US Stock MarketDetailed Quotes

MYSZ My Size

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  • 1.1200
  • 0.00000.00%
Close Nov 21 16:00 ET
1.41MMarket Cap-167P/E (TTM)

My Size 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
-35.83%2.37M
184.03%3.2M
-52.96%1.14M
4.14%2.19M
4.14%2.19M
-15.25%3.7M
-82.56%1.13M
-69.20%2.42M
-80.32%2.1M
-80.32%2.1M
-Cash and cash equivalents
-35.83%2.37M
184.03%3.2M
-52.96%1.14M
4.14%2.19M
4.14%2.19M
-15.25%3.7M
-82.56%1.13M
-69.20%2.42M
-80.32%2.1M
-80.32%2.1M
-Short-term investments
--0
--0
--0
----
----
----
----
----
----
----
Receivables
-29.77%1.34M
-33.14%1.14M
-21.22%1.41M
-41.20%1.4M
-41.20%1.4M
83.99%1.91M
50.35%1.7M
34.08%1.79M
1,150.53%2.38M
1,150.53%2.38M
-Accounts receivable
-52.61%327K
-56.37%329K
-59.72%406K
-68.30%615K
-68.30%615K
78.76%690K
330.86%754K
706.40%1.01M
4,750.00%1.94M
4,750.00%1.94M
-Loans receivable
----
----
----
--75K
--75K
----
----
----
--0
--0
-Other receivables
-16.83%1.01M
-14.60%807K
28.66%1M
62.16%707K
62.16%707K
87.10%1.22M
-1.05%945K
-35.54%778K
190.67%436K
190.67%436K
Inventory
-6.56%2.24M
71.91%1.79M
335.03%2.14M
188.77%2.88M
188.77%2.88M
126.16%2.4M
-14.72%1.04M
-55.20%491K
--997K
--997K
Prepaid assets
----
----
----
-72.98%87K
-72.98%87K
----
----
----
-24.94%322K
-24.94%322K
Restricted cash
--0
-39.84%74K
-71.26%75K
-70.72%77K
-70.72%77K
-72.52%72K
-53.23%123K
-3.69%261K
-3.66%263K
-3.66%263K
Total current assets
-26.28%5.95M
55.41%6.2M
-4.02%4.75M
9.39%6.63M
9.39%6.63M
20.13%8.07M
-56.03%3.99M
-53.01%4.95M
-47.60%6.06M
-47.60%6.06M
Non current assets
Net PPE
-80.79%93K
-75.18%139K
-75.75%161K
-34.72%472K
-34.72%472K
-39.73%484K
-35.48%560K
-32.86%664K
-18.58%723K
-18.58%723K
-Gross PPE
-80.79%93K
-75.18%139K
-75.75%161K
-24.08%722K
-24.08%722K
-39.73%484K
-35.48%560K
-32.86%664K
-14.32%951K
-14.32%951K
-Accumulated depreciation
----
----
----
-9.65%-250K
-9.65%-250K
----
----
----
-2.70%-228K
-2.70%-228K
Goodwill and other intangible assets
-61.73%976K
-37.21%1.65M
-36.26%1.74M
-33.08%1.86M
-33.08%1.86M
353.74%2.55M
342.93%2.63M
336.70%2.73M
--2.77M
--2.77M
-Goodwill
-90.65%131K
-47.75%733K
-47.52%741K
-45.66%758K
-45.66%758K
422.76%1.4M
423.51%1.4M
428.84%1.41M
--1.4M
--1.4M
-Other intangible assets
-26.46%845K
-25.16%919K
-24.14%996K
-20.33%1.1M
-20.33%1.1M
290.82%1.15M
276.69%1.23M
267.79%1.31M
--1.38M
--1.38M
Investments and advances
-90.41%7K
-88.10%10K
-88.78%11K
-79.45%30K
-79.45%30K
-8.75%73K
-33.33%84K
-21.60%98K
35.19%146K
35.19%146K
Non current prepaid assets
-73.08%7K
-74.07%7K
-75.00%7K
-75.00%7K
-75.00%7K
-7.14%26K
--27K
--28K
--28K
--28K
Total non current assets
-65.43%1.08M
-45.25%1.81M
-45.49%1.92M
-35.57%2.36M
-35.57%2.36M
112.70%3.13M
107.93%3.3M
102.24%3.52M
268.37%3.67M
268.37%3.67M
Total assets
-37.23%7.03M
9.84%8.01M
-21.23%6.67M
-7.57%8.99M
-7.57%8.99M
36.77%11.2M
-31.61%7.29M
-31.03%8.47M
