CA Stock MarketDetailed Quotes

NWH.UN Northwest Healthcare Properties Real Estate Investment Trust

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  • 5.060
  • -0.090-1.75%
15min DelayMarket Closed Nov 1 16:00 ET
1.25BMarket Cap-3190P/E (TTM)

Northwest Healthcare Properties Real Estate Investment Trust 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
-5.10%64.75M
-7.71%70.3M
-18.14%72.03M
-18.14%72.03M
-6.08%67.53M
-8.56%68.22M
-65.00%76.17M
40.33%87.99M
40.33%87.99M
-32.00%71.9M
-Cash and cash equivalents
-5.10%64.75M
-7.71%70.3M
-18.14%72.03M
-18.14%72.03M
-6.08%67.53M
-8.56%68.22M
-65.00%76.17M
40.33%87.99M
40.33%87.99M
-32.00%71.9M
Receivables
39.60%53.64M
2.58%57.71M
18.47%45.95M
18.47%45.95M
11.23%46.52M
-30.07%38.43M
0.02%56.25M
-47.19%38.79M
-47.19%38.79M
-36.56%41.83M
-Accounts receivable
16.77%25.45M
-21.31%26.92M
-15.31%7.98M
-15.31%7.98M
37.83%30.38M
-37.51%21.8M
-3.43%34.21M
59.86%9.43M
59.86%9.43M
-51.92%22.04M
-Loans receivable
202.23%16.28M
71.81%17.32M
18.02%12.12M
18.02%12.12M
-45.86%5.35M
-45.49%5.39M
-3.25%10.08M
0.11%10.27M
0.11%10.27M
-3.17%9.87M
-Taxes receivable
28.11%4.74M
30.01%6.58M
21.24%5.03M
21.24%5.03M
25.46%4.06M
4.20%3.7M
46.95%5.06M
-21.06%4.15M
-21.06%4.15M
2.31%3.24M
-Due from related parties current
----
----
----
----
----
--803K
----
----
----
----
-Other receivables
6.41%7.18M
-0.19%6.89M
29.75%22.53M
29.75%22.53M
0.88%6.73M
1.57%6.74M
-0.73%6.9M
-67.51%17.37M
-67.51%17.37M
-0.64%6.67M
-Recievables adjustments allowances
----
----
29.23%-1.72M
29.23%-1.72M
----
----
----
-72.06%-2.43M
-72.06%-2.43M
----
Prepaid assets
77.32%12.73M
62.18%10.36M
109.60%7.67M
109.60%7.67M
-16.10%7.25M
-11.74%7.18M
360.71%6.39M
-49.19%3.66M
-49.19%3.66M
4.32%8.65M
Restricted cash
----
751.67%511K
27.66%60K
27.66%60K
25.00%60K
30.43%60K
25.00%60K
14.63%47K
14.63%47K
17.07%48K
Holding assets for sale
-72.34%60.22M
-96.99%30.23M
-94.31%55.97M
-94.31%55.97M
-87.45%218.01M
-87.22%217.67M
--1B
--983.43M
--983.43M
6,150.57%1.74B
Total current assets
-42.29%191.34M
-85.20%169.11M
-83.69%181.68M
-83.69%181.68M
-81.74%339.38M
-82.00%331.56M
315.03%1.14B
676.81%1.11B
676.81%1.11B
794.74%1.86B
Non current assets
Net PPE
13.94%10.02M
14.39%10.39M
-12.22%8M
-12.22%8M
16.40%8.26M
26.63%8.8M
32.65%9.08M
33.09%9.11M
33.09%9.11M
19.39%7.09M
-Gross PPE
13.94%10.02M
14.39%10.39M
-12.22%8M
-12.22%8M
-17.38%8.26M
-10.66%8.8M
-4.87%9.08M
-1.45%9.11M
-1.45%9.11M
22.75%9.99M
-Accumulated depreciation
----
----
----
----
----
----
----
----
----
-31.82%-2.9M
Investment properties
-9.55%6.31B
2.47%6.67B
3.96%6.87B
3.96%6.87B
21.09%6.86B
26.24%6.98B
-0.49%6.5B
5.06%6.61B
5.06%6.61B
