US Stock MarketDetailed Quotes

MARK Remark Holdings

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  • 0.111
  • +0.016+16.65%
15min DelayClose Nov 25 16:00 ET
5.68MMarket Cap-92P/E (TTM)

Remark Holdings 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
110.58%438K
-34.34%239K
178.85%145K
178.85%145K
-28.19%270K
-98.47%208K
-98.49%364K
-99.91%52K
-99.91%52K
-99.53%376K
-Cash and cash equivalents
110.58%438K
-34.34%239K
178.85%145K
178.85%145K
-28.19%270K
-80.43%208K
-86.47%364K
-99.63%52K
-99.63%52K
-88.13%376K
-Short-term investments
----
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----
----
----
----
----
----
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--0
Receivables
26.28%4.36M
-51.92%1.31M
-53.95%1.43M
-53.95%1.43M
-47.14%3.05M
-63.60%3.46M
-79.24%2.73M
-78.16%3.11M
-78.16%3.11M
-26.02%5.76M
-Accounts receivable
26.59%4.36M
-57.52%1.16M
-58.36%1.29M
-58.36%1.29M
-47.11%3.04M
-63.67%3.45M
-75.92%2.72M
-69.89%3.09M
-69.89%3.09M
-21.39%5.75M
-Other receivables
-80.00%2K
1,470.00%157K
539.13%147K
539.13%147K
-71.43%2K
25.00%10K
-99.46%10K
-99.42%23K
-99.42%23K
-98.50%7K
Inventory
84.05%646K
140.13%742K
143.51%750K
143.51%750K
-70.55%455K
-76.43%351K
-79.29%309K
-77.12%308K
-77.12%308K
-20.20%1.55M
Prepaid assets
-42.15%490K
-45.79%683K
-65.28%467K
-65.28%467K
-48.47%792K
-51.35%847K
-23.77%1.26M
-24.40%1.35M
-24.40%1.35M
29.60%1.54M
Current deferred assets
--0
-17.46%6.18M
-10.97%6.64M
-10.97%6.64M
4.78%5.9M
10.57%5.6M
57.12%7.49M
1,167.06%7.46M
1,167.06%7.46M
--5.63M
Other current assets
----
----
----
----
16.67%7K
--7K
-16.67%5K
0.00%6K
0.00%6K
-98.06%6K
Total current assets
-43.27%5.94M
-24.67%9.15M
-23.18%9.44M
-23.18%9.44M
-29.53%10.47M
-66.65%10.47M
-73.11%12.15M
-83.51%12.29M
-83.51%12.29M
-83.86%14.85M
Non current assets
Net PPE
-54.38%1.01M
-49.30%910K
-62.43%706K
-62.43%706K
17.21%1.78M
35.86%2.21M
18.09%1.8M
241.02%1.88M
241.02%1.88M
159.73%1.52M
-Gross PPE
-21.40%6.61M
-19.90%6.47M
-23.35%6.22M
-23.35%6.22M
5.49%8.09M
7.75%8.42M
3.79%8.07M
20.15%8.11M
20.15%8.11M
14.14%7.67M
-Accumulated depreciation
9.69%-5.61M
11.49%-5.56M
11.56%-5.51M
11.56%-5.51M
-2.59%-6.31M
-0.37%-6.21M
-0.32%-6.28M
-0.52%-6.23M
-0.52%-6.23M
-0.23%-6.15M
Non current deferred assets
--6.29M
----
----
----
----
----
----
----
----
----
Other non current assets
-62.03%71K
-67.26%74K
-66.54%90K
-66.54%90K
-53.21%146K
-47.91%187K
-43.92%226K
-38.86%269K
-38.86%269K
-35.40%312K
Total non current assets
207.98%7.37M
-51.31%984K
-62.94%796K
-62.94%796K
5.23%1.93M
20.69%2.39M
5.10%2.02M
116.75%2.15M
116.75%2.15M
71.56%1.83M
Total assets
3.47%13.3M
-28.47%10.14M
-29.09%10.24M
-29.09%10.24M
-25.71%12.4M
-61.46%12.86M
-69.92%14.17M
-80.88%14.44M
-80.88%14.44M
-82.07%16.69M
Liabilities
Current liabilities
Payables
48.63%16.58M
8.64%13.01M
1.23%11.98M
1.23%11.98M
-6.62%10.6M
2.32%11.16M
-3.41%11.98M
-4.69%11.84M
-4.69%11.84M
-17.54%11.35M
-accounts payable
42.72%13.02M
1.32%9.88M
-2.65%9.35M
