46.47M759.86%46.47M462.17%17.03M961.63%5.98M961.63%5.98M--5.8M--5.4M--3.03M--563K--563K
Gains losses not affecting retained earnings 27.71%-1.41M3.29%-1.5M-34.94%-1.79M-17.14%-2.22M-17.14%-2.22M25.30%-1.95M31.16%-1.55M-25.64%-1.33M-109.04%-1.9M-109.04%-1.9M
Total stockholders'equity 471.49%489.33M550.02%510.26M694.23%577.32M-81.73%-148.05M-81.73%-148.05M-109.92%-131.72M-202.74%-113.39M-539.35%-97.15M-186.12%-81.47M-186.12%-81.47M
Total equity 471.49%489.33M550.02%510.26M694.23%577.32M-81.73%-148.05M-81.73%-148.05M-109.92%-131.72M-202.74%-113.39M-539.35%-97.15M-186.12%-81.47M-186.12%-81.47M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

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