-3.03%5.66B
Investments and advances
-30.47%397.26M
-32.07%415.92M
-29.13%439.11M
-29.13%439.11M
-22.73%470.4M
-6.02%571.37M
-0.80%612.27M
28.72%619.58M
28.72%619.58M
25.92%608.77M
-Long term equity investment
-0.38%353.55M
-8.55%358.64M
-8.36%362.34M
-8.36%362.34M
-10.31%352.7M
-9.97%354.9M
-0.22%392.17M
3.72%395.4M
3.72%395.4M
21.53%393.23M
-Financial asset investment
-79.80%43.72M
-73.98%57.28M
-65.75%76.77M
-65.75%76.77M
-45.39%117.71M
1.26%216.47M
-1.81%220.1M
123.87%224.18M
123.87%224.18M
34.79%215.54M
-Including:Available-for-sale securities
-79.80%43.72M
-73.98%57.28M
-65.75%76.77M
-65.75%76.77M
-45.39%117.71M
1.26%216.47M
-1.81%220.1M
123.87%224.18M
123.87%224.18M
--215.54M
Financial assets
-40.11%34.71M
10.93%31.32M
-31.65%26.06M
-31.65%26.06M
38.39%51.77M
114.33%57.95M
208.65%28.23M
148.17%38.12M
148.17%38.12M
74.84%37.41M
Goodwill and other intangible assets
10.40%87.86M
2.49%85.47M
-2.64%82.35M
-2.64%82.35M
4.43%80.09M
0.72%79.59M
-2.39%83.4M
-4.91%84.58M
-4.91%84.58M
-13.77%76.7M
-Goodwill
3.00%38.39M
-4.51%37.3M
-2.64%38.57M
-2.64%38.57M
4.46%37.51M
0.74%37.27M
-2.38%39.06M
-4.94%39.61M
-4.94%39.61M
-13.83%35.91M
-Other intangible assets
16.92%49.47M
8.66%48.17M
-2.64%43.78M
-2.64%43.78M
4.39%42.58M
0.71%42.32M
-2.39%44.34M
-4.89%44.97M
-4.89%44.97M
-13.72%40.79M
Non current deferred assets
-92.98%1.12M
-89.41%1.46M
-35.15%9.18M
-35.15%9.18M
53.24%15.91M
48.38%15.91M
22.93%13.78M
24.47%14.15M
24.47%14.15M
--10.38M
Other non current assets
-59.45%7.67M
-80.32%4.91M
-65.56%7.58M
-65.56%7.58M
-45.94%10.4M
-20.14%18.9M
-49.98%24.95M
-3.56%22.01M
-3.56%22.01M
-27.19%19.24M
Total non current assets
-11.39%6.85B
-0.84%7.21B
0.63%7.45B
0.63%7.45B
16.69%7.49B
23.04%7.73B
-0.55%7.28B
6.92%7.4B
6.92%7.4B
-0.67%6.42B
Total assets
-12.66%7.04B
-12.29%7.38B
-10.40%7.63B
-10.40%7.63B
-5.41%7.83B
-0.77%8.06B
10.90%8.42B
20.52%8.51B
20.52%8.51B
24.09%8.28B
Liabilities
Current liabilities
Current debt and capital lease obligation
23.83%690.37M
45.29%794.04M
-11.13%450.38M
-11.13%450.38M
--628.63M
-68.39%557.52M
-26.65%546.53M
-20.32%506.8M
-20.32%506.8M
----
-Current debt
23.83%690.37M
45.29%794.04M
-11.13%450.38M
-11.13%450.38M
--628.63M
-68.39%557.52M
-26.65%546.53M
-20.32%506.8M
-20.32%506.8M
----
Payables
-2.36%153.64M
1.75%166.07M
-4.65%157.49M
-4.65%157.49M
25.70%159.5M
44.87%157.35M
58.03%163.22M
42.03%165.16M
42.03%165.16M
0.56%126.89M
-accounts payable
8.14%136.18M
11.74%146.86M
-3.42%128.75M
-3.42%128.75M
28.78%134M
52.49%125.93M
71.29%131.43M
48.18%133.31M
48.18%133.31M
2.25%104.05M
-Total tax payable
-34.01%10.04M
-20.10%12.53M
35.60%21.44M
35.60%21.44M
165.79%18.21M
50.78%15.22M
