US Stock MarketDetailed Quotes

RENB Renovaro

Watchlist
  • 1.760
  • +0.040+2.33%
Close Dec 13 16:00 ET
  • 1.710
  • -0.050-2.84%
Post 20:01 ET
279.34MMarket Cap-1.80P/E (TTM)

Renovaro Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-57.86%220.57K
-88.24%220.47K
-88.24%220.47K
-89.39%312.7K
-94.08%243.98K
-93.43%523.47K
-79.56%1.87M
-79.56%1.87M
-73.56%2.95M
-69.95%4.12M
-Cash and cash equivalents
-57.86%220.57K
-88.24%220.47K
-88.24%220.47K
-89.39%312.7K
-94.08%243.98K
-93.43%523.47K
-79.56%1.87M
-79.56%1.87M
-73.56%2.95M
-69.95%4.12M
Receivables
17.44%1.24M
--1.11M
--1.11M
----
--1.07M
--1.06M
--0
--0
----
----
-Notes receivable
----
----
----
----
--1.07M
--1.06M
----
----
----
----
-Other receivables
--1.24M
--1.11M
--1.11M
----
----
----
----
----
----
----
Other current assets
49.32%485.23K
-3.18%668.93K
-3.18%668.93K
-7.32%907.22K
-14.56%1.09M
102.31%324.97K
75.81%690.93K
75.81%690.93K
--978.88K
--1.27M
Total current assets
2.20%1.95M
-22.13%2M
-22.13%2M
-68.93%1.22M
-55.41%2.4M
-76.56%1.91M
-73.18%2.57M
-73.18%2.57M
-66.42%3.93M
-63.13%5.39M
Non current assets
Net PPE
19.06%1.6M
23.11%1.75M
23.11%1.75M
25.54%1.87M
-16.54%1.31M
-17.00%1.35M
-18.39%1.42M
-18.39%1.42M
-20.10%1.49M
-20.21%1.57M
-Gross PPE
-12.77%1.6M
23.43%2.33M
23.43%2.33M
25.42%2.42M
-7.72%1.83M
-8.41%1.84M
-10.15%1.89M
-10.15%1.89M
-12.72%1.93M
-13.24%1.98M
-Accumulated depreciation
----
-24.43%-578.34K
-24.43%-578.34K
-25.00%-547.99K
-25.93%-518.48K
-27.81%-491.28K
-30.02%-464.8K
-30.02%-464.8K
-27.27%-438.39K
-30.11%-411.73K
Goodwill and other intangible assets
117.73%118.2M
193.53%159.36M
193.53%159.36M
185.54%209.16M
-25.90%54.28M
-25.89%54.29M
-25.89%54.29M
-25.89%54.29M
-56.01%73.25M
-56.01%73.25M
-Goodwill
915.22%118.17M
1,268.82%159.33M
1,268.82%159.33M
1,310.54%164.19M
0.00%11.64M
0.00%11.64M
0.00%11.64M
0.00%11.64M
0.00%11.64M
0.00%11.64M
-Other intangible assets
-99.93%28.75K
-99.93%30.04K
-99.93%30.04K
-27.00%44.98M
-30.79%42.64M
-30.78%42.65M
-30.78%42.65M
-30.78%42.65M
-60.22%61.61M
-60.22%61.61M
Other non current assets
275.76%81.7K
-8.70%19.85K
-8.70%19.85K
-62.89%21.74K
-64.90%21.74K
-66.70%21.74K
-68.32%21.74K
-68.32%21.74K
--58.59K
--61.94K
Total non current assets
115.40%119.88M
189.10%161.13M
189.10%161.13M
182.15%211.06M
-25.73%55.61M
-25.73%55.66M
-25.75%55.74M
-25.75%55.74M
-55.58%74.8M
-55.56%74.88M
Total assets
111.65%121.83M
179.81%163.13M
179.81%163.13M
169.63%212.28M
-27.72%58.02M
-30.71%57.56M
-31.11%58.3M
-31.11%58.3M
-56.29%78.73M
-56.17%80.27M
Liabilities
Current liabilities
Payables
110.33%11.4M
78.38%9.45M
78.38%9.45M
78.71%7.99M
22.45%5.58M
15.77%5.42M
277.84%5.3M
277.84%5.3M
818.11%4.47M
2,631.77%4.56M
-accounts payable
110.33%11.4M
78.38%9.45M
78.38%9.45M
78.71%7.99M
22.45%5.58M
15.77%5.42M
277.84%5.3M
277.84%5.3M
818.11%4.47M
2,631.77%4.56M
Current accrued expenses
571.80%5.36M
