CA Stock MarketDetailed Quotes

MTLO Martello Technologies Group Inc

Watchlist
  • 0.015
  • +0.005+50.00%
15min DelayMarket Closed Sep 13 16:00 ET
8.16MMarket Cap-1666P/E (TTM)

Martello Technologies Group Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
70.57%6.36M
247.83%7.72M
247.83%7.72M
73.50%5.63M
-1.79%4.17M
-36.19%3.73M
-55.82%2.22M
-55.82%2.22M
-36.38%3.25M
-10.47%4.24M
-Cash and cash equivalents
72.46%6.25M
259.53%7.61M
259.53%7.61M
75.75%5.53M
-4.10%4.07M
-36.08%3.63M
-56.37%2.12M
-56.37%2.12M
-36.23%3.15M
-7.25%4.24M
-Accounts receivable
44.35%4.26M
-22.55%3.41M
-22.55%3.41M
5.92%3.85M
-16.05%3.3M
-37.10%2.95M
3.93%4.4M
3.93%4.4M
-10.81%3.64M
-17.14%3.93M
-Notes receivable
-36.88%98.32K
-38.17%96.33K
-38.17%96.33K
-66.57%92.69K
-53.15%130.54K
-42.31%155.76K
-56.56%155.78K
-56.56%155.78K
-23.21%277.23K
-16.23%278.61K
-Other receivables
29.99%1.57M
19.92%1.45M
19.92%1.45M
-7.42%1.14M
-27.99%899.18K
-15.16%1.21M
-28.39%1.21M
-28.39%1.21M
-7.22%1.24M
2.34%1.25M
Total current assets
32.92%11.6M
28.68%12.14M
28.68%12.14M
20.07%11.28M
-12.65%9.37M
-31.35%8.73M
-15.49%9.44M
-15.49%9.44M
-14.58%9.4M
-6.62%10.73M
Non current assets
-Accumulated depreciation
----
-6.80%-379.29K
-6.80%-379.29K
----
----
----
60.01%-355.14K
60.01%-355.14K
----
----
-Long term equity investment
517.64%10.46M
491.62%10.07M
491.62%10.07M
482.93%9.57M
470.62%9.45M
-8.73%1.69M
-84.28%1.7M
-84.28%1.7M
-85.07%1.64M
-84.57%1.66M
-Including:Held to maturity investments
----
--0
--0
--45.46K
--0
--89.75K
--15.65K
--15.65K
----
----
-Goodwill
-16.77%7.41M
-18.52%7.78M
-18.52%7.78M
-15.98%8.24M
-68.97%8.48M
-68.00%8.9M
-67.26%9.55M
-67.26%9.55M
-67.97%9.8M
-14.10%27.32M
-Other intangible assets
0.00%2.32M
0.00%2.32M
0.00%2.32M
0.00%2.32M
0.00%2.32M
0.00%2.32M
0.00%2.32M
0.00%2.32M
0.00%2.32M
-27.10%2.32M
Regulatory assets
16.91%4.51M
-37.16%3.68M
-37.16%3.68M
-4.50%4.84M
-18.05%4.33M
-33.75%3.86M
12.29%5.85M
12.29%5.85M
-5.57%5.07M
-11.88%5.29M
Total assets
-72.68%247.25K
-81.34%271.42K
-81.34%271.42K
-30.94%990.22K
-23.78%1.03M
-18.25%905.03K
53.98%1.45M
53.98%1.45M
15.99%1.43M
14.88%1.36M
Liabilities
Current liabilities
Current debt and capital lease obligation
-97.18%232.62K
-97.79%197.92K
-97.79%197.92K
-97.89%241.47K
-98.16%209.99K
-23.14%8.26M
1,477.47%8.94M
1,477.47%8.94M
1,803.02%11.46M
1,828.54%11.43M
-Current debt
-99.44%45K
----
----
-99.60%45K
-99.80%23K
-22.80%8.08M
3,146.20%8.76M
3,146.20%8.76M
4,178.94%11.3M