46.02%15.68M
38.95%15.81M
38.95%15.81M
-30.71%6.85M
-Dividends payable
-54.23%7.41M
-58.57%6.68M
-54.51%7.3M
-54.51%7.3M
-54.36%7.3M
1.64%16.2M
1.83%16.11M
7.37%16.04M
7.37%16.04M
10.03%15.98M
Pension and other retirement benefit plans
-10.10%15.39M
--16.73M
-36.40%15.16M
-36.40%15.16M
--14.99M
--17.12M
----
--23.84M
--23.84M
----
Other current liabilities
----
-97.40%13.38M
-95.68%18.49M
-95.68%18.49M
-89.85%46.94M
-84.62%66.73M
--515.28M
--427.56M
--427.56M
8,329.83%462.63M
Current liabilities
7.60%859.4M
-19.17%990.22M
-42.89%641.51M
-42.89%641.51M
44.20%850.06M
-65.37%798.72M
44.40%1.23B
49.32%1.12B
49.32%1.12B
-17.13%589.52M
Non current liabilities
Long term debt and capital lease obligation
-13.43%2.98B
-3.22%3.02B
9.25%3.47B
9.25%3.47B
-3.90%3.34B
121.40%3.45B
26.42%3.12B
37.53%3.17B
37.53%3.17B
49.23%3.48B
-Long term debt
-13.13%2.98B
-2.83%3.02B
9.25%3.45B
9.25%3.45B
-4.23%3.33B
120.62%3.43B
26.56%3.11B
37.72%3.16B
37.72%3.16B
50.01%3.48B
-Long term capital lease obligation
----
----
11.17%14.37M
11.17%14.37M
--11.62M
--12M
0.11%12.53M
1.63%12.93M
1.63%12.93M
----
Derivative product liabilities
-43.63%1.62M
-68.03%2.37M
--6.57M
--6.57M
207.18%2.18M
436.50%2.88M
176.43%7.41M
--0
--0
-98.57%710K
Non current deferred liabilities
-15.24%357.96M
-10.06%401.31M
-8.65%418.45M
-8.65%418.45M
-8.03%404.7M
-8.21%422.34M
-2.54%446.2M
11.07%458.09M
11.07%458.09M
20.03%440.02M
Other non current liabilities
----
----
-46.32%8.72M
-46.32%8.72M
-79.73%8.69M
-47.93%10.74M
-38.49%14.48M
-31.11%16.25M
-31.11%16.25M
94.08%42.85M
Total non current liabilities
-13.89%3.34B
-4.59%3.42B
6.94%3.9B
6.94%3.9B
-5.14%3.76B
90.50%3.88B
21.55%3.59B
30.85%3.65B
30.85%3.65B
43.07%3.96B
Total liabilities
-10.22%4.2B
-8.30%4.41B
-4.79%4.54B
-4.79%4.54B
1.25%4.61B
7.74%4.68B
26.65%4.81B
34.77%4.77B
34.77%4.77B
30.76%4.55B
Shareholders'equity
Share capital
0.66%2.54B
0.97%2.54B
--2.53B
--2.53B
1.18%2.52B
1.47%2.52B
2.00%2.51B
----
----
13.07%2.49B
-common stock
0.66%2.54B
0.97%2.54B
--2.53B
--2.53B
1.18%2.52B
1.47%2.52B
2.00%2.51B
----
----
13.07%2.49B
Additional paid-in capital
0.00%39.72M
0.00%39.72M
--39.72M
--39.72M
0.00%39.72M
0.00%39.72M
0.00%39.72M
----
----
0.00%39.72M
Retained earnings
-18,463.59%-491.23M
-516.37%-346.74M
---277.04M
---277.04M
-131.36%-118.31M
-99.36%2.68M
-79.01%83.28M
----
----
45.60%377.29M
Gains losses not affecting retained earnings
-1.26%-329.66M
-9.02%-322.51M
---293.42M
---293.42M
20.77%-336.87M
22.30%-325.57M
-5.91%-295.82M
----
----
-54.61%-425.18M
Total stockholders'equity
-21.49%1.76B
-18.48%1.91B
-18.83%1.99B
-18.83%1.99B
-15.19%2.11B
-11.32%2.24B
-10.71%2.34B
2.71%2.46B
2.71%2.46B