634.45%5.31M
634.45%5.31M
532.44%3.75M
-15.98%783.6K
-23.46%797.78K
-29.89%723.17K
-29.89%723.17K
27.32%593.73K
84.90%932.6K
Current debt and capital lease obligation
-19.75%3.11M
-38.89%2.94M
-38.89%2.94M
22.48%7.6M
36.49%6.73M
177.20%3.88M
231.47%4.82M
231.47%4.82M
-1.17%6.21M
-2.04%4.93M
-Current debt
-28.83%2.61M
-47.00%2.45M
-47.00%2.45M
18.64%7.12M
37.72%6.51M
205.23%3.66M
285.41%4.62M
285.41%4.62M
-0.02%6M
-0.03%4.73M
-Current capital lease obligation
135.57%504.25K
155.17%493.55K
155.17%493.55K
134.32%483.23K
7.77%218.09K
7.81%214.06K
-23.74%193.42K
-23.74%193.42K
-26.00%206.22K
-33.32%202.37K
Other current liabilities
--3.16M
6,723.56%12.61M
6,723.56%12.61M
204.53%1.53M
-23.54%669.38K
----
-92.80%184.73K
-92.80%184.73K
80.42%501.05K
75.13%875.42K
Current liabilities
128.17%23.04M
174.97%30.31M
174.97%30.31M
77.30%20.87M
21.84%13.76M
41.02%10.1M
70.88%11.02M
70.88%11.02M
56.73%11.77M
82.07%11.29M
Non current liabilities
Long term debt and capital lease obligation
-1.46%710.26K
8.61%842.39K
8.61%842.39K
17.02%970.35K
-68.10%664.22K
-87.10%720.8K
-86.06%775.59K
-86.06%775.59K
-19.92%829.21K
-8.86%2.08M
-Long term debt
----
----
----
----
----
----
----
----
----
0.00%1.2M
-Long term capital lease obligation
-1.46%710.26K
8.61%842.39K
8.61%842.39K
17.02%970.35K
-24.72%664.22K
-22.90%720.8K
-21.32%775.59K
-21.32%775.59K
-19.92%829.21K
-18.66%882.3K
Non current deferred liabilities
----
----
----
--2.77M
----
----
----
----
----
----
Other non current liabilities
----
----
----
--19.06M
----
----
----
----
----
----
Total non current liabilities
-1.46%710.26K
8.61%842.39K
8.61%842.39K
2,650.77%22.81M
-68.10%664.22K
-87.10%720.8K
-86.06%775.59K
-86.06%775.59K
-92.69%829.21K
-81.60%2.08M
Total liabilities
119.53%23.75M
164.03%31.15M
164.03%31.15M
246.63%43.68M
7.84%14.42M
-15.14%10.82M
-1.79%11.8M
-1.79%11.8M
-33.17%12.6M
-23.65%13.37M
Shareholders'equity
Share capital
137.86%15.76K
143.35%15.5K
143.35%15.5K
154.31%14.75K
21.68%6.78K
19.36%6.63K
20.16%6.37K
20.16%6.37K
9.85%5.8K
5.87%5.57K
-common stock
139.89%15.76K
143.35%15.5K
143.35%15.5K
154.31%14.75K
20.67%6.72K
18.35%6.57K
20.16%6.37K
20.16%6.37K
9.85%5.8K
5.87%5.57K
-Preferred stock
--0
--0
--0
--0
--56
--56
--0
--0
--0
--0
Retained earnings
-45.69%-368.89M
-33.05%-324.68M
-33.05%-324.68M
-24.42%-274.76M
-19.04%-257.73M
-19.41%-253.2M
-19.42%-244.03M
-19.42%-244.03M
-93.53%-220.83M
-100.64%-216.5M
Paid-in capital
53.55%460.67M
57.22%456.81M
57.22%456.81M
54.12%442.3M
6.32%301.35M
6.23%300.01M
4.90%290.55M
4.90%290.55M
4.22%286.99M
3.61%283.43M
Gains losses not affecting retained earnings
9,865.70%6.3M
-471.74%-170.85K
-471.74%-170.85K
3,292.74%1.03M
10.05%-27.23K
-68.85%-64.48K
1.82%-29.88K
1.82%-29.88K
-50.67%-32.39K
-60.89%-30.28K
Total stockholders'equity
109.83%98.09M
183.81%131.98M
183.81%131.98M
154.95%168.6M
-34.83%43.6M
