CA Stock MarketDetailed Quotes

MXG Maxim Power Corp

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  • 3.950
  • -0.010-0.25%
15min DelayMarket Closed Aug 23 16:00 ET
200.00MMarket Cap8.59P/E (TTM)

Maxim Power Corp 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
90.82%87.56M
65.98%85.21M
-37.21%32.26M
-37.21%32.26M
-42.32%43.91M
162.39%45.88M
46.23%51.34M
279.17%51.38M
279.17%51.38M
192.49%76.12M
-Cash and cash equivalents
90.82%87.56M
65.98%85.21M
-37.21%32.26M
-37.21%32.26M
-42.32%43.91M
162.39%45.88M
46.23%51.34M
279.17%51.38M
279.17%51.38M
192.49%76.12M
-Accounts receivable
-81.01%3.59M
-48.02%7.2M
--28.37M
--28.37M
119.65%3.95M
-5.52%18.9M
3.21%13.85M
--0
--0
-87.58%1.8M
Total current assets
53.46%104.59M
50.77%103.66M
30.74%92.32M
30.74%92.32M
-32.86%53.37M
57.78%68.16M
6.88%68.76M
96.89%70.62M
96.89%70.62M
61.18%79.49M
Non current assets
-Accumulated depreciation
-13.56%-109.79M
-11.93%-106.16M
-10.44%-102.53M
-10.44%-102.53M
-6.57%-98.44M
-8.76%-96.68M
-9.35%-94.84M
-9.70%-92.83M
-9.70%-92.83M
-11.80%-92.37M
-Long term equity investment
-4.60%73.9M
-6.19%74.46M
-5.97%76.49M
-5.97%76.49M
-5.93%75.49M
-3.93%77.47M
-5.25%79.37M
51.05%81.34M
51.05%81.34M
50.81%80.25M
-Including:Held to maturity investments
127.29%1.07M
--2.2M
--1.58M
--1.58M
----
-89.16%469K
----
--0
--0
-85.63%1.05M
Non current note receivables
----
----
----
----
----
----
----
----
----
--0
Regulatory assets
-30.66%13.4M
-11.65%12.23M
247.89%52.56M
247.89%52.56M
368.49%8.41M
-3.36%19.33M
3.21%13.85M
-27.24%15.11M
-27.24%15.11M
-87.58%1.8M
Total assets
1,015.70%4.83M
--3.92M
573.79%4.73M
573.79%4.73M
--4.47M
--433K
----
-46.98%702K
-46.98%702K
----
Liabilities
Current liabilities
Current debt and capital lease obligation
40.65%6.53M
110.45%6.43M
228.66%4.83M
228.66%4.83M
115.82%6.23M
31.80%4.64M
--3.05M
--1.47M
--1.47M
--2.89M
-Current debt
40.65%6.53M
110.45%6.43M
228.66%4.83M
228.66%4.83M
115.82%6.23M
31.80%4.64M
--3.05M
--1.47M
--1.47M
--2.89M
-accounts payable
79.95%10.77M
125.02%13.81M
-18.61%3.33M
-18.61%3.33M
8.78%9.87M
-59.23%5.98M
-71.01%6.14M
-50.76%4.09M
-50.76%4.09M
-4.56%9.08M
-Total tax payable
5.67%101.85M
5.73%101.32M
4.50%101.58M
4.50%101.58M
-2.66%93.79M
1.13%96.38M
-3.40%95.82M
48.21%97.2M
48.21%97.2M
51.13%96.36M
-Other payable
24.12%18.52M
24.12%18.52M
34.20%20.06M
34.20%20.06M
62.82%20.06M
18.69%14.92M
8.92%14.92M
13.89%14.95M
13.89%14.95M
-18.47%12.32M
Current accrued expenses
----
----
55.40%9.17M
55.40%9.17M
----
----
----
-43.42%5.9M
-43.42%5.9M
----
Current liabilities
121.85%23.57M
156.38%26.27M
63.17%26.52M
63.17%26.52M
-3.01%17.37M
-41.61%10.63M
-53.00%10.25M
-17.37%16.25M
-17.37%16.25M
77.37%17.91M
Non current liabilities
-Long term debt
-26.36%95K
-20.61%104K
-20.71%111K
-20.71%111K
-19.33%121K
-18.35%129K
-33.50%131K
-31.03%140K
-31.03%140K
--150K
Non current accrued expenses
0.33%307.94M
3.73%310.11M
5.70%313.46M
5.70%313.46M
6.90%316M
-0.89%306.93M
4.33%298.94M
13.80%296.55M
13.80%296.55M
28.38%295.61M
Derivative product liabilities
----
----
----
----
--144K
--557K
----
----
----
----
Long term provisions
-4.56%73.81M
-6.17%74.36M
-5.95%76.38M
-5.95%76.38M
-5.91%75.37M
-3.90%77.34M
-5.18%79.24M
51.36%81.2M
51.36%81.2M
50.53%80.1M
Total non current liabilities
17.21%125.42M
20.29%127.59M
12.90%128.1M
12.90%128.1M
-2.72%111.17M
-5.72%107.01M
-12.34%106.07M
33.08%113.46M
33.08%113.46M
54.72%114.27M
Shareholders'equity
Share capital
-0.33%143.53M
0.10%143.69M
0.34%143.96M
0.34%143.96M
0.35%144.03M
0.32%144M
-0.11%143.55M
-0.44%143.47M
-0.44%143.47M
-0.40%143.53M
-common stock
-0.33%143.53M
0.10%143.69M
0.34%143.96M
0.34%143.96M
0.35%144.03M
0.32%144M
-0.11%143.55M
-0.44%143.47M
-0.44%143.47M
-0.40%143.53M
Additional paid-in capital
3.66%13.42M
2.74%13.26M
2.83%13.19M
2.83%13.19M
3.08%13.08M
1.14%12.95M
1.38%12.91M
1.22%12.83M