-2.65%9.35M
-6.78%8.58M
6.50%9.13M
-3.45%9.75M
-4.87%9.6M
-4.87%9.6M
-18.06%9.2M
-Total tax payable
--1.36M
--1.03M
--495K
--495K
----
----
----
--0
--0
----
-Other payable
8.42%2.2M
-5.62%2.1M
-4.30%2.14M
-4.30%2.14M
-5.92%2.02M
-13.02%2.03M
-3.26%2.22M
-3.87%2.23M
-3.87%2.23M
-15.22%2.15M
Current accrued expenses
100.59%6.08M
117.10%5.64M
62.78%5.15M
62.78%5.15M
89.09%3.94M
134.08%3.03M
51.87%2.6M
53.64%3.16M
53.64%3.16M
65.95%2.08M
Current debt and capital lease obligation
-0.85%16.75M
0.73%16.73M
13.60%16.75M
13.60%16.75M
15.92%16.84M
-28.55%16.89M
-34.66%16.61M
-47.34%14.75M
-47.34%14.75M
122.65%14.53M
-Current debt
0.10%16.5M
-0.08%16.48M
12.71%16.46M
12.71%16.46M
14.25%16.47M
-29.81%16.48M
-34.59%16.49M
-47.48%14.61M
-47.48%14.61M
128.97%14.42M
-Current capital lease obligation
-39.12%249K
111.67%254K
108.70%288K
108.70%288K
239.81%367K
158.86%409K
-42.58%120K
-26.20%138K
-26.20%138K
-52.42%108K
Current deferred liabilities
180.64%4.2M
1.16%1.58M
19.77%1.78M
19.77%1.78M
19.78%1.39M
-22.46%1.5M
260.65%1.56M
157.29%1.48M
157.29%1.48M
55.90%1.16M
Other current liabilities
132.62%13.43M
152.81%13.08M
400.23%10.67M
400.23%10.67M
733.63%9.4M
394.86%5.78M
1,361.86%5.18M
272.08%2.13M
272.08%2.13M
97.72%1.13M
Current liabilities
45.45%59.47M
31.11%52.34M
42.34%49.54M
42.34%49.54M
43.46%44.98M
3.14%40.89M
-2.49%39.92M
-21.69%34.81M
-21.69%34.81M
28.87%31.35M
Non current liabilities
Long term debt and capital lease obligation
-55.03%179K
683.33%235K
410.71%286K
410.71%286K
1,244.00%336K
895.00%398K
-45.45%30K
124.00%56K
124.00%56K
-48.98%25K
-Long term capital lease obligation
-55.03%179K
683.33%235K
410.71%286K
410.71%286K
1,244.00%336K
895.00%398K
-45.45%30K
124.00%56K
124.00%56K
-48.98%25K
Total non current liabilities
-55.03%179K
683.33%235K
410.71%286K
410.71%286K
1,244.00%336K
895.00%398K
-45.45%30K
124.00%56K
124.00%56K
-48.98%25K
Total liabilities
44.48%59.65M
31.60%52.57M
42.93%49.83M
42.93%49.83M
44.42%45.32M
4.04%41.29M
-2.55%39.95M
-21.61%34.86M
-21.61%34.86M
28.71%31.38M
Shareholders'equity
Share capital
194.12%50K
192.86%41K
83.33%22K
83.33%22K
-81.13%20K
-83.81%17K
-86.67%14K
9.09%12K
9.09%12K
0.95%106K
-common stock
194.12%50K
192.86%41K
83.33%22K
83.33%22K
-81.13%20K
-83.81%17K
-86.67%14K
9.09%12K
9.09%12K
0.95%106K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-8.49%-436.72M
-8.77%-431.46M
-7.50%-417.67M
-7.50%-417.67M
-7.85%-409.73M
-8.51%-402.56M
-10.66%-396.69M
-16.66%-388.52M
-16.66%-388.52M
-28.88%-379.92M
Paid-in capital
4.27%391.54M
4.89%390.25M
2.79%379.24M
2.79%379.24M
3.21%378.02M
2.81%375.52M
2.01%372.07M
1.27%368.95M
1.27%368.95M
0.74%366.26M
Gains losses not affecting retained earnings
13.32%-1.22M
-7.31%-1.26M
-38.07%-1.19M
-38.07%-1.19M
-8.09%-1.23M
-102.89%-1.4M
-339.18%-1.18M
-218.15%-859K
-218.15%-859K
-531.67%-1.14M
Total stockholders'equity
-63.03%-46.35M
-64.63%-42.44M
-93.83%-39.59M
-93.83%-39.59M
-124.08%-32.92M
-349.68%-28.43M
-521.12%-25.78M