-33.53%46.75M
-35.96%46.5M
-35.96%46.5M
-58.99%66.13M
-59.61%66.9M
Total equity
109.83%98.09M
183.81%131.98M
183.81%131.98M
154.95%168.6M
-34.83%43.6M
-33.53%46.75M
-35.96%46.5M
-35.96%46.5M
-58.99%66.13M
-59.61%66.9M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -57.86%220.57K-88.24%220.47K-88.24%220.47K-89.39%312.7K-94.08%243.98K-93.43%523.47K-79.56%1.87M-79.56%1.87M-73.56%2.95M-69.95%4.12M
-Cash and cash equivalents -57.86%220.57K-88.24%220.47K-88.24%220.47K-89.39%312.7K-94.08%243.98K-93.43%523.47K-79.56%1.87M-79.56%1.87M-73.56%2.95M-69.95%4.12M
Receivables 17.44%1.24M--1.11M--1.11M------1.07M--1.06M--0--0--------
-Notes receivable ------------------1.07M--1.06M----------------
-Other receivables --1.24M--1.11M--1.11M----------------------------
Other current assets 49.32%485.23K-3.18%668.93K-3.18%668.93K-7.32%907.22K-14.56%1.09M102.31%324.97K75.81%690.93K75.81%690.93K--978.88K--1.27M
Total current assets 2.20%1.95M-22.13%2M-22.13%2M-68.93%1.22M-55.41%2.4M-76.56%1.91M-73.18%2.57M-73.18%2.57M-66.42%3.93M-63.13%5.39M
Non current assets
Net PPE 19.06%1.6M23.11%1.75M23.11%1.75M25.54%1.87M-16.54%1.31M-17.00%1.35M-18.39%1.42M-18.39%1.42M-20.10%1.49M-20.21%1.57M
-Gross PPE -12.77%1.6M23.43%2.33M23.43%2.33M25.42%2.42M-7.72%1.83M-8.41%1.84M-10.15%1.89M-10.15%1.89M-12.72%1.93M-13.24%1.98M
-Accumulated depreciation -----24.43%-578.34K-24.43%-578.34K-25.00%-547.99K-25.93%-518.48K-27.81%-491.28K-30.02%-464.8K-30.02%-464.8K-27.27%-438.39K-30.11%-411.73K
Goodwill and other intangible assets 117.73%118.2M193.53%159.36M193.53%159.36M185.54%209.16M-25.90%54.28M-25.89%54.29M-25.89%54.29M-25.89%54.29M-56.01%73.25M-56.01%73.25M
-Goodwill 915.22%118.17M1,268.82%159.33M1,268.82%159.33M1,310.54%164.19M0.00%11.64M0.00%11.64M0.00%11.64M0.00%11.64M0.00%11.64M0.00%11.64M
-Other intangible assets -99.93%28.75K-99.93%30.04K-99.93%30.04K-27.00%44.98M-30.79%42.64M-30.78%42.65M-30.78%42.65M-30.78%42.65M-60.22%61.61M-60.22%61.61M
Other non current assets 275.76%81.7K-8.70%19.85K-8.70%19.85K-62.89%21.74K-64.90%21.74K-66.70%21.74K-68.32%21.74K-68.32%21.74K--58.59K--61.94K
Total non current assets 115.40%119.88M189.10%161.13M189.10%161.13M182.15%211.06M-25.73%55.61M-25.73%55.66M-25.75%55.74M-25.75%55.74M-55.58%74.8M-55.56%74.88M
Total assets 111.65%121.83M179.81%163.13M179.81%163.13M169.63%212.28M-27.72%58.02M-30.71%57.56M-31.11%58.3M-31.11%58.3M-56.29%78.73M-56.17%80.27M
Liabilities
Current liabilities
Payables 110.33%11.4M78.38%9.45M78.38%9.45M78.71%7.99M22.45%5.58M15.77%5.42M277.84%5.3M277.84%5.3M818.11%4.47M2,631.77%4.56M
-accounts payable 110.33%11.4M78.38%9.45M78.38%9.45M78.71%7.99M22.45%5.58M15.77%5.42M277.84%5.3M277.84%5.3M818.11%4.47M2,631.77%4.56M
Current accrued expenses 571.80%5.36M634.45%5.31M634.45%5.31M532.44%3.75M-15.98%783.6K-23.46%797.78K-29.89%723.17K-29.89%723.17K27.32%593.73K84.90%932.6K
