US Stock MarketDetailed Quotes

ONDS Ondas Holdings

Watchlist
  • 0.7960
  • -0.0279-3.39%
Close Sep 13 16:00 ET
  • 0.8100
  • +0.0140+1.76%
Post 17:49 ET
59.94MMarket Cap-1105P/E (TTM)

Ondas Holdings 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
61.07%4.93M
3.06%14.55M
-49.69%14.98M
-49.69%14.98M
37.22%20.97M
-89.06%3.06M
-55.97%14.12M
-27.05%29.78M
-27.05%29.78M
-67.82%15.28M
-Cash and cash equivalents
61.07%4.93M
3.06%14.55M
-49.69%14.98M
-49.69%14.98M
37.22%20.97M
-89.06%3.06M
-55.97%14.12M
-27.05%29.78M
-27.05%29.78M
-67.82%15.28M
Receivables
-33.67%3.38M
186.36%3.25M
114.86%4.52M
114.86%4.52M
531.94%5.19M
1,822.87%5.1M
138.94%1.13M
73.45%2.1M
73.45%2.1M
-32.97%821.16K
-Accounts receivable
-53.36%2.29M
90.10%2.13M
3,189.32%3.43M
3,189.32%3.43M
496.02%4.89M
1,751.98%4.91M
135.66%1.12M
-91.40%104.28K
-91.40%104.28K
-32.97%821.16K
-Notes receivable
----
----
--0
--0
--0
--0
--0
--2M
--2M
----
-Taxes receivable
49.53%281.24K
--326.75K
--232.05K
--232.05K
--185.1K
--188.08K
----
--0
--0
----
-Other receivables
--810.91K
4,988.85%794.27K
--859.22K
--859.22K
--109.89K
----
--15.61K
----
----
----
Inventory
70.46%4.96M
-0.09%3.76M
0.63%2.19M
0.63%2.19M
80.20%2.58M
128.96%2.91M
188.20%3.76M
84.41%2.17M
84.41%2.17M
11.48%1.43M
Prepaid assets
3.36%1.28M
42.41%1.26M
33.59%1.48M
33.59%1.48M
-43.06%936.03K
-15.16%1.24M
-52.96%883.36K
-23.69%1.11M
-23.69%1.11M
166.07%1.64M
Restricted cash
-1.07%40.38K
1.65%42.15K
--42.56K
--42.56K
--39.91K
--40.81K
--41.47K
--0
--0
----
Current deferred assets
----
----
--0
--0
--0
--330.46K
--151.43K
--145.29K
--145.29K
----
Other current assets
17.54%479.16K
-42.49%651.69K
-19.98%398.55K
-19.98%398.55K
--554.23K
--407.67K
113,311,800.00%1.13M
--498.08K
--498.08K
----
Total current assets
15.16%15.07M
10.77%23.51M
-34.06%23.61M
-34.06%23.61M
57.82%30.27M
-57.79%13.09M
-40.59%21.22M
-19.83%35.8M
-19.83%35.8M
-62.11%19.18M
Non current assets
Net PPE
15.37%9.73M
4.34%9.3M
49.10%8.88M
49.10%8.88M
8.38%8.1M
21.13%8.43M
44.26%8.92M
218.75%5.95M
218.75%5.95M
523.49%7.48M
-Gross PPE
31.10%14.51M
18.92%13.59M
91.68%12.76M
91.68%12.76M
34.52%10.95M
47.33%11.07M
72.01%11.43M
190.37%6.66M
190.37%6.66M
413.25%8.14M
-Accumulated depreciation
-81.40%-4.78M
-70.66%-4.29M
-452.41%-3.88M
-452.41%-3.88M
-330.70%-2.84M
-377.93%-2.64M
-441.36%-2.51M
-65.52%-702.89K
-65.52%-702.89K
-70.91%-660.14K
Goodwill and other intangible assets
-6.72%57.01M
-6.03%58.05M
8.46%59.08M
8.46%59.08M
-19.46%60.12M
-18.76%61.12M
-10.92%61.78M
-22.40%54.47M
-22.40%54.47M
-7.57%74.64M
-Goodwill
0.29%27.75M
0.54%27.75M
8.38%27.75M
8.38%27.75M
-38.54%27.67M
-38.54%27.67M
-38.70%27.6M
-43.13%25.61M
-43.13%25.61M
33.29%45.03M
-Other intangible assets
-12.53%29.26M
-11.33%30.3M
8.54%31.33M
8.54%31.33M
