US Stock MarketDetailed Quotes

RENE Cartesian Growth Corp II

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  • 11.620
  • 0.0000.00%
Trading Nov 19 13:22 ET
151.06MMarket Cap26.41P/E (TTM)

Cartesian Growth Corp II 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
640.39%199.76K
-82.51%38.06K
-71.38%120.72K
-90.63%50.93K
-90.63%50.93K
-95.92%26.98K
-73.27%217.63K
--421.78K
--543.67K
--543.67K
-Cash and cash equivalents
640.39%199.76K
-82.51%38.06K
-71.38%120.72K
-90.63%50.93K
-90.63%50.93K
-95.92%26.98K
-73.27%217.63K
--421.78K
--543.67K
--543.67K
Prepaid assets
-3.80%51.56K
-14.34%140.82K
-10.72%236.76K
-9.01%279.1K
-9.01%279.1K
-85.95%53.6K
-57.29%164.4K
--265.2K
--306.73K
--306.73K
Total current assets
211.89%251.32K
-53.17%178.89K
-47.96%357.47K
-61.19%330.03K
-61.19%330.03K
-92.27%80.58K
-68.14%382.03K
--686.98K
--850.4K
--850.4K
Non current assets
Other non current assets
-26.60%182.53M
-26.78%179.74M
-27.06%176.98M
-27.32%174.25M
-27.32%174.25M
4.50%248.67M
3.61%245.47M
--242.65M
--239.75M
--239.75M
Total non current assets
-26.60%182.53M
-26.78%179.74M
-27.06%176.98M
-27.32%174.25M
-27.32%174.25M
4.49%248.67M
3.56%245.47M
42,649.23%242.65M
51,610.72%239.75M
--239.75M
Total assets
-26.52%182.78M
-26.82%179.92M
-27.12%177.34M
-27.44%174.58M
-27.44%174.58M
4.07%248.75M
3.20%245.86M
42,770.26%243.34M
51,794.15%240.6M
--240.6M
Liabilities
Current liabilities
Current accrued expenses
491.70%1.29M
315.28%1.25M
317.77%1.23M
462.32%1.23M
462.32%1.23M
-8.06%218.15K
31.60%301.32K
-14.53%294.8K
-27.96%218.91K
--218.91K
Current debt and capital lease obligation
--1.65M
--1.2M
--750K
--300K
--300K
----
----
----
----
----
-Current debt
--1.65M
--1.2M
--750K
--300K
--300K
----
----
----
----
----
Current liabilities
1,248.07%2.94M
713.53%2.45M
572.18%1.98M
599.36%1.53M
599.36%1.53M
-8.06%218.15K
31.60%301.32K
-46.04%294.8K
-50.51%218.91K
--218.91K
Non current liabilities
Long term debt and capital lease obligation
21.46%4.08M
74.48%3.94M
15.94%3.89M
9.98%3.68M
9.98%3.68M
0.30%3.36M
-45.84%2.26M
--3.36M
--3.34M
--3.34M
-Long term debt
21.46%4.08M
74.48%3.94M
15.94%3.89M
9.98%3.68M
9.98%3.68M
0.30%3.36M
-45.84%2.26M
--3.36M
--3.34M
--3.34M
Non current deferred liabilities
0.00%11.5M
0.00%11.5M
0.00%11.5M
0.00%11.5M
0.00%11.5M
0.00%11.5M
0.00%11.5M
--11.5M
--11.5M
--11.5M
Derivative product liabilities
-62.79%994K
-37.11%1.67M
-38.00%1.71M
-43.49%2.16M
-43.49%2.16M
60.71%2.67M
-55.25%2.66M
--2.76M
--3.83M
--3.83M
Total non current liabilities
-5.45%16.57M
4.22%17.11M
-2.92%17.11M
-7.13%17.34M
-7.13%17.34M
6.17%17.53M
-24.04%16.42M
--17.62M
--18.67M
--18.67M
Total liabilities
9.95%19.51M
17.00%19.56M
6.54%19.09M
-0.10%18.87M
-0.10%18.87M
5.97%17.75M
-23.45%16.72M
3,179.39%17.92M
4,169.99%18.89M
--18.89M
Shareholders'equity
Share capital
-26.60%182.53M
-26.78%179.74M
-27.06%176.98M
-27.32%174.25M
-27.32%174.25M
4.50%248.67M
3.61%245.47M
42,199,656.52%242.65M
41,694,940.35%239.75M
--239.75M
-common stock
-26.60%182.53M
-26.78%179.74M
-27.06%176.98M
-27.32%174.25M
-27.32%174.25M
4.50%248.67M
3.61%245.47M
42,199,656.52%242.65M
41,694,940.35%239.75M
--239.75M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-9.03%-19.26M
-18.64%-19.38M
-8.72%-18.73M
-2.78%-18.54M
-2.78%-18.54M
-12.71%-17.67M
20.39%-16.34M
-462,204.13%-17.23M
-483,900.91%-18.04M
---18.04M
Paid-in capital
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total stockholders'equity
-29.32%163.26M
-30.02%160.35M
-29.80%158.25M
-29.77%155.71M
-29.77%155.71M
3.93%231M
5.89%229.14M
1,059,546.15%225.42M
1,042,102.64%221.71M
--221.71M
Total equity
-29.32%163.26M
-30.02%160.35M
-29.80%158.25M
-29.77%155.71M
-29.77%155.71M
3.93%231M
5.89%229.14M
1,059,546.15%225.42M