Current debt and capital lease obligation -19.75%3.11M-38.89%2.94M-38.89%2.94M22.48%7.6M36.49%6.73M177.20%3.88M231.47%4.82M231.47%4.82M-1.17%6.21M-2.04%4.93M
-Current debt -28.83%2.61M-47.00%2.45M-47.00%2.45M18.64%7.12M37.72%6.51M205.23%3.66M285.41%4.62M285.41%4.62M-0.02%6M-0.03%4.73M
-Current capital lease obligation 135.57%504.25K155.17%493.55K155.17%493.55K134.32%483.23K7.77%218.09K7.81%214.06K-23.74%193.42K-23.74%193.42K-26.00%206.22K-33.32%202.37K
Other current liabilities --3.16M6,723.56%12.61M6,723.56%12.61M204.53%1.53M-23.54%669.38K-----92.80%184.73K-92.80%184.73K80.42%501.05K75.13%875.42K
Current liabilities 128.17%23.04M174.97%30.31M174.97%30.31M77.30%20.87M21.84%13.76M41.02%10.1M70.88%11.02M70.88%11.02M56.73%11.77M82.07%11.29M
Non current liabilities
Long term debt and capital lease obligation -1.46%710.26K8.61%842.39K8.61%842.39K17.02%970.35K-68.10%664.22K-87.10%720.8K-86.06%775.59K-86.06%775.59K-19.92%829.21K-8.86%2.08M
-Long term debt ------------------------------------0.00%1.2M
-Long term capital lease obligation -1.46%710.26K8.61%842.39K8.61%842.39K17.02%970.35K-24.72%664.22K-22.90%720.8K-21.32%775.59K-21.32%775.59K-19.92%829.21K-18.66%882.3K
Non current deferred liabilities --------------2.77M------------------------
Other non current liabilities --------------19.06M------------------------
Total non current liabilities -1.46%710.26K8.61%842.39K8.61%842.39K2,650.77%22.81M-68.10%664.22K-87.10%720.8K-86.06%775.59K-86.06%775.59K-92.69%829.21K-81.60%2.08M
Total liabilities 119.53%23.75M164.03%31.15M164.03%31.15M246.63%43.68M7.84%14.42M-15.14%10.82M-1.79%11.8M-1.79%11.8M-33.17%12.6M-23.65%13.37M
Shareholders'equity
Share capital 137.86%15.76K143.35%15.5K143.35%15.5K154.31%14.75K21.68%6.78K19.36%6.63K20.16%6.37K20.16%6.37K9.85%5.8K5.87%5.57K
-common stock 139.89%15.76K143.35%15.5K143.35%15.5K154.31%14.75K20.67%6.72K18.35%6.57K20.16%6.37K20.16%6.37K9.85%5.8K5.87%5.57K
-Preferred stock --0--0--0--0--56--56--0--0--0--0
Retained earnings -45.69%-368.89M-33.05%-324.68M-33.05%-324.68M-24.42%-274.76M-19.04%-257.73M-19.41%-253.2M-19.42%-244.03M-19.42%-244.03M-93.53%-220.83M-100.64%-216.5M
Paid-in capital 53.55%460.67M57.22%456.81M57.22%456.81M54.12%442.3M6.32%301.35M6.23%300.01M4.90%290.55M4.90%290.55M4.22%286.99M3.61%283.43M
Gains losses not affecting retained earnings 9,865.70%6.3M-471.74%-170.85K-471.74%-170.85K3,292.74%1.03M10.05%-27.23K-68.85%-64.48K1.82%-29.88K1.82%-29.88K-50.67%-32.39K-60.89%-30.28K
Total stockholders'equity 109.83%98.09M183.81%131.98M183.81%131.98M154.95%168.6M-34.83%43.6M-33.53%46.75M-35.96%46.5M-35.96%46.5M-58.99%66.13M-59.61%66.9M
Total equity 109.83%98.09M183.81%131.98M183.81%131.98M154.95%168.6M-34.83%43.6M-33.53%46.75M-35.96%46.5M-35.96%46.5M-58.99%66.13M-59.61%66.9M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------
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