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MYNZ Mainz Biomed

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  • 6.680
  • +1.910+40.04%
Close Dec 20 16:00 ET
  • 6.900
  • +0.220+3.29%
Post 20:01 ET
14.84MMarket Cap-0.15P/E (TTM)

Mainz Biomed Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 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
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-91.04%977.76K
-58.75%7.07M
-58.75%7.07M
--9.32M
-58.04%10.91M
--10.86M
96.41%17.14M
--17.14M
13,225.45%26.01M
7,020.57%8.73M
-Cash and cash equivalents
-91.04%977.76K
-58.75%7.07M
-58.75%7.07M
--9.32M
-58.04%10.91M
--10.86M
96.41%17.14M
--17.14M
13,225.45%26.01M
7,020.57%8.73M
Receivables
-9.59%335.36K
36.80%354.51K
36.80%354.51K
--512.62K
11.42%370.93K
--449.44K
131.70%259.14K
--259.14K
346.65%332.92K
151.76%111.84K
-Accounts receivable
46.08%139.41K
46.79%93.56K
46.79%93.56K
--108.63K
61.67%95.44K
--124.34K
270.58%63.74K
--63.74K
-20.64%59.03K
-60.98%17.2K
-Taxes receivable
-28.87%195.95K
35.81%260.96K
35.81%260.96K
--403.99K
1.40%275.49K
--322.95K
104.23%192.15K
--192.15K
--271.69K
51,312.57%94.09K
-Other receivables
----
----
----
----
----
--2.15K
482.08%3.25K
--3.25K
1,331.37%2.19K
253.16%558
Inventory
34.44%520.53K
249.71%613.64K
249.71%613.64K
--493.59K
955.15%387.18K
--266.06K
--175.47K
--175.47K
--36.69K
--0
Prepaid assets
21.93%555.94K
17.30%940.72K
17.30%940.72K
--648.71K
8.02%455.93K
--750.75K
4.17%801.96K
--801.96K
--422.09K
3,866.94%769.83K
Other current assets
--105
----
----
----
----
----
----
----
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----
Total current assets
-80.29%2.39M
-51.14%8.98M
-51.14%8.98M
--10.98M
-54.75%12.13M
--12.32M
91.26%18.38M
--18.38M
9,416.21%26.8M
5,055.21%9.61M
Non current assets
Net PPE
-19.47%2.86M
64.97%3.03M
64.97%3.03M
--3.4M
340.65%3.55M
--3.47M
326.19%1.84M
--1.84M
77.87%805.51K
-11.36%431.59K
-Gross PPE
-8.84%3.99M
69.97%3.93M
69.97%3.93M
--4.35M
333.64%4.38M
--4.08M
255.48%2.31M
--2.31M
56.52%1.01M
-0.01%650.36K
-Accumulated depreciation
-36.71%-1.13M
-89.42%-895.1K
-89.42%-895.1K
---953.01K
-305.95%-828.12K
---617.76K
-115.99%-472.54K
---472.54K
-6.19%-204K
-33.75%-218.78K
Goodwill and other intangible assets
-11.69%3.21M
--3.39M
--3.39M
--3.54M
--3.63M
--3.72M
--0
--0
----
--0
Other non current assets
----
-99.54%108
-99.54%108
--104
-99.08%106
--23.57K
--23.28K
--23.28K
--11.53K
----
Total non current assets
-15.54%6.06M
245.16%6.43M
245.16%6.43M
--6.93M
778.78%7.18M
--7.21M
331.59%1.86M
--1.86M
80.42%817.04K
-11.36%431.59K
Total assets
-56.21%8.45M
-23.87%15.41M
-23.87%15.41M
--17.91M
-30.09%19.31M
--19.54M
101.59%20.24M
--20.24M
3,659.89%27.62M
1,391.35%10.04M
Liabilities
Current liabilities
Payables
-33.71%2.08M
76.97%2.36M
76.97%2.36M
--1.5M
415.94%3.14M
--1.43M
59.51%1.33M
--1.33M
123.08%608.02K
174.39%835.74K
-accounts payable
-39.75%1.65M
