US Stock MarketDetailed Quotes

NTCYF NETCOMPANY GROUP A/S

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  • 52.000
  • 0.0000.00%
15min DelayClose Dec 5 16:00 ET
2.46BMarket Cap44.29P/E (TTM)

NETCOMPANY GROUP A/S 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
-67.56%32.6M
546.32%237.2M
24.53%301.6M
33.36%448.1M
33.36%448.1M
-55.06%100.5M
-85.35%36.7M
-24.94%242.2M
-26.76%336M
-26.76%336M
-Cash and cash equivalents
-67.56%32.6M
546.32%237.2M
24.53%301.6M
33.36%448.1M
33.36%448.1M
-55.06%100.5M
-85.35%36.7M
-24.94%242.2M
-26.76%336M
-26.76%336M
-Accounts receivable
14.20%1.23B
19.04%1.32B
25.93%1.15B
13.47%1.26B
13.47%1.26B
2.00%1.08B
1.52%1.11B
1.07%916.4M
7.76%1.11B
7.76%1.11B
-Taxes receivable
-14.49%17.7M
-32.92%26.9M
-1.81%59.6M
--0
--0
--20.7M
-9.94%40.1M
-14.58%60.7M
--36M
--36M
-Other receivables
7.31%1.74B
3.36%1.61B
10.24%1.63B
14.20%1.35B
14.20%1.35B
25.14%1.62B
28.02%1.55B
18.27%1.48B
8.86%1.18B
8.86%1.18B
Prepaid assets
1.28%111.2M
-5.71%114M
7.67%125M
-1.93%122M
-1.93%122M
15.74%109.8M
8.99%120.9M
-7.88%116.1M
66.09%124.4M
66.09%124.4M
Total current assets
6.90%3.13B
15.52%3.31B
16.21%3.27B
14.02%3.18B
14.02%3.18B
9.69%2.93B
5.47%2.86B
5.13%2.81B
5.12%2.79B
5.12%2.79B
Non current assets
Net PPE
-3.45%881.1M
12.79%894.3M
136.70%923.6M
186.53%944.4M
186.53%944.4M
208.86%912.6M
156.36%792.9M
22.33%390.2M
4.83%329.6M
4.83%329.6M
-Gross PPE
----
----
----
106.14%1.29B
106.14%1.29B
----
----
----
20.60%625.3M
20.60%625.3M
-Accumulated depreciation
----
----
----
-16.54%-344.6M
-16.54%-344.6M
----
----
----
-44.91%-295.7M
-44.91%-295.7M
Goodwill and other intangible assets
-0.77%3.71B
-0.86%3.72B
-0.83%3.72B
-3.78%3.73B
-3.78%3.73B
-3.36%3.74B
-3.06%3.75B
-3.23%3.76B
-0.42%3.88B
-0.42%3.88B
-Goodwill
----
----
----
-3.57%3.25B
-3.57%3.25B
----
----
----
0.00%3.37B
0.00%3.37B
-Other intangible assets
----
----
----
-5.18%481.1M
-5.18%481.1M
----
----
----
-3.12%507.4M
-3.12%507.4M
Other non current assets
0.00%-100K
----
-200.00%-100K
-200.00%-100K
-200.00%-100K
-10,100.00%-100K
----
10,100.00%100K
--100K
--100K
Total non current assets
-1.48%4.88B
3.74%4.91B
13.87%4.95B
13.05%4.98B
13.05%4.98B
13.99%4.95B
9.19%4.74B
-0.25%4.35B
0.85%4.41B
0.85%4.41B
Total assets
1.63%8.01B
8.17%8.22B
14.79%8.22B
13.43%8.16B
13.43%8.16B
12.35%7.88B
7.76%7.6B
1.80%7.16B
2.46%7.19B
2.46%7.19B
Liabilities
Current liabilities
Payables
33.38%912.7M
18.63%847.5M
-1.08%910.1M
12.06%808.4M
12.06%808.4M
-21.56%684.3M
-19.10%714.4M
28.26%920M
-7.47%721.4M
-7.47%721.4M
-accounts payable
17.27%349.7M
-3.97%326.7M
20.06%338.7M
28.21%340M
28.21%340M
42.55%298.2M
82.55%340.2M
16,853.13%282.1M
-19.27%265.2M
-19.27%265.2M
-Total tax payable
56.12%150.5M
37.74%129.2M
--124.7M
53.69%170.6M
53.69%170.6M