4,425.04%11.27M
-Current capital lease obligation
3.37%187.62K
12.63%197.92K
12.63%197.92K
16.56%196.47K
13.62%186.99K
-35.78%181.5K
-40.79%175.72K
-40.79%175.72K
-50.20%168.55K
-52.13%164.57K
-accounts payable
-43.76%255.69K
-59.91%332.01K
-59.91%332.01K
-57.15%187.96K
-66.98%385.24K
-59.81%454.62K
173.46%828.16K
173.46%828.16K
-45.18%438.7K
30.13%1.17M
-Total tax payable
277.81%12.1M
213.15%11.71M
213.15%11.71M
191.33%11.23M
196.44%10.71M
-25.67%3.2M
-72.00%3.74M
-72.00%3.74M
-71.76%3.86M
-72.24%3.61M
Current accrued expenses
5.15%794.74K
35.62%1.14M
35.62%1.14M
10.06%1.13M
-19.26%739.87K
-17.86%755.81K
-20.07%837.91K
-20.07%837.91K
24.56%1.03M
35.95%916.42K
Current deferred liabilities
-9.36%4.83M
-14.58%4.92M
-14.58%4.92M
-9.53%5.09M
-4.17%5.16M
-3.42%5.32M
10.34%5.76M
10.34%5.76M
13.31%5.63M
4.79%5.39M
Current liabilities
-51.39%7.81M
-54.13%8.11M
-54.13%8.11M
-60.48%7.89M
-63.37%7.51M
-19.16%16.07M
98.65%17.68M
98.65%17.68M
129.75%19.96M
133.41%20.49M
Non current liabilities
-Long term debt
-30.42%392.55K
-30.84%422.04K
-30.84%422.04K
-25.74%483.24K
-22.96%520.88K
-33.21%564.16K
-33.46%610.27K
-33.46%610.27K
-35.55%650.75K
0.77%676.08K
Non current accrued expenses
-26.40%585.66K
-26.56%633.84K
-26.56%633.84K
-26.41%678.87K
-23.00%734.45K
-33.08%795.77K
-33.54%863.11K
-33.54%863.11K
-35.67%922.51K
-15.95%953.85K
Long term provisions
791.45%10.07M
783.86%9.64M
783.86%9.64M
817.13%9.08M
811.15%8.93M
11.73%1.13M
-88.98%1.09M
-88.98%1.09M
-90.08%990.48K
-90.26%979.93K
Employee benefits
-36.88%98.32K
-38.17%96.33K
-38.17%96.33K
-66.57%92.69K
-53.15%130.54K
-42.31%155.76K
-56.56%155.78K
-56.56%155.78K
-23.21%277.23K
-16.23%278.61K
Total non current liabilities
3.30%19.91M
-7.47%19.82M
-7.47%19.82M
-19.70%19.12M
-24.42%18.22M
-20.32%19.27M
-3.76%21.42M
-3.76%21.42M
6.59%23.81M
10.59%24.1M
Shareholders'equity
Share capital
10.57%59.62M
14.39%59.62M
14.39%59.62M
19.06%58.12M
15.49%56.38M
10.45%53.92M
6.76%52.12M
6.76%52.12M
3.09%48.82M
5.31%48.82M
-common stock
10.57%59.62M
14.39%59.62M
14.39%59.62M
19.06%58.12M
15.49%56.38M
10.45%53.92M
6.76%52.12M
6.76%52.12M
3.09%48.82M
5.31%48.82M
Additional paid-in capital
3.84%4.03M
4.87%3.99M
4.87%3.99M
8.19%4.06M
6.90%3.99M
4.98%3.89M
5.85%3.81M
5.85%3.81M
7.33%3.75M
9.97%3.73M
Gains losses not affecting retained earnings
-8.64%-541.62K
11.57%-486.64K
11.57%-486.64K
35.86%-416.5K
73.89%-585.82K
75.11%-498.53K
57.21%-550.28K
57.21%-550.28K
-22.70%-649.35K