76.97%2.36M
76.97%2.36M
--1.5M
351.22%2.74M
--1.14M
60.12%1.33M
--1.33M
159.10%608.02K
231.14%832.52K
-Total tax payable
----
----
----
----
----
----
----
----
--0
-83.77%3.22K
-Due to related parties current
--426.64K
----
----
----
----
----
----
----
----
----
-Other payable
----
----
----
----
--393.48K
--286.29K
----
----
----
----
Current accrued expenses
-20.99%1.25M
-18.71%1.13M
-18.71%1.13M
--1.6M
111.92%1.58M
--1.72M
417.45%1.38M
--1.38M
339.19%747.05K
104.61%267.51K
Current debt and capital lease obligation
4.25%6.24M
294.06%5.22M
294.06%5.22M
--7.76M
435.37%5.99M
--1.5M
433.55%1.33M
--1.33M
390.70%1.12M
-6.80%248.51K
-Current debt
7.40%5.92M
374.40%4.94M
374.40%4.94M
--7.28M
449.43%5.52M
--1.05M
437.95%1.04M
--1.04M
468.14%1M
-11.68%193.43K
-Current capital lease obligation
-32.40%319.57K
1.09%288.46K
1.09%288.46K
--474.01K
312.29%472.77K
--450.69K
418.11%285.35K
--285.35K
123.74%114.67K
15.68%55.08K
Current deferred liabilities
--116.68K
-30.35%138.89K
-30.35%138.89K
----
----
----
--199.41K
--199.41K
----
----
Other current liabilities
--324K
--388.84K
--388.84K
--400.85K
----
--2.06M
----
----
----
----
Current liabilities
-6.48%10.01M
117.72%9.24M
117.72%9.24M
--11.26M
332.90%10.71M
--6.7M
213.86%4.24M
--4.24M
268.06%2.47M
92.57%1.35M
Non current liabilities
Long term debt and capital lease obligation
-20.34%2.03M
15.43%2.2M
15.43%2.2M
--2.4M
85.76%2.54M
--2.21M
-18.28%1.9M
--1.9M
-44.64%1.37M
-14.19%2.33M
-Long term debt
-0.35%981.06K
9.22%1.03M
9.22%1.03M
--971.92K
10.02%984.46K
--558.8K
-51.38%943.21K
--943.21K
-56.54%894.83K
-14.36%1.94M
-Long term capital lease obligation
-32.96%1.05M
21.54%1.17M
21.54%1.17M
--1.43M
228.40%1.56M
--1.65M
147.34%959.12K
--959.12K
14.31%475.15K
-13.34%387.77K
Other non current liabilities
-36.94%551.56K
--726.98K
--726.98K
--796.66K
--874.7K
--950.82K
----
----
----
----
Total non current liabilities
-24.59%2.58M
53.65%2.92M
53.65%2.92M
--3.2M
149.61%3.42M
--3.16M
-18.28%1.9M
--1.9M
-44.64%1.37M
-14.19%2.33M
Total liabilities
-10.87%12.59M
97.88%12.16M
97.88%12.16M
--14.46M
267.57%14.13M
--9.86M
67.00%6.14M
--6.14M
22.15%3.84M
7.75%3.68M
Shareholders'equity
Share capital
57.23%276.38K
43.01%235.82K
43.01%235.82K
--187.89K
7.62%175.79K
--167.01K
16.89%164.9K
--164.9K
43.26%163.33K
119.52%141.08K
-common stock
57.23%276.38K
43.01%235.82K
43.01%235.82K
--187.89K
7.62%175.79K
--167.01K
16.89%164.9K
--164.9K
43.26%163.33K
119.52%141.08K
Retained earnings
-38.91%-80.35M
-61.11%-69.33M
-61.11%-69.33M
---64.14M
-97.78%-57.84M
---49.59M
-158.53%-43.03M
---43.03M
-460.66%-29.25M
-235.93%-16.64M
Paid-in capital
25.28%54.14M
32.64%51.51M
32.64%51.51M
--46.53M
12.95%43.21M
--40.13M
195.83%38.83M
--38.83M
--38.26M
31,268.57%13.13M
Gains losses not affecting retained earnings
11.03%21.8M
14.90%20.83M
14.90%20.83M
--20.88M
34.49%19.63M
--18.98M
86.19%18.13M
--18.13M
442.62%14.6M
362.16%9.74M