9.57%32.44M
10.74%33.45M
40.49%34.17M
14.68%28.86M
14.68%28.86M
-36.96%29.61M
Investments and advances
----
----
--0
--0
0.00%1.5M
200.00%1.5M
200.00%1.5M
200.00%1.5M
200.00%1.5M
--1.5M
Non current accounts receivable
----
--155.56K
----
----
----
----
----
----
----
----
Non current prepaid assets
69.02%709.21K
67.01%596.24K
174.75%599.52K
174.75%599.52K
198.68%651.74K
92.30%419.61K
63.61%357.01K
0.00%218.21K
0.00%218.21K
91.13%218.21K
Total non current assets
-5.63%67.45M
-6.12%68.11M
10.32%68.56M
10.32%68.56M
-16.06%70.37M
-13.80%71.47M
-4.85%72.55M
-14.62%62.14M
-14.62%62.14M
2.16%83.84M
Total assets
-2.41%82.52M
-2.30%91.62M
-5.90%92.16M
-5.90%92.16M
-2.30%100.65M
-25.77%84.56M
-16.25%93.77M
-16.60%97.95M
-16.60%97.95M
-22.36%103.02M
Liabilities
Current liabilities
Payables
-16.70%4.27M
0.53%5.57M
48.66%5.18M
48.66%5.18M
57.62%5.57M
89.32%5.13M
89.52%5.54M
11.25%3.48M
11.25%3.48M
78.55%3.53M
-accounts payable
-12.65%4.27M
7.90%5.57M
74.56%5.18M
74.56%5.18M
61.02%5.47M
105.77%4.89M
115.42%5.17M
23.01%2.97M
23.01%2.97M
75.76%3.4M
-Other payable
----
----
----
----
-28.36%96.04K
-28.30%238.33K
-28.24%378.51K
-28.18%516.62K
-28.18%516.62K
198.58%134.06K
Current accrued expenses
21.54%3.2M
54.08%3.22M
30.36%3.59M
30.36%3.59M
47.18%2.54M
78.11%2.64M
71.93%2.09M
539.20%2.75M
539.20%2.75M
26.98%1.73M
Current debt and capital lease obligation
41.50%29.57M
70.63%28.05M
60.54%26.38M
60.54%26.38M
3,714.04%26.63M
2,474.50%20.89M
1,807.21%16.44M
2,884.43%16.43M
2,884.43%16.43M
19.20%698.22K
-Current debt
42.40%28.88M
73.88%27.38M
62.10%25.69M
62.10%25.69M
--26.07M
--20.28M
--15.75M
--15.85M
--15.85M
----
-Current capital lease obligation
11.93%687.51K
-3.08%673.27K
18.00%685.1K
18.00%685.1K
-19.10%564.88K
-24.32%614.23K
-19.41%694.64K
5.46%580.59K
5.46%580.59K
19.20%698.22K
Current deferred liabilities
113.36%833.5K
69.47%1.1M
1,196.74%797.6K
1,196.74%797.6K
136.17%812.29K
95.65%390.65K
90.11%649.17K
-88.00%61.51K
-88.00%61.51K
-0.55%343.94K
Current liabilities
30.38%37.88M
53.48%37.94M
58.14%35.94M
58.14%35.94M
464.06%35.55M
458.63%29.05M
362.63%24.72M
391.50%22.73M
391.50%22.73M
47.57%6.3M
Non current liabilities
Long term debt and capital lease obligation
50.58%6.31M
-40.58%7.7M
-47.43%8.91M
-47.43%8.91M
137.37%6.82M
40.35%4.19M
326.99%12.95M
3,030.10%16.96M
3,030.10%16.96M
318.00%2.87M
-Long term debt
-64.61%670.72K
-81.35%1.97M
-78.53%3.11M
-78.53%3.11M
1,420.98%4.56M
531.68%1.9M
3,414.59%10.54M
4,732.90%14.5M
4,732.90%14.5M
0.00%300K
-Long term capital lease obligation
145.71%5.64M
138.06%5.73M
136.15%5.8M
136.15%5.8M
-12.39%2.25M
-14.55%2.29M
-11.93%2.41M
916.36%2.46M
916.36%2.46M
564.55%2.57M
Non current deferred liabilities
2.58%1.81M
38.57%2.18M
--2.23M
--2.23M
--2.01M
--1.76M
--1.58M
--0
--0
----