-2,523.99%-2.24M
Total equity
4.63%19.6M
2.01%20.56M
2.01%20.56M
-1.12%20.2M
-52.72%18.59M
-55.43%18.73M
-51.94%20.15M
-51.94%20.15M
-52.90%20.43M
-12.13%39.31M
(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022(Q2)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 70.57%6.36M247.83%7.72M247.83%7.72M73.50%5.63M-1.79%4.17M-36.19%3.73M-55.82%2.22M-55.82%2.22M-36.38%3.25M-10.47%4.24M
-Cash and cash equivalents 72.46%6.25M259.53%7.61M259.53%7.61M75.75%5.53M-4.10%4.07M-36.08%3.63M-56.37%2.12M-56.37%2.12M-36.23%3.15M-7.25%4.24M
-Accounts receivable 44.35%4.26M-22.55%3.41M-22.55%3.41M5.92%3.85M-16.05%3.3M-37.10%2.95M3.93%4.4M3.93%4.4M-10.81%3.64M-17.14%3.93M
-Notes receivable -36.88%98.32K-38.17%96.33K-38.17%96.33K-66.57%92.69K-53.15%130.54K-42.31%155.76K-56.56%155.78K-56.56%155.78K-23.21%277.23K-16.23%278.61K
-Other receivables 29.99%1.57M19.92%1.45M19.92%1.45M-7.42%1.14M-27.99%899.18K-15.16%1.21M-28.39%1.21M-28.39%1.21M-7.22%1.24M2.34%1.25M
Total current assets 32.92%11.6M28.68%12.14M28.68%12.14M20.07%11.28M-12.65%9.37M-31.35%8.73M-15.49%9.44M-15.49%9.44M-14.58%9.4M-6.62%10.73M
Non current assets
-Accumulated depreciation -----6.80%-379.29K-6.80%-379.29K------------60.01%-355.14K60.01%-355.14K--------
-Long term equity investment 517.64%10.46M491.62%10.07M491.62%10.07M482.93%9.57M470.62%9.45M-8.73%1.69M-84.28%1.7M-84.28%1.7M-85.07%1.64M-84.57%1.66M
-Including:Held to maturity investments ------0--0--45.46K--0--89.75K--15.65K--15.65K--------
-Goodwill -16.77%7.41M-18.52%7.78M-18.52%7.78M-15.98%8.24M-68.97%8.48M-68.00%8.9M-67.26%9.55M-67.26%9.55M-67.97%9.8M-14.10%27.32M
-Other intangible assets 0.00%2.32M0.00%2.32M0.00%2.32M0.00%2.32M0.00%2.32M0.00%2.32M0.00%2.32M0.00%2.32M0.00%2.32M-27.10%2.32M
Regulatory assets 16.91%4.51M-37.16%3.68M-37.16%3.68M-4.50%4.84M-18.05%4.33M-33.75%3.86M12.29%5.85M12.29%5.85M-5.57%5.07M-11.88%5.29M
Total assets -72.68%247.25K-81.34%271.42K-81.34%271.42K-30.94%990.22K-23.78%1.03M-18.25%905.03K53.98%1.45M53.98%1.45M15.99%1.43M14.88%1.36M
Liabilities
Current liabilities
Current debt and capital lease obligation -97.18%232.62K-97.79%197.92K-97.79%197.92K-97.89%241.47K-98.16%209.99K-23.14%8.26M1,477.47%8.94M1,477.47%8.94M1,803.02%11.46M1,828.54%11.43M
-Current debt -99.44%45K---------99.60%45K-99.80%23K-22.80%8.08M3,146.20%8.76M3,146.20%8.76M4,178.94%11.3M4,425.04%11.27M
-Current capital lease obligation 3.37%187.62K12.63%197.92K12.63%197.92K16.56%196.47K13.62%186.99K-35.78%181.5K-40.79%175.72K-40.79%175.72K-50.20%168.55K-52.13%164.57K