-22.54%9.73M
-22.54%9.73M
Liabilities
Current liabilities
Payables
-46.60%2.25M
-40.60%1.67M
-18.68%2.06M
-7.84%3.56M
-7.84%3.56M
142.42%4.21M
41.06%2.81M
38.31%2.54M
254.59%3.87M
254.59%3.87M
-accounts payable
-49.22%1.33M
-41.48%896K
-36.92%1.11M
-13.39%2.15M
-13.39%2.15M
249.40%2.62M
-16.48%1.53M
-3.76%1.77M
291.65%2.49M
291.65%2.49M
-Due to related parties current
-90.74%68K
-88.75%70K
-89.19%73K
-13.32%605K
-13.32%605K
--734K
--622K
--675K
1,007.94%698K
1,007.94%698K
-Other payable
-0.70%849K
7.00%703K
804.12%877K
18.09%803K
18.09%803K
-13.29%855K
313.21%657K
--97K
73.47%680K
73.47%680K
Current debt and capital lease obligation
-62.13%139K
48.15%440K
102.88%635K
0.64%316K
0.64%316K
-1.34%367K
-15.38%297K
-23.84%313K
127.54%314K
127.54%314K
-Current debt
-46.52%123K
178.29%423K
268.35%582K
1.94%158K
1.94%158K
17.95%230K
-14.61%152K
-30.70%158K
--155K
--155K
-Current capital lease obligation
-88.32%16K
-88.28%17K
-65.81%53K
-0.63%158K
-0.63%158K
-22.60%137K
-16.18%145K
-15.30%155K
15.22%159K
15.22%159K
Current liabilities
-47.85%2.39M
-32.12%2.11M
-5.33%2.7M
-7.20%3.88M
-7.20%3.88M
114.19%4.57M
30.44%3.11M
26.77%2.85M
240.31%4.18M
240.31%4.18M
Non current liabilities
Long term debt and capital lease obligation
-55.42%189K
-59.22%208K
-66.04%218K
-44.74%378K
-44.74%378K
-6.61%424K
-0.78%510K
-1.08%642K
44.61%684K
44.61%684K
-Long term debt
-33.96%177K
-36.93%193K
-36.26%218K
-33.78%249K
-33.78%249K
211.63%268K
215.46%306K
140.85%342K
--376K
--376K
-Long term capital lease obligation
-92.31%12K
-92.65%15K
--0
-58.12%129K
-58.12%129K
-57.61%156K
-51.08%204K
-40.83%300K
-34.88%308K
-34.88%308K
Non current deferred liabilities
----
----
----
--0
--0
302.94%274K
225.33%244K
281.71%313K
--328K
--328K
Total non current liabilities
-72.92%189K
-72.41%208K
-77.17%218K
-62.65%378K
-62.65%378K
33.72%698K
28.01%754K
30.64%955K
113.95%1.01M
113.95%1.01M
Total liabilities
-51.17%2.57M
-39.99%2.32M
-23.36%2.92M
-18.01%4.26M
-18.01%4.26M
98.38%5.27M
29.96%3.86M
27.72%3.81M
205.17%5.19M
205.17%5.19M
Shareholders'equity
Share capital
-66.67%1K
-50.00%1K
-50.00%1K
300.00%4K
300.00%4K
-88.46%3K
-92.31%2K
-92.00%2K
0.00%1K
0.00%1K
-common stock
-66.67%1K
-50.00%1K
-50.00%1K
300.00%4K
300.00%4K
-88.46%3K
-92.31%2K
-92.00%2K
0.00%1K
0.00%1K
Retained earnings
-7.82%-63.16M
-7.69%-61.86M
-8.44%-60.9M
-11.93%-59.88M
-11.93%-59.88M
-14.59%-58.58M
-17.01%-57.45M
-18.52%-56.16M
-18.39%-53.5M
-18.39%-53.5M
Paid-in capital
5.05%68.51M
11.16%68.43M
6.61%65.53M
11.44%65.38M
11.44%65.38M
13.99%65.22M
7.90%61.55M
7.84%61.47M
3.93%58.67M
3.93%58.67M
Gains losses not affecting retained earnings
-25.84%-896K
-28.70%-870K
-34.66%-878K
-21.04%-771K
-21.04%-771K
-21.92%-712K
-138.03%-676K
-87.36%-652K
-56.90%-637K
-56.90%-637K
Total stockholders'equity
-24.85%4.46M
65.89%5.7M
-19.50%3.75M
4.39%4.74M
4.39%4.74M
7.19%5.93M
-55.39%3.43M