Total stockholders'equity
-179.94%-4.14M
-76.95%3.25M
-76.95%3.25M
--3.45M
-78.22%5.18M
--9.68M
121.60%14.1M
--14.1M
1,085.53%23.77M
332.03%6.36M
Total equity
-179.94%-4.14M
-76.95%3.25M
-76.95%3.25M
--3.45M
-78.22%5.18M
--9.68M
121.60%14.1M
--14.1M
1,085.53%23.77M
332.03%6.36M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q2)Jun 30, 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(Q2)Jun 30, 2022(FY)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -91.04%977.76K-58.75%7.07M-58.75%7.07M--9.32M-58.04%10.91M--10.86M96.41%17.14M--17.14M13,225.45%26.01M7,020.57%8.73M
-Cash and cash equivalents -91.04%977.76K-58.75%7.07M-58.75%7.07M--9.32M-58.04%10.91M--10.86M96.41%17.14M--17.14M13,225.45%26.01M7,020.57%8.73M
Receivables -9.59%335.36K36.80%354.51K36.80%354.51K--512.62K11.42%370.93K--449.44K131.70%259.14K--259.14K346.65%332.92K151.76%111.84K
-Accounts receivable 46.08%139.41K46.79%93.56K46.79%93.56K--108.63K61.67%95.44K--124.34K270.58%63.74K--63.74K-20.64%59.03K-60.98%17.2K
-Taxes receivable -28.87%195.95K35.81%260.96K35.81%260.96K--403.99K1.40%275.49K--322.95K104.23%192.15K--192.15K--271.69K51,312.57%94.09K
-Other receivables ----------------------2.15K482.08%3.25K--3.25K1,331.37%2.19K253.16%558
Inventory 34.44%520.53K249.71%613.64K249.71%613.64K--493.59K955.15%387.18K--266.06K--175.47K--175.47K--36.69K--0
Prepaid assets 21.93%555.94K17.30%940.72K17.30%940.72K--648.71K8.02%455.93K--750.75K4.17%801.96K--801.96K--422.09K3,866.94%769.83K
Other current assets --105------------------------------------
Total current assets -80.29%2.39M-51.14%8.98M-51.14%8.98M--10.98M-54.75%12.13M--12.32M91.26%18.38M--18.38M9,416.21%26.8M5,055.21%9.61M
Non current assets
Net PPE -19.47%2.86M64.97%3.03M64.97%3.03M--3.4M340.65%3.55M--3.47M326.19%1.84M--1.84M77.87%805.51K-11.36%431.59K
-Gross PPE -8.84%3.99M69.97%3.93M69.97%3.93M--4.35M333.64%4.38M--4.08M255.48%2.31M--2.31M56.52%1.01M-0.01%650.36K
-Accumulated depreciation -36.71%-1.13M-89.42%-895.1K-89.42%-895.1K---953.01K-305.95%-828.12K---617.76K-115.99%-472.54K---472.54K-6.19%-204K-33.75%-218.78K
Goodwill and other intangible assets -11.69%3.21M--3.39M--3.39M--3.54M--3.63M--3.72M--0--0------0
Other non current assets -----99.54%108-99.54%108--104-99.08%106--23.57K--23.28K--23.28K--11.53K----
Total non current assets -15.54%6.06M245.16%6.43M245.16%6.43M--6.93M778.78%7.18M--7.21M331.59%1.86M--1.86M80.42%817.04K-11.36%431.59K
Total assets -56.21%8.45M-23.87%15.41M-23.87%15.41M--17.91M-30.09%19.31M--19.54M101.59%20.24M--20.24M3,659.89%27.62M1,391.35%10.04M
Liabilities
Current liabilities
Payables -33.71%2.08M76.97%2.36M76.97%2.36M--1.5M415.94%3.14M--1.43M59.51%1.33M--1.33M123.08%608.02K174.39%835.74K
-accounts payable -39.75%1.65M76.97%2.36M76.97%2.36M--1.5M351.22%2.74M--1.14M60.12%1.33M--1.33M159.10%608.02K231.14%832.52K
-Total tax payable ----------------------------------0-83.77%3.22K
