US Stock MarketDetailed Quotes

RSLS ReShape Lifesciences

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  • 6.0200
  • -0.0300-0.50%
Close Nov 5 16:00 ET
3.05MMarket Cap0.25P/E (TTM)

ReShape Lifesciences 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
-76.94%1.05M
-73.52%2.38M
15.67%4.46M
15.67%4.46M
-76.42%1.45M
-60.27%4.57M
-41.71%8.98M
-83.07%3.86M
-83.07%3.86M
-78.98%6.15M
-Cash and cash equivalents
-76.94%1.05M
-73.52%2.38M
15.67%4.46M
15.67%4.46M
-76.42%1.45M
-60.27%4.57M
-41.71%8.98M
-83.07%3.86M
-83.07%3.86M
-78.98%6.15M
Receivables
-31.45%1.4M
-27.47%1.59M
-21.74%1.71M
-21.74%1.71M
-0.99%2.21M
-16.75%2.04M
-8.92%2.2M
-22.56%2.18M
-22.56%2.18M
-35.49%2.23M
-Accounts receivable
-20.24%2.02M
-21.21%2.02M
-4.90%2.46M
-4.90%2.46M
-5.19%3.01M
-25.19%2.53M
-26.54%2.57M
-35.04%2.59M
-35.04%2.59M
-19.24%3.18M
-Taxes receivable
-76.19%15K
-62.86%26K
--47K
--47K
--55K
--63K
--70K
--0
--0
----
-Recievables adjustments allowances
-14.59%-636K
-3.15%-458K
-96.10%-804K
-96.10%-804K
9.29%-859K
40.58%-555K
59.15%-444K
65.02%-410K
65.02%-410K
-98.53%-947K
Inventory
-0.67%3.25M
-0.74%3.47M
3.60%3.74M
3.60%3.74M
-23.18%3.2M
-22.67%3.27M
-12.63%3.49M
20.25%3.61M
20.25%3.61M
30.10%4.17M
Prepaid assets
-52.82%184K
6.00%212K
86.42%151K
86.42%151K
-60.21%306K
-63.62%390K
-87.05%200K
-92.75%81K
-92.75%81K
-40.20%769K
Restricted cash
0.00%100K
0.00%100K
0.00%100K
0.00%100K
0.00%100K
100.00%100K
100.00%100K
100.00%100K
100.00%100K
100.00%100K
Other current assets
-40.88%107K
-44.23%145K
65.48%139K
65.48%139K
-15.92%132K
-8.12%181K
20.93%260K
-55.32%84K
-55.32%84K
-54.76%157K
Total current assets
-42.27%6.09M
-48.16%7.9M
3.88%10.3M
3.88%10.3M
-45.49%7.4M
-45.89%10.54M
-35.54%15.23M
-66.89%9.91M
-66.89%9.91M
-63.89%13.57M
Non current assets
Net PPE
-73.85%250K
-63.06%280K
-64.33%310K
-64.33%310K
-70.11%344K
-21.96%956K
-60.00%758K
-49.48%869K
-49.48%869K
-43.91%1.15M
-Gross PPE
-73.85%250K
-63.06%280K
-66.67%400K
-66.67%400K
-70.11%344K
-21.96%956K
-60.00%758K
-41.75%1.2M
-41.75%1.2M
-43.91%1.15M
-Accumulated depreciation
----
----
72.81%-90K
72.81%-90K
----
----
----
2.65%-331K
2.65%-331K
----
Goodwill and other intangible assets
----
----
--0
--0
--0
-98.80%238K
-98.78%249K
-98.75%260K
-98.75%260K
-74.73%12.51M
-Other intangible assets
----
----
----
----
----
-98.80%238K
-98.78%249K
-98.75%260K
-98.75%260K
-56.05%12.51M
Non current deferred assets
-52.63%27K
-52.63%27K
-50.00%28K
-50.00%28K
--55K
--57K
--57K
--56K
--56K
----
Other non current assets
-49.12%29K
-49.12%29K
-36.96%29K
-36.96%29K
-97.62%29K
-95.61%57K
-95.86%57K
0.00%46K
0.00%46K
-20.59%1.22M
Total non current assets
-76.61%306K
-70.03%336K
-70.19%367K
-70.19%367K
-97.12%428K
-94.17%1.31M
-95.26%1.12M
-94.55%1.23M
-94.55%1.23M
-71.98%14.88M
Total assets
-46.06%6.39M
-49.66%8.23M
-4.30%10.66M
-4.30%10.66M
-72.49%7.83M
-71.73%11.85M
-65.41%16.35M
-78.79%11.14M
-78.79%11.14M
-68.63%28.46M
Liabilities
Current liabilities
Payables
-34.81%1.09M
-35.54%1.37M
-14.43%1.75M
-14.43%1.75M
-28.22%1.52M
-38.25%1.67M
-45.62%2.12M
-46.10%2.05M
-46.10%2.05M
-39.66%2.11M
-accounts payable
-35.67%1.03M
-34.20%1.31M
-12.31%1.69M
-12.31%1.69M
-26.61%1.46M
-36.29%1.6M
-44.50%2M
-44.46%1.93M
-44.46%1.93M
-35.99%1.99M
-Total tax payable
-14.71%58K
-57.38%52K
-48.74%61K
-48.74%61K