1.22%12.83M
0.40%12.69M
Total equity
11.33%434.2M
13.80%435.44M
11.44%425.84M
11.44%425.84M
-0.15%389.43M
6.72%390.01M
4.95%382.62M
22.30%382.11M
22.30%382.11M
31.49%390.01M
(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 90.82%87.56M65.98%85.21M-37.21%32.26M-37.21%32.26M-42.32%43.91M162.39%45.88M46.23%51.34M279.17%51.38M279.17%51.38M192.49%76.12M
-Cash and cash equivalents 90.82%87.56M65.98%85.21M-37.21%32.26M-37.21%32.26M-42.32%43.91M162.39%45.88M46.23%51.34M279.17%51.38M279.17%51.38M192.49%76.12M
-Accounts receivable -81.01%3.59M-48.02%7.2M--28.37M--28.37M119.65%3.95M-5.52%18.9M3.21%13.85M--0--0-87.58%1.8M
Total current assets 53.46%104.59M50.77%103.66M30.74%92.32M30.74%92.32M-32.86%53.37M57.78%68.16M6.88%68.76M96.89%70.62M96.89%70.62M61.18%79.49M
Non current assets
-Accumulated depreciation -13.56%-109.79M-11.93%-106.16M-10.44%-102.53M-10.44%-102.53M-6.57%-98.44M-8.76%-96.68M-9.35%-94.84M-9.70%-92.83M-9.70%-92.83M-11.80%-92.37M
-Long term equity investment -4.60%73.9M-6.19%74.46M-5.97%76.49M-5.97%76.49M-5.93%75.49M-3.93%77.47M-5.25%79.37M51.05%81.34M51.05%81.34M50.81%80.25M
-Including:Held to maturity investments 127.29%1.07M--2.2M--1.58M--1.58M-----89.16%469K------0--0-85.63%1.05M
Non current note receivables --------------------------------------0
Regulatory assets -30.66%13.4M-11.65%12.23M247.89%52.56M247.89%52.56M368.49%8.41M-3.36%19.33M3.21%13.85M-27.24%15.11M-27.24%15.11M-87.58%1.8M
Total assets 1,015.70%4.83M--3.92M573.79%4.73M573.79%4.73M--4.47M--433K-----46.98%702K-46.98%702K----
Liabilities
Current liabilities
Current debt and capital lease obligation 40.65%6.53M110.45%6.43M228.66%4.83M228.66%4.83M115.82%6.23M31.80%4.64M--3.05M--1.47M--1.47M--2.89M
-Current debt 40.65%6.53M110.45%6.43M228.66%4.83M228.66%4.83M115.82%6.23M31.80%4.64M--3.05M--1.47M--1.47M--2.89M
-accounts payable 79.95%10.77M125.02%13.81M-18.61%3.33M-18.61%3.33M8.78%9.87M-59.23%5.98M-71.01%6.14M-50.76%4.09M-50.76%4.09M-4.56%9.08M
-Total tax payable 5.67%101.85M5.73%101.32M4.50%101.58M4.50%101.58M-2.66%93.79M1.13%96.38M-3.40%95.82M48.21%97.2M48.21%97.2M51.13%96.36M
-Other payable 24.12%18.52M24.12%18.52M34.20%20.06M34.20%20.06M62.82%20.06M18.69%14.92M8.92%14.92M13.89%14.95M13.89%14.95M-18.47%12.32M
Current accrued expenses --------55.40%9.17M55.40%9.17M-------------43.42%5.9M-43.42%5.9M----
Current liabilities 121.85%23.57M156.38%26.27M63.17%26.52M63.17%26.52M-3.01%17.37M-41.61%10.63M-53.00%10.25M-17.37%16.25M-17.37%16.25M77.37%17.91M
Non current liabilities
-Long term debt -26.36%95K-20.61%104K-20.71%111K-20.71%111K-19.33%121K-18.35%129K-33.50%131K-31.03%140K-31.03%140K--150K
Non current accrued expenses 0.33%307.94M3.73%310.11M5.70%313.46M5.70%313.46M6.90%316M-0.89%306.93M4.33%298.94M13.80%296.55M13.80%296.55M28.38%295.61M
Derivative product liabilities ------------------144K--557K----------------
Long term provisions -4.56%73.81M-6.17%74.36M-5.95%76.38M-5.95%76.38M-5.91%75.37M-3.90%77.34M-5.18%79.24M51.36%81.2M51.36%81.2M50.53%80.1M
Total non current liabilities 17.21%125.42M20.29%127.59M12.90%128.1M12.90%128.1M-2.72%111.17M-5.72%107.01M-12.34%106.07M33.08%113.46M33.08%113.46M54.72%114.27M
Shareholders'equity
Share capital -0.33%143.53M0.10%143.69M0.34%143.96M0.34%143.96M0.35%144.03M0.32%144M-0.11%143.55M-0.44%143.47M-0.44%143.47M-0.40%143.53M
-common stock -0.33%143.53M0.10%143.69M0.34%143.96M0.34%143.96M0.35%144.03M0.32%144M-0.11%143.55M-0.44%143.47M-0.44%143.47M-0.40%143.53M
Additional paid-in capital 3.66%13.42M2.74%13.26M2.83%13.19M2.83%13.19M3.08%13.08M1.14%12.95M1.38%12.91M1.22%12.83M1.22%12.83M0.40%12.69M
Total equity 11.33%434.2M13.80%435.44M11.44%425.84M11.44%425.84M-0.15%389.43M6.72%390.01M4.95%382.62M22.30%382.11M22.30%382.11M31.49%390.01M

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.

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