Non current accrued expenses
-44.70%22.42K
-94.69%23.29K
-34.47%26.84K
-34.47%26.84K
-5.88%36.22K
7.52%40.54K
1,000.21%438.97K
2.02%40.97K
2.02%40.97K
-5.24%38.48K
Other non current liabilities
--82.5K
--82.5K
----
----
----
----
----
----
----
----
Total non current liabilities
37.19%8.22M
-33.28%9.99M
-34.29%11.17M
-34.29%11.17M
204.66%8.87M
98.28%5.99M
387.03%14.97M
2,821.13%17M
2,821.13%17M
-78.43%2.91M
Total liabilities
31.54%46.1M
20.77%47.93M
18.60%47.11M
18.60%47.11M
382.13%44.42M
326.17%35.04M
371.54%39.69M
663.05%39.72M
663.05%39.72M
-48.12%9.21M
Shareholders'equity
Share capital
26.88%6.66K
33.50%6.56K
40.42%6.19K
40.42%6.19K
29.29%5.52K
23.06%5.25K
19.81%4.91K
7.61%4.41K
7.61%4.41K
4.63%4.27K
-common stock
26.88%6.66K
33.50%6.56K
40.42%6.19K
40.42%6.19K
29.29%5.52K
23.06%5.25K
19.81%4.91K
7.61%4.41K
7.61%4.41K
4.63%4.27K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-22.37%-216.51M
-23.97%-208.24M
-29.21%-198.36M
-29.21%-198.36M
-59.84%-184.22M
-74.01%-176.93M
-86.05%-167.97M
-91.24%-153.52M
-91.24%-153.52M
-51.40%-115.25M
Paid-in capital
4.17%235.89M
6.28%235.99M
9.33%231.49M
9.33%231.49M
9.74%229.41M
9.20%226.44M
14.56%222.05M
9.99%211.73M
9.99%211.73M
9.42%209.05M
Total stockholders'equity
-60.84%19.39M
-48.67%27.76M
-43.09%33.14M
-43.09%33.14M
-51.82%45.2M
-53.15%49.52M
-47.77%54.08M
-48.12%58.22M
-48.12%58.22M
-18.38%93.8M
Noncontrolling interests
--17.03M
--15.92M
--11.92M
--11.92M
--11.03M
----
----
--0
--0
----
Total equity
-26.44%36.42M
-19.23%43.69M
-22.61%45.06M
-22.61%45.06M
-40.06%56.22M
-53.15%49.52M
-47.77%54.08M
-48.12%58.22M
-48.12%58.22M
-18.38%93.8M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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 61.07%4.93M3.06%14.55M-49.69%14.98M-49.69%14.98M37.22%20.97M-89.06%3.06M-55.97%14.12M-27.05%29.78M-27.05%29.78M-67.82%15.28M
-Cash and cash equivalents 61.07%4.93M3.06%14.55M-49.69%14.98M-49.69%14.98M37.22%20.97M-89.06%3.06M-55.97%14.12M-27.05%29.78M-27.05%29.78M-67.82%15.28M
Receivables -33.67%3.38M186.36%3.25M114.86%4.52M114.86%4.52M531.94%5.19M1,822.87%5.1M138.94%1.13M73.45%2.1M73.45%2.1M-32.97%821.16K
-Accounts receivable -53.36%2.29M90.10%2.13M3,189.32%3.43M3,189.32%3.43M496.02%4.89M1,751.98%4.91M135.66%1.12M-91.40%104.28K-91.40%104.28K-32.97%821.16K
-Notes receivable ----------0--0--0--0--0--2M--2M----
-Taxes receivable 49.53%281.24K--326.75K--232.05K--232.05K--185.1K--188.08K------0--0----
-Other receivables --810.91K4,988.85%794.27K--859.22K--859.22K--109.89K------15.61K------------
Inventory 70.46%4.96M-0.09%3.76M0.63%2.19M0.63%2.19M80.20%2.58M128.96%2.91M188.20%3.76M84.41%2.17M84.41%2.17M11.48%1.43M
Prepaid assets 3.36%1.28M42.41%1.26M33.59%1.48M33.59%1.48M-43.06%936.03K-15.16%1.24M-52.96%883.36K-23.69%1.11M-23.69%1.11M166.07%1.64M