-55.00%54K
-64.21%68K
-59.20%122K
-63.50%119K
-63.50%119K
-69.07%120K
Current accrued expenses
-44.02%1.07M
-72.45%1.18M
-73.06%1.06M
-73.06%1.06M
-49.76%1.92M
-60.27%1.91M
89.84%4.28M
69.84%3.92M
69.84%3.92M
100.10%3.82M
Current provisions
-2.40%163K
-18.50%163K
-52.62%163K
-52.62%163K
-61.00%163K
-68.19%167K
-69.18%200K
-17.11%344K
-17.11%344K
-23.30%418K
Current debt and capital lease obligation
3.67%113K
30.23%112K
-35.09%111K
-35.09%111K
-56.86%110K
-67.75%109K
-80.50%86K
-38.71%171K
-38.71%171K
-92.60%255K
-Current capital lease obligation
3.67%113K
30.23%112K
-35.09%111K
-35.09%111K
-56.86%110K
-67.75%109K
-80.50%86K
-38.71%171K
-38.71%171K
-46.09%255K
Current deferred liabilities
57.52%723K
12.22%643K
25.29%639K
25.29%639K
2.02%657K
-24.13%459K
-3.86%573K
-7.10%510K
-7.10%510K
11.03%644K
Other current liabilities
-50.00%47K
-83.77%56K
-88.19%58K
-88.19%58K
-60.53%105K
-57.66%94K
9.87%345K
165.41%491K
165.41%491K
-25.91%266K
Current liabilities
-27.32%3.2M
-53.71%3.52M
-49.51%3.78M
-49.51%3.78M
-40.52%4.47M
-52.08%4.4M
-6.74%7.6M
-0.65%7.48M
-0.65%7.48M
-27.31%7.51M
Non current liabilities
Long term debt and capital lease obligation
-47.98%103K
--127K
--151K
--151K
--175K
--198K
----
--0
--0
----
-Long term capital lease obligation
-47.98%103K
--127K
--151K
--151K
--175K
--198K
----
--0
--0
----
Non current deferred liabilities
----
----
----
----
----
----
----
----
----
--0
Derivative product liabilities
-89.45%54K
-94.86%51K
--72K
--72K
--100K
10,140.00%512K
2,319.51%992K
--0
--0
--0
Total non current liabilities
-77.89%157K
-82.06%178K
--223K
--223K
--275K
90.86%710K
100.81%992K
--0
--0
--0
Total liabilities
-34.34%3.36M
-56.98%3.7M
-46.53%4M
-46.53%4M
-36.86%4.74M
-46.52%5.11M
-0.59%8.59M
-8.73%7.48M
-8.73%7.48M
-34.54%7.51M
Shareholders'equity
Share capital
866.67%29K
666.67%23K
2,200.00%23K
2,200.00%23K
-86.96%3K
-85.00%3K
-84.21%3K
--1K
--1K
27.78%23K
-common stock
866.67%29K
666.67%23K
2,200.00%23K
2,200.00%23K
-86.96%3K
-85.00%3K
-84.21%3K
--1K
--1K
27.78%23K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-1.43%-639.36M
-1.74%-637.77M
-1.82%-635.57M
-1.82%-635.57M
-4.54%-633.88M
-6.02%-630.34M
-7.16%-626.85M
-8.00%-624.19M
-8.00%-624.19M
-12.02%-606.36M
Paid-in capital
0.83%642.46M
1.21%642.37M
2.29%642.3M
2.29%642.3M
1.55%637.05M
1.63%637.17M
1.77%634.7M
0.89%627.94M
0.89%627.94M
1.09%627.35M
Gains losses not affecting retained earnings
6.32%-89K
-3.23%-96K
0.00%-88K
0.00%-88K
-38.24%-94K
-31.94%-95K
-30.99%-93K
4.35%-88K
4.35%-88K
36.45%-68K
Total stockholders'equity
-54.96%3.04M
-41.56%4.53M
82.00%6.66M
82.00%6.66M
-85.28%3.08M
-79.18%6.74M
-79.91%7.76M
-91.74%3.66M
-91.74%3.66M
-73.56%20.94M
Total equity
-54.96%3.04M
-41.56%4.53M
82.00%6.66M
82.00%6.66M
-85.28%3.08M
-79.18%6.74M
-79.91%7.76M
-91.74%3.66M
-91.74%3.66M
-73.56%20.94M
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 with Explanatory Notes
--
--
--
--
--
--
--
(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 -76.94%1.05M-73.52%2.38M15.67%4.46M15.67%4.46M-76.42%1.45M-60.27%4.57M-41.71%8.98M-83.07%3.86M-83.07%3.86M-78.98%6.15M
-Cash and cash equivalents -76.94%1.05M-73.52%2.38M15.67%4.46M15.67%4.46M-76.42%1.45M-60.27%4.57M-41.71%8.98M-83.07%3.86M-83.07%3.86M-78.98%6.15M