-165.81%-20.43M
-165.81%-20.43M
-121.38%-14.69M
Total equity
-63.03%-46.35M
-64.63%-42.44M
-93.83%-39.59M
-93.83%-39.59M
-124.08%-32.92M
-349.68%-28.43M
-521.12%-25.78M
-165.81%-20.43M
-165.81%-20.43M
-121.38%-14.69M
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
--
--
--
--
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 110.58%438K-34.34%239K178.85%145K178.85%145K-28.19%270K-98.47%208K-98.49%364K-99.91%52K-99.91%52K-99.53%376K
-Cash and cash equivalents 110.58%438K-34.34%239K178.85%145K178.85%145K-28.19%270K-80.43%208K-86.47%364K-99.63%52K-99.63%52K-88.13%376K
-Short-term investments --------------------------------------0
Receivables 26.28%4.36M-51.92%1.31M-53.95%1.43M-53.95%1.43M-47.14%3.05M-63.60%3.46M-79.24%2.73M-78.16%3.11M-78.16%3.11M-26.02%5.76M
-Accounts receivable 26.59%4.36M-57.52%1.16M-58.36%1.29M-58.36%1.29M-47.11%3.04M-63.67%3.45M-75.92%2.72M-69.89%3.09M-69.89%3.09M-21.39%5.75M
-Other receivables -80.00%2K1,470.00%157K539.13%147K539.13%147K-71.43%2K25.00%10K-99.46%10K-99.42%23K-99.42%23K-98.50%7K
Inventory 84.05%646K140.13%742K143.51%750K143.51%750K-70.55%455K-76.43%351K-79.29%309K-77.12%308K-77.12%308K-20.20%1.55M
Prepaid assets -42.15%490K-45.79%683K-65.28%467K-65.28%467K-48.47%792K-51.35%847K-23.77%1.26M-24.40%1.35M-24.40%1.35M29.60%1.54M
Current deferred assets --0-17.46%6.18M-10.97%6.64M-10.97%6.64M4.78%5.9M10.57%5.6M57.12%7.49M1,167.06%7.46M1,167.06%7.46M--5.63M
Other current assets ----------------16.67%7K--7K-16.67%5K0.00%6K0.00%6K-98.06%6K
Total current assets -43.27%5.94M-24.67%9.15M-23.18%9.44M-23.18%9.44M-29.53%10.47M-66.65%10.47M-73.11%12.15M-83.51%12.29M-83.51%12.29M-83.86%14.85M
Non current assets
Net PPE -54.38%1.01M-49.30%910K-62.43%706K-62.43%706K17.21%1.78M35.86%2.21M18.09%1.8M241.02%1.88M241.02%1.88M159.73%1.52M
-Gross PPE -21.40%6.61M-19.90%6.47M-23.35%6.22M-23.35%6.22M5.49%8.09M7.75%8.42M3.79%8.07M20.15%8.11M20.15%8.11M14.14%7.67M
-Accumulated depreciation 9.69%-5.61M11.49%-5.56M11.56%-5.51M11.56%-5.51M-2.59%-6.31M-0.37%-6.21M-0.32%-6.28M-0.52%-6.23M-0.52%-6.23M-0.23%-6.15M
Non current deferred assets --6.29M------------------------------------
Other non current assets -62.03%71K-67.26%74K-66.54%90K-66.54%90K-53.21%146K-47.91%187K-43.92%226K-38.86%269K-38.86%269K-35.40%312K
Total non current assets 207.98%7.37M-51.31%984K-62.94%796K-62.94%796K5.23%1.93M20.69%2.39M5.10%2.02M116.75%2.15M116.75%2.15M71.56%1.83M
Total assets 3.47%13.3M-28.47%10.14M-29.09%10.24M-29.09%10.24M-25.71%12.4M-61.46%12.86M-69.92%14.17M-80.88%14.44M-80.88%14.44M-82.07%16.69M
Liabilities
Current liabilities
Payables 48.63%16.58M8.64%13.01M1.23%11.98M1.23%11.98M-6.62%10.6M2.32%11.16M-3.41%11.98M-4.69%11.84M-4.69%11.84M-17.54%11.35M
-accounts payable 42.72%13.02M1.32%9.88M-2.65%9.35M-2.65%9.35M-6.78%8.58M6.50%9.13M-3.45%9.75M-4.87%9.6M-4.87%9.6M-18.06%9.2M
-Total tax payable --1.36M--1.03M--495K--495K--------------0--0----