Restricted cash -1.07%40.38K1.65%42.15K--42.56K--42.56K--39.91K--40.81K--41.47K--0--0----
Current deferred assets ----------0--0--0--330.46K--151.43K--145.29K--145.29K----
Other current assets 17.54%479.16K-42.49%651.69K-19.98%398.55K-19.98%398.55K--554.23K--407.67K113,311,800.00%1.13M--498.08K--498.08K----
Total current assets 15.16%15.07M10.77%23.51M-34.06%23.61M-34.06%23.61M57.82%30.27M-57.79%13.09M-40.59%21.22M-19.83%35.8M-19.83%35.8M-62.11%19.18M
Non current assets
Net PPE 15.37%9.73M4.34%9.3M49.10%8.88M49.10%8.88M8.38%8.1M21.13%8.43M44.26%8.92M218.75%5.95M218.75%5.95M523.49%7.48M
-Gross PPE 31.10%14.51M18.92%13.59M91.68%12.76M91.68%12.76M34.52%10.95M47.33%11.07M72.01%11.43M190.37%6.66M190.37%6.66M413.25%8.14M
-Accumulated depreciation -81.40%-4.78M-70.66%-4.29M-452.41%-3.88M-452.41%-3.88M-330.70%-2.84M-377.93%-2.64M-441.36%-2.51M-65.52%-702.89K-65.52%-702.89K-70.91%-660.14K
Goodwill and other intangible assets -6.72%57.01M-6.03%58.05M8.46%59.08M8.46%59.08M-19.46%60.12M-18.76%61.12M-10.92%61.78M-22.40%54.47M-22.40%54.47M-7.57%74.64M
-Goodwill 0.29%27.75M0.54%27.75M8.38%27.75M8.38%27.75M-38.54%27.67M-38.54%27.67M-38.70%27.6M-43.13%25.61M-43.13%25.61M33.29%45.03M
-Other intangible assets -12.53%29.26M-11.33%30.3M8.54%31.33M8.54%31.33M9.57%32.44M10.74%33.45M40.49%34.17M14.68%28.86M14.68%28.86M-36.96%29.61M
Investments and advances ----------0--00.00%1.5M200.00%1.5M200.00%1.5M200.00%1.5M200.00%1.5M--1.5M
Non current accounts receivable ------155.56K--------------------------------
Non current prepaid assets 69.02%709.21K67.01%596.24K174.75%599.52K174.75%599.52K198.68%651.74K92.30%419.61K63.61%357.01K0.00%218.21K0.00%218.21K91.13%218.21K
Total non current assets -5.63%67.45M-6.12%68.11M10.32%68.56M10.32%68.56M-16.06%70.37M-13.80%71.47M-4.85%72.55M-14.62%62.14M-14.62%62.14M2.16%83.84M
Total assets -2.41%82.52M-2.30%91.62M-5.90%92.16M-5.90%92.16M-2.30%100.65M-25.77%84.56M-16.25%93.77M-16.60%97.95M-16.60%97.95M-22.36%103.02M
Liabilities
Current liabilities
Payables -16.70%4.27M0.53%5.57M48.66%5.18M48.66%5.18M57.62%5.57M89.32%5.13M89.52%5.54M11.25%3.48M11.25%3.48M78.55%3.53M
-accounts payable -12.65%4.27M7.90%5.57M74.56%5.18M74.56%5.18M61.02%5.47M105.77%4.89M115.42%5.17M23.01%2.97M23.01%2.97M75.76%3.4M
-Other payable -----------------28.36%96.04K-28.30%238.33K-28.24%378.51K-28.18%516.62K-28.18%516.62K198.58%134.06K
Current accrued expenses 21.54%3.2M54.08%3.22M30.36%3.59M30.36%3.59M47.18%2.54M78.11%2.64M71.93%2.09M539.20%2.75M539.20%2.75M26.98%1.73M
Current debt and capital lease obligation 41.50%29.57M70.63%28.05M60.54%26.38M60.54%26.38M3,714.04%26.63M2,474.50%20.89M1,807.21%16.44M2,884.43%16.43M2,884.43%16.43M19.20%698.22K