1,281.48%96.4M
--93.8M
----
2,055.34%111M
2,055.34%111M
-Other payable
42.39%412.5M
39.66%391.6M
-29.97%446.7M
-13.73%297.8M
-13.73%297.8M
-55.85%289.7M
-59.75%280.4M
-10.86%637.9M
-22.60%345.2M
-22.60%345.2M
Current provisions
-91.67%200K
-8.00%2.3M
144.93%16.9M
43.97%16.7M
43.97%16.7M
-76.72%2.4M
-70.17%2.5M
-18.60%6.9M
31.24%11.6M
31.24%11.6M
Current debt and capital lease obligation
-39.35%152M
113.76%271.9M
104.22%271.2M
97.14%261.6M
97.14%261.6M
79.31%250.6M
-1.71%127.2M
-4.38%132.8M
-23.36%132.7M
-23.36%132.7M
-Current debt
-72.43%46.9M
263.29%154.4M
239.21%154M
210.57%146.9M
210.57%146.9M
240.87%170.1M
-17.75%42.5M
-23.78%45.4M
-36.51%47.3M
-36.51%47.3M
-Current capital lease obligation
30.56%105.1M
38.72%117.5M
34.10%117.2M
34.31%114.7M
34.31%114.7M
-10.41%80.5M
8.95%84.7M
10.18%87.4M
-13.43%85.4M
-13.43%85.4M
Current liabilities
12.58%1.89B
28.36%2.04B
31.76%1.97B
27.10%1.89B
27.10%1.89B
19.26%1.67B
14.09%1.59B
7.30%1.5B
13.48%1.49B
13.48%1.49B
Non current liabilities
Long term debt and capital lease obligation
-1.00%2.31B
5.22%2.31B
21.33%2.32B
14.41%2.35B
14.41%2.35B
9.91%2.34B
-6.54%2.19B
-18.77%1.91B
-15.30%2.05B
-15.30%2.05B
-Long term debt
-0.09%1.57B
-0.08%1.57B
-5.93%1.57B
-15.25%1.59B
-15.25%1.59B
-20.26%1.57B
-27.60%1.57B
-23.13%1.67B
-17.73%1.87B
-17.73%1.87B
-Long term capital lease obligation
-2.89%738.9M
18.69%735.9M
210.49%748.6M
322.05%761.8M
322.05%761.8M
406.31%760.9M
257.22%620M
33.85%241.1M
21.98%180.5M
21.98%180.5M
Other non current liabilities
0.00%100K
--100K
0.00%-100K
----
----
10,100.00%100K
----
-9,900.00%-100K
-5,100.00%-100K
-5,100.00%-100K
Total non current liabilities
-2.23%2.4B
3.42%2.39B
18.36%2.41B
11.90%2.44B
11.90%2.44B
8.31%2.45B
-6.97%2.31B
-18.66%2.04B
-18.46%2.18B
-18.46%2.18B
Total liabilities
3.78%4.28B
13.58%4.44B
24.03%4.39B
18.07%4.33B
18.07%4.33B
12.50%4.13B
0.60%3.91B
-9.38%3.54B
-7.94%3.67B
-7.94%3.67B
Shareholders'equity
Share capital
0.00%50M
0.00%50M
0.00%50M
0.00%50M
0.00%50M
0.00%50M
0.00%50M
0.00%50M
0.00%50M
0.00%50M
-common stock
0.00%50M
0.00%50M
0.00%50M
0.00%50M
0.00%50M
0.00%50M
0.00%50M
0.00%50M
0.00%50M
0.00%50M
Retained earnings
12.83%4.32B
10.59%4.17B
7.65%4.04B
4.33%3.89B
4.33%3.89B
6.61%3.83B
10.29%3.77B
12.82%3.75B
18.60%3.73B
18.60%3.73B
Less: Treasury stock
232.48%650M
139.05%438.9M
42.25%265.3M
-38.37%193.1M
-38.37%193.1M
-35.46%195.5M
-39.39%183.6M
-26.07%186.5M
29.78%313.3M
29.78%313.3M
Other equity interest
----
-100.20%-100K
----
23.99%67.2M
23.99%67.2M
6,139,900.00%61.4M
--49.7M
----
-22.77%54.2M
-22.77%54.2M
Total stockholders'equity
-0.68%3.72B
2.49%3.78B
5.78%3.83B
8.60%3.82B
8.60%3.82B
12.23%3.75B
16.58%3.69B
15.77%3.62B
16.15%3.52B
16.15%3.52B
Noncontrolling interests
-31.25%4.4M
-18.03%5M