11.49%2.49B
Noncontrolling interests
-5.31%1.08B
-16.02%1.06B
-15.11%1.09B
-15.11%1.09B
-10.21%1.12B
-9.02%1.14B
8.13%1.27B
13.58%1.29B
13.58%1.29B
29.13%1.25B
Total equity
-16.03%2.84B
-17.62%2.97B
-17.55%3.09B
-17.55%3.09B
-13.53%3.23B
-10.56%3.38B
-4.89%3.61B
6.20%3.74B
6.20%3.74B
16.82%3.73B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(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 -5.10%64.75M-7.71%70.3M-18.14%72.03M-18.14%72.03M-6.08%67.53M-8.56%68.22M-65.00%76.17M40.33%87.99M40.33%87.99M-32.00%71.9M
-Cash and cash equivalents -5.10%64.75M-7.71%70.3M-18.14%72.03M-18.14%72.03M-6.08%67.53M-8.56%68.22M-65.00%76.17M40.33%87.99M40.33%87.99M-32.00%71.9M
Receivables 39.60%53.64M2.58%57.71M18.47%45.95M18.47%45.95M11.23%46.52M-30.07%38.43M0.02%56.25M-47.19%38.79M-47.19%38.79M-36.56%41.83M
-Accounts receivable 16.77%25.45M-21.31%26.92M-15.31%7.98M-15.31%7.98M37.83%30.38M-37.51%21.8M-3.43%34.21M59.86%9.43M59.86%9.43M-51.92%22.04M
-Loans receivable 202.23%16.28M71.81%17.32M18.02%12.12M18.02%12.12M-45.86%5.35M-45.49%5.39M-3.25%10.08M0.11%10.27M0.11%10.27M-3.17%9.87M
-Taxes receivable 28.11%4.74M30.01%6.58M21.24%5.03M21.24%5.03M25.46%4.06M4.20%3.7M46.95%5.06M-21.06%4.15M-21.06%4.15M2.31%3.24M
-Due from related parties current ----------------------803K----------------
-Other receivables 6.41%7.18M-0.19%6.89M29.75%22.53M29.75%22.53M0.88%6.73M1.57%6.74M-0.73%6.9M-67.51%17.37M-67.51%17.37M-0.64%6.67M
-Recievables adjustments allowances --------29.23%-1.72M29.23%-1.72M-------------72.06%-2.43M-72.06%-2.43M----
Prepaid assets 77.32%12.73M62.18%10.36M109.60%7.67M109.60%7.67M-16.10%7.25M-11.74%7.18M360.71%6.39M-49.19%3.66M-49.19%3.66M4.32%8.65M
Restricted cash ----751.67%511K27.66%60K27.66%60K25.00%60K30.43%60K25.00%60K14.63%47K14.63%47K17.07%48K
Holding assets for sale -72.34%60.22M-96.99%30.23M-94.31%55.97M-94.31%55.97M-87.45%218.01M-87.22%217.67M--1B--983.43M--983.43M6,150.57%1.74B
Total current assets -42.29%191.34M-85.20%169.11M-83.69%181.68M-83.69%181.68M-81.74%339.38M-82.00%331.56M315.03%1.14B676.81%1.11B676.81%1.11B794.74%1.86B
Non current assets
Net PPE 13.94%10.02M14.39%10.39M-12.22%8M-12.22%8M16.40%8.26M26.63%8.8M32.65%9.08M33.09%9.11M33.09%9.11M19.39%7.09M
-Gross PPE 13.94%10.02M14.39%10.39M-12.22%8M-12.22%8M-17.38%8.26M-10.66%8.8M-4.87%9.08M-1.45%9.11M-1.45%9.11M22.75%9.99M
-Accumulated depreciation -------------------------------------31.82%-2.9M
Investment properties -9.55%6.31B2.47%6.67B3.96%6.87B3.96%6.87B21.09%6.86B26.24%6.98B-0.49%6.5B5.06%6.61B5.06%6.61B-3.03%5.66B
Investments and advances -30.47%397.26M-32.07%415.92M-29.13%439.11M-29.13%439.11M-22.73%470.4M-6.02%571.37M-0.80%612.27M28.72%619.58M28.72%619.58M25.92%608.77M