-Current debt 42.40%28.88M73.88%27.38M62.10%25.69M62.10%25.69M--26.07M--20.28M--15.75M--15.85M--15.85M----
-Current capital lease obligation 11.93%687.51K-3.08%673.27K18.00%685.1K18.00%685.1K-19.10%564.88K-24.32%614.23K-19.41%694.64K5.46%580.59K5.46%580.59K19.20%698.22K
Current deferred liabilities 113.36%833.5K69.47%1.1M1,196.74%797.6K1,196.74%797.6K136.17%812.29K95.65%390.65K90.11%649.17K-88.00%61.51K-88.00%61.51K-0.55%343.94K
Current liabilities 30.38%37.88M53.48%37.94M58.14%35.94M58.14%35.94M464.06%35.55M458.63%29.05M362.63%24.72M391.50%22.73M391.50%22.73M47.57%6.3M
Non current liabilities
Long term debt and capital lease obligation 50.58%6.31M-40.58%7.7M-47.43%8.91M-47.43%8.91M137.37%6.82M40.35%4.19M326.99%12.95M3,030.10%16.96M3,030.10%16.96M318.00%2.87M
-Long term debt -64.61%670.72K-81.35%1.97M-78.53%3.11M-78.53%3.11M1,420.98%4.56M531.68%1.9M3,414.59%10.54M4,732.90%14.5M4,732.90%14.5M0.00%300K
-Long term capital lease obligation 145.71%5.64M138.06%5.73M136.15%5.8M136.15%5.8M-12.39%2.25M-14.55%2.29M-11.93%2.41M916.36%2.46M916.36%2.46M564.55%2.57M
Non current deferred liabilities 2.58%1.81M38.57%2.18M--2.23M--2.23M--2.01M--1.76M--1.58M--0--0----
Non current accrued expenses -44.70%22.42K-94.69%23.29K-34.47%26.84K-34.47%26.84K-5.88%36.22K7.52%40.54K1,000.21%438.97K2.02%40.97K2.02%40.97K-5.24%38.48K
Other non current liabilities --82.5K--82.5K--------------------------------
Total non current liabilities 37.19%8.22M-33.28%9.99M-34.29%11.17M-34.29%11.17M204.66%8.87M98.28%5.99M387.03%14.97M2,821.13%17M2,821.13%17M-78.43%2.91M
Total liabilities 31.54%46.1M20.77%47.93M18.60%47.11M18.60%47.11M382.13%44.42M326.17%35.04M371.54%39.69M663.05%39.72M663.05%39.72M-48.12%9.21M
Shareholders'equity
Share capital 26.88%6.66K33.50%6.56K40.42%6.19K40.42%6.19K29.29%5.52K23.06%5.25K19.81%4.91K7.61%4.41K7.61%4.41K4.63%4.27K
-common stock 26.88%6.66K33.50%6.56K40.42%6.19K40.42%6.19K29.29%5.52K23.06%5.25K19.81%4.91K7.61%4.41K7.61%4.41K4.63%4.27K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -22.37%-216.51M-23.97%-208.24M-29.21%-198.36M-29.21%-198.36M-59.84%-184.22M-74.01%-176.93M-86.05%-167.97M-91.24%-153.52M-91.24%-153.52M-51.40%-115.25M
Paid-in capital 4.17%235.89M6.28%235.99M9.33%231.49M9.33%231.49M9.74%229.41M9.20%226.44M14.56%222.05M9.99%211.73M9.99%211.73M9.42%209.05M
Total stockholders'equity -60.84%19.39M-48.67%27.76M-43.09%33.14M-43.09%33.14M-51.82%45.2M-53.15%49.52M-47.77%54.08M-48.12%58.22M-48.12%58.22M-18.38%93.8M
Noncontrolling interests --17.03M--15.92M--11.92M--11.92M--11.03M----------0--0----
Total equity -26.44%36.42M-19.23%43.69M-22.61%45.06M-22.61%45.06M-40.06%56.22M-53.15%49.52M-47.77%54.08M-48.12%58.22M-48.12%58.22M-18.38%93.8M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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