1,042,102.64%221.71M
--221.71M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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--
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Unqualified Opinion with Explanatory Notes
--
(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 640.39%199.76K-82.51%38.06K-71.38%120.72K-90.63%50.93K-90.63%50.93K-95.92%26.98K-73.27%217.63K--421.78K--543.67K--543.67K
-Cash and cash equivalents 640.39%199.76K-82.51%38.06K-71.38%120.72K-90.63%50.93K-90.63%50.93K-95.92%26.98K-73.27%217.63K--421.78K--543.67K--543.67K
Prepaid assets -3.80%51.56K-14.34%140.82K-10.72%236.76K-9.01%279.1K-9.01%279.1K-85.95%53.6K-57.29%164.4K--265.2K--306.73K--306.73K
Total current assets 211.89%251.32K-53.17%178.89K-47.96%357.47K-61.19%330.03K-61.19%330.03K-92.27%80.58K-68.14%382.03K--686.98K--850.4K--850.4K
Non current assets
Other non current assets -26.60%182.53M-26.78%179.74M-27.06%176.98M-27.32%174.25M-27.32%174.25M4.50%248.67M3.61%245.47M--242.65M--239.75M--239.75M
Total non current assets -26.60%182.53M-26.78%179.74M-27.06%176.98M-27.32%174.25M-27.32%174.25M4.49%248.67M3.56%245.47M42,649.23%242.65M51,610.72%239.75M--239.75M
Total assets -26.52%182.78M-26.82%179.92M-27.12%177.34M-27.44%174.58M-27.44%174.58M4.07%248.75M3.20%245.86M42,770.26%243.34M51,794.15%240.6M--240.6M
Liabilities
Current liabilities
Current accrued expenses 491.70%1.29M315.28%1.25M317.77%1.23M462.32%1.23M462.32%1.23M-8.06%218.15K31.60%301.32K-14.53%294.8K-27.96%218.91K--218.91K
Current debt and capital lease obligation --1.65M--1.2M--750K--300K--300K--------------------
-Current debt --1.65M--1.2M--750K--300K--300K--------------------
Current liabilities 1,248.07%2.94M713.53%2.45M572.18%1.98M599.36%1.53M599.36%1.53M-8.06%218.15K31.60%301.32K-46.04%294.8K-50.51%218.91K--218.91K
Non current liabilities
Long term debt and capital lease obligation 21.46%4.08M74.48%3.94M15.94%3.89M9.98%3.68M9.98%3.68M0.30%3.36M-45.84%2.26M--3.36M--3.34M--3.34M
-Long term debt 21.46%4.08M74.48%3.94M15.94%3.89M9.98%3.68M9.98%3.68M0.30%3.36M-45.84%2.26M--3.36M--3.34M--3.34M
Non current deferred liabilities 0.00%11.5M0.00%11.5M0.00%11.5M0.00%11.5M0.00%11.5M0.00%11.5M0.00%11.5M--11.5M--11.5M--11.5M
Derivative product liabilities -62.79%994K-37.11%1.67M-38.00%1.71M-43.49%2.16M-43.49%2.16M60.71%2.67M-55.25%2.66M--2.76M--3.83M--3.83M
Total non current liabilities -5.45%16.57M4.22%17.11M-2.92%17.11M-7.13%17.34M-7.13%17.34M6.17%17.53M-24.04%16.42M--17.62M--18.67M--18.67M
Total liabilities 9.95%19.51M17.00%19.56M6.54%19.09M-0.10%18.87M-0.10%18.87M5.97%17.75M-23.45%16.72M3,179.39%17.92M4,169.99%18.89M--18.89M
Shareholders'equity
Share capital -26.60%182.53M-26.78%179.74M-27.06%176.98M-27.32%174.25M-27.32%174.25M4.50%248.67M3.61%245.47M42,199,656.52%242.65M41,694,940.35%239.75M--239.75M
-common stock -26.60%182.53M-26.78%179.74M-27.06%176.98M-27.32%174.25M-27.32%174.25M4.50%248.67M3.61%245.47M42,199,656.52%242.65M41,694,940.35%239.75M--239.75M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -9.03%-19.26M-18.64%-19.38M-8.72%-18.73M-2.78%-18.54M-2.78%-18.54M-12.71%-17.67M20.39%-16.34M-462,204.13%-17.23M-483,900.91%-18.04M---18.04M
Paid-in capital --0--0--0--0--0--0--0--0--0--0
Total stockholders'equity -29.32%163.26M-30.02%160.35M-29.80%158.25M-29.77%155.71M-29.77%155.71M3.93%231M5.89%229.14M1,059,546.15%225.42M1,042,102.64%221.71M--221.71M
Total equity -29.32%163.26M-30.02%160.35M-29.80%158.25M-29.77%155.71M-29.77%155.71M3.93%231M5.89%229.14M1,059,546.15%225.42M1,042,102.64%221.71M--221.71M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----------------Unqualified Opinion with Explanatory Notes--

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