-Long term equity investment -0.38%353.55M-8.55%358.64M-8.36%362.34M-8.36%362.34M-10.31%352.7M-9.97%354.9M-0.22%392.17M3.72%395.4M3.72%395.4M21.53%393.23M
-Financial asset investment -79.80%43.72M-73.98%57.28M-65.75%76.77M-65.75%76.77M-45.39%117.71M1.26%216.47M-1.81%220.1M123.87%224.18M123.87%224.18M34.79%215.54M
-Including:Available-for-sale securities -79.80%43.72M-73.98%57.28M-65.75%76.77M-65.75%76.77M-45.39%117.71M1.26%216.47M-1.81%220.1M123.87%224.18M123.87%224.18M--215.54M
Financial assets -40.11%34.71M10.93%31.32M-31.65%26.06M-31.65%26.06M38.39%51.77M114.33%57.95M208.65%28.23M148.17%38.12M148.17%38.12M74.84%37.41M
Goodwill and other intangible assets 10.40%87.86M2.49%85.47M-2.64%82.35M-2.64%82.35M4.43%80.09M0.72%79.59M-2.39%83.4M-4.91%84.58M-4.91%84.58M-13.77%76.7M
-Goodwill 3.00%38.39M-4.51%37.3M-2.64%38.57M-2.64%38.57M4.46%37.51M0.74%37.27M-2.38%39.06M-4.94%39.61M-4.94%39.61M-13.83%35.91M
-Other intangible assets 16.92%49.47M8.66%48.17M-2.64%43.78M-2.64%43.78M4.39%42.58M0.71%42.32M-2.39%44.34M-4.89%44.97M-4.89%44.97M-13.72%40.79M
Non current deferred assets -92.98%1.12M-89.41%1.46M-35.15%9.18M-35.15%9.18M53.24%15.91M48.38%15.91M22.93%13.78M24.47%14.15M24.47%14.15M--10.38M
Other non current assets -59.45%7.67M-80.32%4.91M-65.56%7.58M-65.56%7.58M-45.94%10.4M-20.14%18.9M-49.98%24.95M-3.56%22.01M-3.56%22.01M-27.19%19.24M
Total non current assets -11.39%6.85B-0.84%7.21B0.63%7.45B0.63%7.45B16.69%7.49B23.04%7.73B-0.55%7.28B6.92%7.4B6.92%7.4B-0.67%6.42B
Total assets -12.66%7.04B-12.29%7.38B-10.40%7.63B-10.40%7.63B-5.41%7.83B-0.77%8.06B10.90%8.42B20.52%8.51B20.52%8.51B24.09%8.28B
Liabilities
Current liabilities
Current debt and capital lease obligation 23.83%690.37M45.29%794.04M-11.13%450.38M-11.13%450.38M--628.63M-68.39%557.52M-26.65%546.53M-20.32%506.8M-20.32%506.8M----
-Current debt 23.83%690.37M45.29%794.04M-11.13%450.38M-11.13%450.38M--628.63M-68.39%557.52M-26.65%546.53M-20.32%506.8M-20.32%506.8M----
Payables -2.36%153.64M1.75%166.07M-4.65%157.49M-4.65%157.49M25.70%159.5M44.87%157.35M58.03%163.22M42.03%165.16M42.03%165.16M0.56%126.89M
-accounts payable 8.14%136.18M11.74%146.86M-3.42%128.75M-3.42%128.75M28.78%134M52.49%125.93M71.29%131.43M48.18%133.31M48.18%133.31M2.25%104.05M
-Total tax payable -34.01%10.04M-20.10%12.53M35.60%21.44M35.60%21.44M165.79%18.21M50.78%15.22M46.02%15.68M38.95%15.81M38.95%15.81M-30.71%6.85M
-Dividends payable -54.23%7.41M-58.57%6.68M-54.51%7.3M-54.51%7.3M-54.36%7.3M1.64%16.2M1.83%16.11M7.37%16.04M7.37%16.04M10.03%15.98M
Pension and other retirement benefit plans -10.10%15.39M--16.73M-36.40%15.16M-36.40%15.16M--14.99M--17.12M------23.84M--23.84M----