-Due to related parties current --426.64K------------------------------------
-Other payable ------------------393.48K--286.29K----------------
Current accrued expenses -20.99%1.25M-18.71%1.13M-18.71%1.13M--1.6M111.92%1.58M--1.72M417.45%1.38M--1.38M339.19%747.05K104.61%267.51K
Current debt and capital lease obligation 4.25%6.24M294.06%5.22M294.06%5.22M--7.76M435.37%5.99M--1.5M433.55%1.33M--1.33M390.70%1.12M-6.80%248.51K
-Current debt 7.40%5.92M374.40%4.94M374.40%4.94M--7.28M449.43%5.52M--1.05M437.95%1.04M--1.04M468.14%1M-11.68%193.43K
-Current capital lease obligation -32.40%319.57K1.09%288.46K1.09%288.46K--474.01K312.29%472.77K--450.69K418.11%285.35K--285.35K123.74%114.67K15.68%55.08K
Current deferred liabilities --116.68K-30.35%138.89K-30.35%138.89K--------------199.41K--199.41K--------
Other current liabilities --324K--388.84K--388.84K--400.85K------2.06M----------------
Current liabilities -6.48%10.01M117.72%9.24M117.72%9.24M--11.26M332.90%10.71M--6.7M213.86%4.24M--4.24M268.06%2.47M92.57%1.35M
Non current liabilities
Long term debt and capital lease obligation -20.34%2.03M15.43%2.2M15.43%2.2M--2.4M85.76%2.54M--2.21M-18.28%1.9M--1.9M-44.64%1.37M-14.19%2.33M
-Long term debt -0.35%981.06K9.22%1.03M9.22%1.03M--971.92K10.02%984.46K--558.8K-51.38%943.21K--943.21K-56.54%894.83K-14.36%1.94M
-Long term capital lease obligation -32.96%1.05M21.54%1.17M21.54%1.17M--1.43M228.40%1.56M--1.65M147.34%959.12K--959.12K14.31%475.15K-13.34%387.77K
Other non current liabilities -36.94%551.56K--726.98K--726.98K--796.66K--874.7K--950.82K----------------
Total non current liabilities -24.59%2.58M53.65%2.92M53.65%2.92M--3.2M149.61%3.42M--3.16M-18.28%1.9M--1.9M-44.64%1.37M-14.19%2.33M
Total liabilities -10.87%12.59M97.88%12.16M97.88%12.16M--14.46M267.57%14.13M--9.86M67.00%6.14M--6.14M22.15%3.84M7.75%3.68M
Shareholders'equity
Share capital 57.23%276.38K43.01%235.82K43.01%235.82K--187.89K7.62%175.79K--167.01K16.89%164.9K--164.9K43.26%163.33K119.52%141.08K
-common stock 57.23%276.38K43.01%235.82K43.01%235.82K--187.89K7.62%175.79K--167.01K16.89%164.9K--164.9K43.26%163.33K119.52%141.08K
Retained earnings -38.91%-80.35M-61.11%-69.33M-61.11%-69.33M---64.14M-97.78%-57.84M---49.59M-158.53%-43.03M---43.03M-460.66%-29.25M-235.93%-16.64M
Paid-in capital 25.28%54.14M32.64%51.51M32.64%51.51M--46.53M12.95%43.21M--40.13M195.83%38.83M--38.83M--38.26M31,268.57%13.13M
Gains losses not affecting retained earnings 11.03%21.8M14.90%20.83M14.90%20.83M--20.88M34.49%19.63M--18.98M86.19%18.13M--18.13M442.62%14.6M362.16%9.74M
Total stockholders'equity -179.94%-4.14M-76.95%3.25M-76.95%3.25M--3.45M-78.22%5.18M--9.68M121.60%14.1M--14.1M1,085.53%23.77M332.03%6.36M
Total equity -179.94%-4.14M-76.95%3.25M-76.95%3.25M--3.45M-78.22%5.18M--9.68M121.60%14.1M--14.1M1,085.53%23.77M332.03%6.36M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------
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