-3.45%5.6M
4.84%6.5M
4.84%6.5M
-6.54%6.4M
-7.03%6.1M
-6.21%5.8M
-8.77%6.2M
-8.77%6.2M
Total equity
-0.73%3.73B
2.45%3.78B
5.77%3.83B
8.59%3.83B
8.59%3.83B
12.19%3.75B
16.53%3.69B
15.73%3.62B
16.10%3.53B
16.10%3.53B
Currency Unit
DKK
DKK
DKK
DKK
DKK
DKK
DKK
DKK
DKK
DKK
(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 -67.56%32.6M546.32%237.2M24.53%301.6M33.36%448.1M33.36%448.1M-55.06%100.5M-85.35%36.7M-24.94%242.2M-26.76%336M-26.76%336M
-Cash and cash equivalents -67.56%32.6M546.32%237.2M24.53%301.6M33.36%448.1M33.36%448.1M-55.06%100.5M-85.35%36.7M-24.94%242.2M-26.76%336M-26.76%336M
-Accounts receivable 14.20%1.23B19.04%1.32B25.93%1.15B13.47%1.26B13.47%1.26B2.00%1.08B1.52%1.11B1.07%916.4M7.76%1.11B7.76%1.11B
-Taxes receivable -14.49%17.7M-32.92%26.9M-1.81%59.6M--0--0--20.7M-9.94%40.1M-14.58%60.7M--36M--36M
-Other receivables 7.31%1.74B3.36%1.61B10.24%1.63B14.20%1.35B14.20%1.35B25.14%1.62B28.02%1.55B18.27%1.48B8.86%1.18B8.86%1.18B
Prepaid assets 1.28%111.2M-5.71%114M7.67%125M-1.93%122M-1.93%122M15.74%109.8M8.99%120.9M-7.88%116.1M66.09%124.4M66.09%124.4M
Total current assets 6.90%3.13B15.52%3.31B16.21%3.27B14.02%3.18B14.02%3.18B9.69%2.93B5.47%2.86B5.13%2.81B5.12%2.79B5.12%2.79B
Non current assets
Net PPE -3.45%881.1M12.79%894.3M136.70%923.6M186.53%944.4M186.53%944.4M208.86%912.6M156.36%792.9M22.33%390.2M4.83%329.6M4.83%329.6M
-Gross PPE ------------106.14%1.29B106.14%1.29B------------20.60%625.3M20.60%625.3M
-Accumulated depreciation -------------16.54%-344.6M-16.54%-344.6M-------------44.91%-295.7M-44.91%-295.7M
Goodwill and other intangible assets -0.77%3.71B-0.86%3.72B-0.83%3.72B-3.78%3.73B-3.78%3.73B-3.36%3.74B-3.06%3.75B-3.23%3.76B-0.42%3.88B-0.42%3.88B
-Goodwill -------------3.57%3.25B-3.57%3.25B------------0.00%3.37B0.00%3.37B
-Other intangible assets -------------5.18%481.1M-5.18%481.1M-------------3.12%507.4M-3.12%507.4M
Other non current assets 0.00%-100K-----200.00%-100K-200.00%-100K-200.00%-100K-10,100.00%-100K----10,100.00%100K--100K--100K
Total non current assets -1.48%4.88B3.74%4.91B13.87%4.95B13.05%4.98B13.05%4.98B13.99%4.95B9.19%4.74B-0.25%4.35B0.85%4.41B0.85%4.41B
Total assets 1.63%8.01B8.17%8.22B14.79%8.22B13.43%8.16B13.43%8.16B12.35%7.88B7.76%7.6B1.80%7.16B2.46%7.19B2.46%7.19B
Liabilities
Current liabilities
Payables 33.38%912.7M18.63%847.5M-1.08%910.1M12.06%808.4M12.06%808.4M-21.56%684.3M-19.10%714.4M28.26%920M-7.47%721.4M-7.47%721.4M
-accounts payable 17.27%349.7M-3.97%326.7M20.06%338.7M28.21%340M28.21%340M42.55%298.2M82.55%340.2M16,853.13%282.1M-19.27%265.2M-19.27%265.2M
-Total tax payable 56.12%150.5M37.74%129.2M--124.7M53.69%170.6M53.69%170.6M1,281.48%96.4M--93.8M----2,055.34%111M2,055.34%111M