Other current liabilities -----97.40%13.38M-95.68%18.49M-95.68%18.49M-89.85%46.94M-84.62%66.73M--515.28M--427.56M--427.56M8,329.83%462.63M
Current liabilities 7.60%859.4M-19.17%990.22M-42.89%641.51M-42.89%641.51M44.20%850.06M-65.37%798.72M44.40%1.23B49.32%1.12B49.32%1.12B-17.13%589.52M
Non current liabilities
Long term debt and capital lease obligation -13.43%2.98B-3.22%3.02B9.25%3.47B9.25%3.47B-3.90%3.34B121.40%3.45B26.42%3.12B37.53%3.17B37.53%3.17B49.23%3.48B
-Long term debt -13.13%2.98B-2.83%3.02B9.25%3.45B9.25%3.45B-4.23%3.33B120.62%3.43B26.56%3.11B37.72%3.16B37.72%3.16B50.01%3.48B
-Long term capital lease obligation --------11.17%14.37M11.17%14.37M--11.62M--12M0.11%12.53M1.63%12.93M1.63%12.93M----
Derivative product liabilities -43.63%1.62M-68.03%2.37M--6.57M--6.57M207.18%2.18M436.50%2.88M176.43%7.41M--0--0-98.57%710K
Non current deferred liabilities -15.24%357.96M-10.06%401.31M-8.65%418.45M-8.65%418.45M-8.03%404.7M-8.21%422.34M-2.54%446.2M11.07%458.09M11.07%458.09M20.03%440.02M
Other non current liabilities ---------46.32%8.72M-46.32%8.72M-79.73%8.69M-47.93%10.74M-38.49%14.48M-31.11%16.25M-31.11%16.25M94.08%42.85M
Total non current liabilities -13.89%3.34B-4.59%3.42B6.94%3.9B6.94%3.9B-5.14%3.76B90.50%3.88B21.55%3.59B30.85%3.65B30.85%3.65B43.07%3.96B
Total liabilities -10.22%4.2B-8.30%4.41B-4.79%4.54B-4.79%4.54B1.25%4.61B7.74%4.68B26.65%4.81B34.77%4.77B34.77%4.77B30.76%4.55B
Shareholders'equity
Share capital 0.66%2.54B0.97%2.54B--2.53B--2.53B1.18%2.52B1.47%2.52B2.00%2.51B--------13.07%2.49B
-common stock 0.66%2.54B0.97%2.54B--2.53B--2.53B1.18%2.52B1.47%2.52B2.00%2.51B--------13.07%2.49B
Additional paid-in capital 0.00%39.72M0.00%39.72M--39.72M--39.72M0.00%39.72M0.00%39.72M0.00%39.72M--------0.00%39.72M
Retained earnings -18,463.59%-491.23M-516.37%-346.74M---277.04M---277.04M-131.36%-118.31M-99.36%2.68M-79.01%83.28M--------45.60%377.29M
Gains losses not affecting retained earnings -1.26%-329.66M-9.02%-322.51M---293.42M---293.42M20.77%-336.87M22.30%-325.57M-5.91%-295.82M---------54.61%-425.18M
Total stockholders'equity -21.49%1.76B-18.48%1.91B-18.83%1.99B-18.83%1.99B-15.19%2.11B-11.32%2.24B-10.71%2.34B2.71%2.46B2.71%2.46B11.49%2.49B
Noncontrolling interests -5.31%1.08B-16.02%1.06B-15.11%1.09B-15.11%1.09B-10.21%1.12B-9.02%1.14B8.13%1.27B13.58%1.29B13.58%1.29B29.13%1.25B
Total equity -16.03%2.84B-17.62%2.97B-17.55%3.09B-17.55%3.09B-13.53%3.23B-10.56%3.38B-4.89%3.61B6.20%3.74B6.20%3.74B16.82%3.73B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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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