-accounts payable -43.76%255.69K-59.91%332.01K-59.91%332.01K-57.15%187.96K-66.98%385.24K-59.81%454.62K173.46%828.16K173.46%828.16K-45.18%438.7K30.13%1.17M
-Total tax payable 277.81%12.1M213.15%11.71M213.15%11.71M191.33%11.23M196.44%10.71M-25.67%3.2M-72.00%3.74M-72.00%3.74M-71.76%3.86M-72.24%3.61M
Current accrued expenses 5.15%794.74K35.62%1.14M35.62%1.14M10.06%1.13M-19.26%739.87K-17.86%755.81K-20.07%837.91K-20.07%837.91K24.56%1.03M35.95%916.42K
Current deferred liabilities -9.36%4.83M-14.58%4.92M-14.58%4.92M-9.53%5.09M-4.17%5.16M-3.42%5.32M10.34%5.76M10.34%5.76M13.31%5.63M4.79%5.39M
Current liabilities -51.39%7.81M-54.13%8.11M-54.13%8.11M-60.48%7.89M-63.37%7.51M-19.16%16.07M98.65%17.68M98.65%17.68M129.75%19.96M133.41%20.49M
Non current liabilities
-Long term debt -30.42%392.55K-30.84%422.04K-30.84%422.04K-25.74%483.24K-22.96%520.88K-33.21%564.16K-33.46%610.27K-33.46%610.27K-35.55%650.75K0.77%676.08K
Non current accrued expenses -26.40%585.66K-26.56%633.84K-26.56%633.84K-26.41%678.87K-23.00%734.45K-33.08%795.77K-33.54%863.11K-33.54%863.11K-35.67%922.51K-15.95%953.85K
Long term provisions 791.45%10.07M783.86%9.64M783.86%9.64M817.13%9.08M811.15%8.93M11.73%1.13M-88.98%1.09M-88.98%1.09M-90.08%990.48K-90.26%979.93K
Employee benefits -36.88%98.32K-38.17%96.33K-38.17%96.33K-66.57%92.69K-53.15%130.54K-42.31%155.76K-56.56%155.78K-56.56%155.78K-23.21%277.23K-16.23%278.61K
Total non current liabilities 3.30%19.91M-7.47%19.82M-7.47%19.82M-19.70%19.12M-24.42%18.22M-20.32%19.27M-3.76%21.42M-3.76%21.42M6.59%23.81M10.59%24.1M
Shareholders'equity
Share capital 10.57%59.62M14.39%59.62M14.39%59.62M19.06%58.12M15.49%56.38M10.45%53.92M6.76%52.12M6.76%52.12M3.09%48.82M5.31%48.82M
-common stock 10.57%59.62M14.39%59.62M14.39%59.62M19.06%58.12M15.49%56.38M10.45%53.92M6.76%52.12M6.76%52.12M3.09%48.82M5.31%48.82M
Additional paid-in capital 3.84%4.03M4.87%3.99M4.87%3.99M8.19%4.06M6.90%3.99M4.98%3.89M5.85%3.81M5.85%3.81M7.33%3.75M9.97%3.73M
Gains losses not affecting retained earnings -8.64%-541.62K11.57%-486.64K11.57%-486.64K35.86%-416.5K73.89%-585.82K75.11%-498.53K57.21%-550.28K57.21%-550.28K-22.70%-649.35K-2,523.99%-2.24M
Total equity 4.63%19.6M2.01%20.56M2.01%20.56M-1.12%20.2M-52.72%18.59M-55.43%18.73M-51.94%20.15M-51.94%20.15M-52.90%20.43M-12.13%39.31M

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.

Heat List
CA
Overall
Symbol
Latest Price
% Chg

No Data