CA Stock MarketDetailed Quotes

PXE P2Earn Inc

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  • 0.005
  • -0.005-50.00%
15min DelayMarket Closed Jul 19 15:54 ET
471.20KMarket Cap-44P/E (TTM)

P2Earn Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-76.23%18.21K
-87.42%7.76K
-87.42%7.76K
-98.17%1.91K
-76.30%3.79K
-75.91%76.61K
-90.76%61.7K
-90.76%61.7K
7,448.01%104.54K
-95.67%15.99K
-Cash and cash equivalents
-76.23%18.21K
-87.42%7.76K
-87.42%7.76K
-98.17%1.91K
-76.30%3.79K
-75.91%76.61K
-90.76%61.7K
-90.76%61.7K
7,448.01%104.54K
-95.67%15.99K
-Accounts receivable
-38.89%24.68K
-47.37%24.68K
-47.37%24.68K
1,206.42%242.94K
-39.76%156.99K
-82.27%40.39K
-86.00%46.9K
-86.00%46.9K
--18.6K
--260.62K
-Due from related parties current
--0
--146.3K
--146.3K
----
----
----
--0
--0
----
----
Total current assets
-72.70%47.77K
19.21%184.11K
19.21%184.11K
37.87%276.23K
-32.91%193.67K
-68.60%174.99K
-85.07%154.44K
-85.07%154.44K
-2.16%200.36K
-50.36%288.68K
Non current assets
-Accumulated depreciation
89.15%-72.08K
83.61%-70.9K
83.61%-70.9K
25.52%-213.85K
-24,050.34%-895.74K
-3,257.00%-664.22K
-3,187.97%-432.7K
-3,187.97%-432.7K
-920.17%-287.12K
35.11%-3.71K
-Long term equity investment
----
--0
--0
--0
--0
-84.65%12.77K
-67.74%31.53K
-67.74%31.53K
-55.78%49.83K
-46.83%67.68K
-Goodwill
----
--0
--0
--4.83M
12,787.88%4.83M
--4.83M
--4.83M
--4.83M
----
--37.47K
Regulatory assets
-38.89%24.68K
264.55%170.98K
264.55%170.98K
1,206.42%242.94K
-39.76%156.99K
-82.27%40.39K
-86.00%46.9K
-86.00%46.9K
-87.59%18.6K
35.19%260.62K
Liabilities
Current liabilities
Current debt and capital lease obligation
-82.27%12.77K
-54.85%31.53K
-54.85%31.53K
-26.37%49.83K
3.20%67.68K
10.55%72.03K
7.17%69.82K
7.17%69.82K
5.09%67.67K
3.03%65.58K
-Current capital lease obligation
-82.27%12.77K
-54.85%31.53K
-54.85%31.53K
-26.37%49.83K
3.20%67.68K
10.55%72.03K
7.17%69.82K
7.17%69.82K
5.09%67.67K
3.03%65.58K
-accounts payable
43.10%663.48K
36.45%669.86K
36.45%669.86K
-15.31%952.01K
-49.07%542.22K
-51.17%463.66K
-54.81%490.92K
-54.81%490.92K
-15.12%1.12M
-9.57%1.06M
-Total tax payable
-99.22%3.16K
-99.30%3.16K
-99.30%3.16K
-88.13%40.31K
-32.33%364.51K
-85.24%405.65K
-80.60%452.69K
-80.60%452.69K
-78.42%339.65K
-83.70%538.65K
-Due to related parties current
44.28%754.63K
47.39%758.75K
47.39%758.75K
-13.24%314.77K
100.87%477.95K
259.18%523.02K
180.77%514.78K
180.77%514.78K
145.50%362.79K
--237.94K
Current liabilities
-5.52%1.43M
29.58%1.46M
29.58%1.46M
-18.59%1.72M
-43.89%1.19M
-18.09%1.52M
-44.30%1.13M
-44.30%1.13M
4.82%2.12M
22.92%2.12M
Non current liabilities
-Long term debt
----
--0
--0