-49.86%4.66M
-58.22%4.54M
-58.22%4.54M
Total equity
-24.85%4.46M
65.89%5.7M
-19.50%3.75M
4.39%4.74M
4.39%4.74M
7.19%5.93M
-55.39%3.43M
-49.86%4.66M
-58.22%4.54M
-58.22%4.54M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(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 -35.83%2.37M184.03%3.2M-52.96%1.14M4.14%2.19M4.14%2.19M-15.25%3.7M-82.56%1.13M-69.20%2.42M-80.32%2.1M-80.32%2.1M
-Cash and cash equivalents -35.83%2.37M184.03%3.2M-52.96%1.14M4.14%2.19M4.14%2.19M-15.25%3.7M-82.56%1.13M-69.20%2.42M-80.32%2.1M-80.32%2.1M
-Short-term investments --0--0--0----------------------------
Receivables -29.77%1.34M-33.14%1.14M-21.22%1.41M-41.20%1.4M-41.20%1.4M83.99%1.91M50.35%1.7M34.08%1.79M1,150.53%2.38M1,150.53%2.38M
-Accounts receivable -52.61%327K-56.37%329K-59.72%406K-68.30%615K-68.30%615K78.76%690K330.86%754K706.40%1.01M4,750.00%1.94M4,750.00%1.94M
-Loans receivable --------------75K--75K--------------0--0
-Other receivables -16.83%1.01M-14.60%807K28.66%1M62.16%707K62.16%707K87.10%1.22M-1.05%945K-35.54%778K190.67%436K190.67%436K
Inventory -6.56%2.24M71.91%1.79M335.03%2.14M188.77%2.88M188.77%2.88M126.16%2.4M-14.72%1.04M-55.20%491K--997K--997K
Prepaid assets -------------72.98%87K-72.98%87K-------------24.94%322K-24.94%322K
Restricted cash --0-39.84%74K-71.26%75K-70.72%77K-70.72%77K-72.52%72K-53.23%123K-3.69%261K-3.66%263K-3.66%263K
Total current assets -26.28%5.95M55.41%6.2M-4.02%4.75M9.39%6.63M9.39%6.63M20.13%8.07M-56.03%3.99M-53.01%4.95M-47.60%6.06M-47.60%6.06M
Non current assets
Net PPE -80.79%93K-75.18%139K-75.75%161K-34.72%472K-34.72%472K-39.73%484K-35.48%560K-32.86%664K-18.58%723K-18.58%723K
-Gross PPE -80.79%93K-75.18%139K-75.75%161K-24.08%722K-24.08%722K-39.73%484K-35.48%560K-32.86%664K-14.32%951K-14.32%951K
-Accumulated depreciation -------------9.65%-250K-9.65%-250K-------------2.70%-228K-2.70%-228K
Goodwill and other intangible assets -61.73%976K-37.21%1.65M-36.26%1.74M-33.08%1.86M-33.08%1.86M353.74%2.55M342.93%2.63M336.70%2.73M--2.77M--2.77M
-Goodwill -90.65%131K-47.75%733K-47.52%741K-45.66%758K-45.66%758K422.76%1.4M423.51%1.4M428.84%1.41M--1.4M--1.4M
-Other intangible assets -26.46%845K-25.16%919K-24.14%996K-20.33%1.1M-20.33%1.1M290.82%1.15M276.69%1.23M267.79%1.31M--1.38M--1.38M
Investments and advances -90.41%7K-88.10%10K-88.78%11K-79.45%30K-79.45%30K-8.75%73K-33.33%84K-21.60%98K35.19%146K35.19%146K
Non current prepaid assets -73.08%7K-74.07%7K-75.00%7K-75.00%7K-75.00%7K-7.14%26K--27K--28K--28K--28K
Total non current assets -65.43%1.08M-45.25%1.81M-45.49%1.92M-35.57%2.36M-35.57%2.36M112.70%3.13M107.93%3.3M102.24%3.52M268.37%3.67M268.37%3.67M
Total assets -37.23%7.03M9.84%8.01M-21.23%6.67M-7.57%8.99M-7.57%8.99M36.77%11.2M-31.61%7.29M-31.03%8.47M-22.54%9.73M-22.54%9.73M
Liabilities
Current liabilities
Payables -46.60%2.25M-40.60%1.67M-18.68%2.06M-7.84%3.56M-7.84%3.56M142.42%4.21M41.06%2.81M38.31%2.54M254.59%3.87M254.59%3.87M