-Other payable 42.39%412.5M39.66%391.6M-29.97%446.7M-13.73%297.8M-13.73%297.8M-55.85%289.7M-59.75%280.4M-10.86%637.9M-22.60%345.2M-22.60%345.2M
Current provisions -91.67%200K-8.00%2.3M144.93%16.9M43.97%16.7M43.97%16.7M-76.72%2.4M-70.17%2.5M-18.60%6.9M31.24%11.6M31.24%11.6M
Current debt and capital lease obligation -39.35%152M113.76%271.9M104.22%271.2M97.14%261.6M97.14%261.6M79.31%250.6M-1.71%127.2M-4.38%132.8M-23.36%132.7M-23.36%132.7M
-Current debt -72.43%46.9M263.29%154.4M239.21%154M210.57%146.9M210.57%146.9M240.87%170.1M-17.75%42.5M-23.78%45.4M-36.51%47.3M-36.51%47.3M
-Current capital lease obligation 30.56%105.1M38.72%117.5M34.10%117.2M34.31%114.7M34.31%114.7M-10.41%80.5M8.95%84.7M10.18%87.4M-13.43%85.4M-13.43%85.4M
Current liabilities 12.58%1.89B28.36%2.04B31.76%1.97B27.10%1.89B27.10%1.89B19.26%1.67B14.09%1.59B7.30%1.5B13.48%1.49B13.48%1.49B
Non current liabilities
Long term debt and capital lease obligation -1.00%2.31B5.22%2.31B21.33%2.32B14.41%2.35B14.41%2.35B9.91%2.34B-6.54%2.19B-18.77%1.91B-15.30%2.05B-15.30%2.05B
-Long term debt -0.09%1.57B-0.08%1.57B-5.93%1.57B-15.25%1.59B-15.25%1.59B-20.26%1.57B-27.60%1.57B-23.13%1.67B-17.73%1.87B-17.73%1.87B
-Long term capital lease obligation -2.89%738.9M18.69%735.9M210.49%748.6M322.05%761.8M322.05%761.8M406.31%760.9M257.22%620M33.85%241.1M21.98%180.5M21.98%180.5M
Other non current liabilities 0.00%100K--100K0.00%-100K--------10,100.00%100K-----9,900.00%-100K-5,100.00%-100K-5,100.00%-100K
Total non current liabilities -2.23%2.4B3.42%2.39B18.36%2.41B11.90%2.44B11.90%2.44B8.31%2.45B-6.97%2.31B-18.66%2.04B-18.46%2.18B-18.46%2.18B
Total liabilities 3.78%4.28B13.58%4.44B24.03%4.39B18.07%4.33B18.07%4.33B12.50%4.13B0.60%3.91B-9.38%3.54B-7.94%3.67B-7.94%3.67B
Shareholders'equity
Share capital 0.00%50M0.00%50M0.00%50M0.00%50M0.00%50M0.00%50M0.00%50M0.00%50M0.00%50M0.00%50M
-common stock 0.00%50M0.00%50M0.00%50M0.00%50M0.00%50M0.00%50M0.00%50M0.00%50M0.00%50M0.00%50M
Retained earnings 12.83%4.32B10.59%4.17B7.65%4.04B4.33%3.89B4.33%3.89B6.61%3.83B10.29%3.77B12.82%3.75B18.60%3.73B18.60%3.73B
Less: Treasury stock 232.48%650M139.05%438.9M42.25%265.3M-38.37%193.1M-38.37%193.1M-35.46%195.5M-39.39%183.6M-26.07%186.5M29.78%313.3M29.78%313.3M
Other equity interest -----100.20%-100K----23.99%67.2M23.99%67.2M6,139,900.00%61.4M--49.7M-----22.77%54.2M-22.77%54.2M
Total stockholders'equity -0.68%3.72B2.49%3.78B5.78%3.83B8.60%3.82B8.60%3.82B12.23%3.75B16.58%3.69B15.77%3.62B16.15%3.52B16.15%3.52B
Noncontrolling interests -31.25%4.4M-18.03%5M-3.45%5.6M4.84%6.5M4.84%6.5M-6.54%6.4M-7.03%6.1M-6.21%5.8M-8.77%6.2M-8.77%6.2M
Total equity -0.73%3.73B2.45%3.78B5.77%3.83B8.59%3.83B8.59%3.83B12.19%3.75B16.53%3.69B15.73%3.62B16.10%3.53B16.10%3.53B
Currency Unit DKKDKKDKKDKKDKKDKKDKKDKKDKKDKK
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