--0
--0
-84.65%12.77K
-67.74%31.53K
-67.74%31.53K
-55.78%49.83K
-46.83%67.68K
Non current accrued expenses
-98.24%20.18K
-97.30%37.65K
-97.30%37.65K
-79.81%243.4K
-33.21%899.2K
465.59%1.15M
517.96%1.39M
517.96%1.39M
373.04%1.21M
583.32%1.35M
Derivative product liabilities
-99.19%3.16K
-99.25%3.16K
-99.25%3.16K
-86.09%40.31K
-22.60%364.51K
-85.26%392.88K
-81.16%421.16K
-81.16%421.16K
-80.16%289.82K
-85.18%470.97K
Total non current liabilities
-25.29%1.44M
-7.33%1.47M
-7.33%1.47M
-28.20%1.77M
-41.55%1.55M
-58.22%1.92M
-63.74%1.58M
-63.74%1.58M
-31.62%2.46M
-47.12%2.66M
Shareholders'equity
Share capital
4.73%31.96M
4.73%31.96M
4.73%31.96M
18.87%32.16M
19.07%32.16M
12.97%30.51M
12.96%30.51M
12.96%30.51M
-3.49%27.05M
8.52%27.01M
-common stock
4.73%31.96M
4.73%31.96M
4.73%31.96M
18.87%32.16M
19.07%32.16M
12.97%30.51M
12.96%30.51M
12.96%30.51M
-3.49%27.05M
8.52%27.01M
Additional paid-in capital
--1.86M
0.00%1.86M
0.00%1.86M
----
----
----
--1.86M
--1.86M
----
----
Gains losses not affecting retained earnings
-113.60%-221.96K
0.01%-221.96K
0.01%-221.96K
-0.43%1.63M
2.21%1.63M
2.66%1.63M
-113.96%-221.98K
-113.96%-221.98K
3.23%1.63M
3.26%1.59M
Other equity interest
-95.72%2.38K
-94.76%2.38K
-94.76%2.38K
-60.13%30.41K
185.66%30.41K
--55.52K
--45.37K
--45.37K
--76.28K
--10.65K
Total equity
-98.58%87.58K
-96.23%241.39K
-96.23%241.39K
277.08%5.37M
251.51%5.95M
210.10%6.18M
157.45%6.4M
157.45%6.4M
-69.73%1.43M
117.33%1.69M
(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(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -76.23%18.21K-87.42%7.76K-87.42%7.76K-98.17%1.91K-76.30%3.79K-75.91%76.61K-90.76%61.7K-90.76%61.7K7,448.01%104.54K-95.67%15.99K
-Cash and cash equivalents -76.23%18.21K-87.42%7.76K-87.42%7.76K-98.17%1.91K-76.30%3.79K-75.91%76.61K-90.76%61.7K-90.76%61.7K7,448.01%104.54K-95.67%15.99K
-Accounts receivable -38.89%24.68K-47.37%24.68K-47.37%24.68K1,206.42%242.94K-39.76%156.99K-82.27%40.39K-86.00%46.9K-86.00%46.9K--18.6K--260.62K
-Due from related parties current --0--146.3K--146.3K--------------0--0--------
Total current assets -72.70%47.77K19.21%184.11K19.21%184.11K37.87%276.23K-32.91%193.67K-68.60%174.99K-85.07%154.44K-85.07%154.44K-2.16%200.36K-50.36%288.68K
Non current assets
-Accumulated depreciation 89.15%-72.08K83.61%-70.9K83.61%-70.9K25.52%-213.85K-24,050.34%-895.74K-3,257.00%-664.22K-3,187.97%-432.7K-3,187.97%-432.7K-920.17%-287.12K35.11%-3.71K
-Long term equity investment ------0--0--0--0-84.65%12.77K-67.74%31.53K-67.74%31.53K-55.78%49.83K-46.83%67.68K
-Goodwill ------0--0--4.83M12,787.88%4.83M--4.83M--4.83M--4.83M------37.47K