-accounts payable -49.22%1.33M-41.48%896K-36.92%1.11M-13.39%2.15M-13.39%2.15M249.40%2.62M-16.48%1.53M-3.76%1.77M291.65%2.49M291.65%2.49M
-Due to related parties current -90.74%68K-88.75%70K-89.19%73K-13.32%605K-13.32%605K--734K--622K--675K1,007.94%698K1,007.94%698K
-Other payable -0.70%849K7.00%703K804.12%877K18.09%803K18.09%803K-13.29%855K313.21%657K--97K73.47%680K73.47%680K
Current debt and capital lease obligation -62.13%139K48.15%440K102.88%635K0.64%316K0.64%316K-1.34%367K-15.38%297K-23.84%313K127.54%314K127.54%314K
-Current debt -46.52%123K178.29%423K268.35%582K1.94%158K1.94%158K17.95%230K-14.61%152K-30.70%158K--155K--155K
-Current capital lease obligation -88.32%16K-88.28%17K-65.81%53K-0.63%158K-0.63%158K-22.60%137K-16.18%145K-15.30%155K15.22%159K15.22%159K
Current liabilities -47.85%2.39M-32.12%2.11M-5.33%2.7M-7.20%3.88M-7.20%3.88M114.19%4.57M30.44%3.11M26.77%2.85M240.31%4.18M240.31%4.18M
Non current liabilities
Long term debt and capital lease obligation -55.42%189K-59.22%208K-66.04%218K-44.74%378K-44.74%378K-6.61%424K-0.78%510K-1.08%642K44.61%684K44.61%684K
-Long term debt -33.96%177K-36.93%193K-36.26%218K-33.78%249K-33.78%249K211.63%268K215.46%306K140.85%342K--376K--376K
-Long term capital lease obligation -92.31%12K-92.65%15K--0-58.12%129K-58.12%129K-57.61%156K-51.08%204K-40.83%300K-34.88%308K-34.88%308K
Non current deferred liabilities --------------0--0302.94%274K225.33%244K281.71%313K--328K--328K
Total non current liabilities -72.92%189K-72.41%208K-77.17%218K-62.65%378K-62.65%378K33.72%698K28.01%754K30.64%955K113.95%1.01M113.95%1.01M
Total liabilities -51.17%2.57M-39.99%2.32M-23.36%2.92M-18.01%4.26M-18.01%4.26M98.38%5.27M29.96%3.86M27.72%3.81M205.17%5.19M205.17%5.19M
Shareholders'equity
Share capital -66.67%1K-50.00%1K-50.00%1K300.00%4K300.00%4K-88.46%3K-92.31%2K-92.00%2K0.00%1K0.00%1K
-common stock -66.67%1K-50.00%1K-50.00%1K300.00%4K300.00%4K-88.46%3K-92.31%2K-92.00%2K0.00%1K0.00%1K
Retained earnings -7.82%-63.16M-7.69%-61.86M-8.44%-60.9M-11.93%-59.88M-11.93%-59.88M-14.59%-58.58M-17.01%-57.45M-18.52%-56.16M-18.39%-53.5M-18.39%-53.5M
Paid-in capital 5.05%68.51M11.16%68.43M6.61%65.53M11.44%65.38M11.44%65.38M13.99%65.22M7.90%61.55M7.84%61.47M3.93%58.67M3.93%58.67M
Gains losses not affecting retained earnings -25.84%-896K-28.70%-870K-34.66%-878K-21.04%-771K-21.04%-771K-21.92%-712K-138.03%-676K-87.36%-652K-56.90%-637K-56.90%-637K
Total stockholders'equity -24.85%4.46M65.89%5.7M-19.50%3.75M4.39%4.74M4.39%4.74M7.19%5.93M-55.39%3.43M-49.86%4.66M-58.22%4.54M-58.22%4.54M
Total equity -24.85%4.46M65.89%5.7M-19.50%3.75M4.39%4.74M4.39%4.74M7.19%5.93M-55.39%3.43M-49.86%4.66M-58.22%4.54M-58.22%4.54M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

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Price Target

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