-Other payable 8.42%2.2M-5.62%2.1M-4.30%2.14M-4.30%2.14M-5.92%2.02M-13.02%2.03M-3.26%2.22M-3.87%2.23M-3.87%2.23M-15.22%2.15M
Current accrued expenses 100.59%6.08M117.10%5.64M62.78%5.15M62.78%5.15M89.09%3.94M134.08%3.03M51.87%2.6M53.64%3.16M53.64%3.16M65.95%2.08M
Current debt and capital lease obligation -0.85%16.75M0.73%16.73M13.60%16.75M13.60%16.75M15.92%16.84M-28.55%16.89M-34.66%16.61M-47.34%14.75M-47.34%14.75M122.65%14.53M
-Current debt 0.10%16.5M-0.08%16.48M12.71%16.46M12.71%16.46M14.25%16.47M-29.81%16.48M-34.59%16.49M-47.48%14.61M-47.48%14.61M128.97%14.42M
-Current capital lease obligation -39.12%249K111.67%254K108.70%288K108.70%288K239.81%367K158.86%409K-42.58%120K-26.20%138K-26.20%138K-52.42%108K
Current deferred liabilities 180.64%4.2M1.16%1.58M19.77%1.78M19.77%1.78M19.78%1.39M-22.46%1.5M260.65%1.56M157.29%1.48M157.29%1.48M55.90%1.16M
Other current liabilities 132.62%13.43M152.81%13.08M400.23%10.67M400.23%10.67M733.63%9.4M394.86%5.78M1,361.86%5.18M272.08%2.13M272.08%2.13M97.72%1.13M
Current liabilities 45.45%59.47M31.11%52.34M42.34%49.54M42.34%49.54M43.46%44.98M3.14%40.89M-2.49%39.92M-21.69%34.81M-21.69%34.81M28.87%31.35M
Non current liabilities
Long term debt and capital lease obligation -55.03%179K683.33%235K410.71%286K410.71%286K1,244.00%336K895.00%398K-45.45%30K124.00%56K124.00%56K-48.98%25K
-Long term capital lease obligation -55.03%179K683.33%235K410.71%286K410.71%286K1,244.00%336K895.00%398K-45.45%30K124.00%56K124.00%56K-48.98%25K
Total non current liabilities -55.03%179K683.33%235K410.71%286K410.71%286K1,244.00%336K895.00%398K-45.45%30K124.00%56K124.00%56K-48.98%25K
Total liabilities 44.48%59.65M31.60%52.57M42.93%49.83M42.93%49.83M44.42%45.32M4.04%41.29M-2.55%39.95M-21.61%34.86M-21.61%34.86M28.71%31.38M
Shareholders'equity
Share capital 194.12%50K192.86%41K83.33%22K83.33%22K-81.13%20K-83.81%17K-86.67%14K9.09%12K9.09%12K0.95%106K
-common stock 194.12%50K192.86%41K83.33%22K83.33%22K-81.13%20K-83.81%17K-86.67%14K9.09%12K9.09%12K0.95%106K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -8.49%-436.72M-8.77%-431.46M-7.50%-417.67M-7.50%-417.67M-7.85%-409.73M-8.51%-402.56M-10.66%-396.69M-16.66%-388.52M-16.66%-388.52M-28.88%-379.92M
Paid-in capital 4.27%391.54M4.89%390.25M2.79%379.24M2.79%379.24M3.21%378.02M2.81%375.52M2.01%372.07M1.27%368.95M1.27%368.95M0.74%366.26M
Gains losses not affecting retained earnings 13.32%-1.22M-7.31%-1.26M-38.07%-1.19M-38.07%-1.19M-8.09%-1.23M-102.89%-1.4M-339.18%-1.18M-218.15%-859K-218.15%-859K-531.67%-1.14M
Total stockholders'equity -63.03%-46.35M-64.63%-42.44M-93.83%-39.59M-93.83%-39.59M-124.08%-32.92M-349.68%-28.43M-521.12%-25.78M-165.81%-20.43M-165.81%-20.43M-121.38%-14.69M
Total equity -63.03%-46.35M-64.63%-42.44M-93.83%-39.59M-93.83%-39.59M-124.08%-32.92M-349.68%-28.43M-521.12%-25.78M-165.81%-20.43M-165.81%-20.43M-121.38%-14.69M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

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Price Target

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