Regulatory assets -38.89%24.68K264.55%170.98K264.55%170.98K1,206.42%242.94K-39.76%156.99K-82.27%40.39K-86.00%46.9K-86.00%46.9K-87.59%18.6K35.19%260.62K
Liabilities
Current liabilities
Current debt and capital lease obligation -82.27%12.77K-54.85%31.53K-54.85%31.53K-26.37%49.83K3.20%67.68K10.55%72.03K7.17%69.82K7.17%69.82K5.09%67.67K3.03%65.58K
-Current capital lease obligation -82.27%12.77K-54.85%31.53K-54.85%31.53K-26.37%49.83K3.20%67.68K10.55%72.03K7.17%69.82K7.17%69.82K5.09%67.67K3.03%65.58K
-accounts payable 43.10%663.48K36.45%669.86K36.45%669.86K-15.31%952.01K-49.07%542.22K-51.17%463.66K-54.81%490.92K-54.81%490.92K-15.12%1.12M-9.57%1.06M
-Total tax payable -99.22%3.16K-99.30%3.16K-99.30%3.16K-88.13%40.31K-32.33%364.51K-85.24%405.65K-80.60%452.69K-80.60%452.69K-78.42%339.65K-83.70%538.65K
-Due to related parties current 44.28%754.63K47.39%758.75K47.39%758.75K-13.24%314.77K100.87%477.95K259.18%523.02K180.77%514.78K180.77%514.78K145.50%362.79K--237.94K
Current liabilities -5.52%1.43M29.58%1.46M29.58%1.46M-18.59%1.72M-43.89%1.19M-18.09%1.52M-44.30%1.13M-44.30%1.13M4.82%2.12M22.92%2.12M
Non current liabilities
-Long term debt ------0--0--0--0-84.65%12.77K-67.74%31.53K-67.74%31.53K-55.78%49.83K-46.83%67.68K
Non current accrued expenses -98.24%20.18K-97.30%37.65K-97.30%37.65K-79.81%243.4K-33.21%899.2K465.59%1.15M517.96%1.39M517.96%1.39M373.04%1.21M583.32%1.35M
Derivative product liabilities -99.19%3.16K-99.25%3.16K-99.25%3.16K-86.09%40.31K-22.60%364.51K-85.26%392.88K-81.16%421.16K-81.16%421.16K-80.16%289.82K-85.18%470.97K
Total non current liabilities -25.29%1.44M-7.33%1.47M-7.33%1.47M-28.20%1.77M-41.55%1.55M-58.22%1.92M-63.74%1.58M-63.74%1.58M-31.62%2.46M-47.12%2.66M
Shareholders'equity
Share capital 4.73%31.96M4.73%31.96M4.73%31.96M18.87%32.16M19.07%32.16M12.97%30.51M12.96%30.51M12.96%30.51M-3.49%27.05M8.52%27.01M
-common stock 4.73%31.96M4.73%31.96M4.73%31.96M18.87%32.16M19.07%32.16M12.97%30.51M12.96%30.51M12.96%30.51M-3.49%27.05M8.52%27.01M
Additional paid-in capital --1.86M0.00%1.86M0.00%1.86M--------------1.86M--1.86M--------
Gains losses not affecting retained earnings -113.60%-221.96K0.01%-221.96K0.01%-221.96K-0.43%1.63M2.21%1.63M2.66%1.63M-113.96%-221.98K-113.96%-221.98K3.23%1.63M3.26%1.59M
Other equity interest -95.72%2.38K-94.76%2.38K-94.76%2.38K-60.13%30.41K185.66%30.41K--55.52K--45.37K--45.37K--76.28K--10.65K
Total equity -98.58%87.58K-96.23%241.39K-96.23%241.39K277.08%5.37M251.51%5.95M210.10%6.18M157.45%6.4M157.45%6.4M-69.73%1.43M117.33%1.69M

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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