Receivables -31.45%1.4M-27.47%1.59M-21.74%1.71M-21.74%1.71M-0.99%2.21M-16.75%2.04M-8.92%2.2M-22.56%2.18M-22.56%2.18M-35.49%2.23M
-Accounts receivable -20.24%2.02M-21.21%2.02M-4.90%2.46M-4.90%2.46M-5.19%3.01M-25.19%2.53M-26.54%2.57M-35.04%2.59M-35.04%2.59M-19.24%3.18M
-Taxes receivable -76.19%15K-62.86%26K--47K--47K--55K--63K--70K--0--0----
-Recievables adjustments allowances -14.59%-636K-3.15%-458K-96.10%-804K-96.10%-804K9.29%-859K40.58%-555K59.15%-444K65.02%-410K65.02%-410K-98.53%-947K
Inventory -0.67%3.25M-0.74%3.47M3.60%3.74M3.60%3.74M-23.18%3.2M-22.67%3.27M-12.63%3.49M20.25%3.61M20.25%3.61M30.10%4.17M
Prepaid assets -52.82%184K6.00%212K86.42%151K86.42%151K-60.21%306K-63.62%390K-87.05%200K-92.75%81K-92.75%81K-40.20%769K
Restricted cash 0.00%100K0.00%100K0.00%100K0.00%100K0.00%100K100.00%100K100.00%100K100.00%100K100.00%100K100.00%100K
Other current assets -40.88%107K-44.23%145K65.48%139K65.48%139K-15.92%132K-8.12%181K20.93%260K-55.32%84K-55.32%84K-54.76%157K
Total current assets -42.27%6.09M-48.16%7.9M3.88%10.3M3.88%10.3M-45.49%7.4M-45.89%10.54M-35.54%15.23M-66.89%9.91M-66.89%9.91M-63.89%13.57M
Non current assets
Net PPE -73.85%250K-63.06%280K-64.33%310K-64.33%310K-70.11%344K-21.96%956K-60.00%758K-49.48%869K-49.48%869K-43.91%1.15M
-Gross PPE -73.85%250K-63.06%280K-66.67%400K-66.67%400K-70.11%344K-21.96%956K-60.00%758K-41.75%1.2M-41.75%1.2M-43.91%1.15M
-Accumulated depreciation --------72.81%-90K72.81%-90K------------2.65%-331K2.65%-331K----
Goodwill and other intangible assets ----------0--0--0-98.80%238K-98.78%249K-98.75%260K-98.75%260K-74.73%12.51M
-Other intangible assets ---------------------98.80%238K-98.78%249K-98.75%260K-98.75%260K-56.05%12.51M
Non current deferred assets -52.63%27K-52.63%27K-50.00%28K-50.00%28K--55K--57K--57K--56K--56K----
Other non current assets -49.12%29K-49.12%29K-36.96%29K-36.96%29K-97.62%29K-95.61%57K-95.86%57K0.00%46K0.00%46K-20.59%1.22M
Total non current assets -76.61%306K-70.03%336K-70.19%367K-70.19%367K-97.12%428K-94.17%1.31M-95.26%1.12M-94.55%1.23M-94.55%1.23M-71.98%14.88M
Total assets -46.06%6.39M-49.66%8.23M-4.30%10.66M-4.30%10.66M-72.49%7.83M-71.73%11.85M-65.41%16.35M-78.79%11.14M-78.79%11.14M-68.63%28.46M
Liabilities
Current liabilities
Payables -34.81%1.09M-35.54%1.37M-14.43%1.75M-14.43%1.75M-28.22%1.52M-38.25%1.67M-45.62%2.12M-46.10%2.05M-46.10%2.05M-39.66%2.11M
-accounts payable -35.67%1.03M-34.20%1.31M-12.31%1.69M-12.31%1.69M-26.61%1.46M-36.29%1.6M-44.50%2M-44.46%1.93M-44.46%1.93M-35.99%1.99M
-Total tax payable -14.71%58K-57.38%52K-48.74%61K-48.74%61K-55.00%54K-64.21%68K-59.20%122K-63.50%119K-63.50%119K-69.07%120K
Current accrued expenses -44.02%1.07M-72.45%1.18M-73.06%1.06M-73.06%1.06M-49.76%1.92M-60.27%1.91M89.84%4.28M69.84%3.92M69.84%3.92M100.10%3.82M
Current provisions -2.40%163K-18.50%163K-52.62%163K-52.62%163K-61.00%163K-68.19%167K-69.18%200K-17.11%344K-17.11%344K-23.30%418K
Current debt and capital lease obligation 3.67%113K30.23%112K-35.09%111K-35.09%111K-56.86%110K-67.75%109K-80.50%86K-38.71%171K-38.71%171K-92.60%255K
-Current capital lease obligation 3.67%113K30.23%112K-35.09%111K-35.09%111K-56.86%110K-67.75%109K-80.50%86K-38.71%171K-38.71%171K-46.09%255K
Current deferred liabilities 57.52%723K12.22%643K25.29%639K25.29%639K2.02%657K-24.13%459K-3.86%573K-7.10%510K-7.10%510K11.03%644K
Other current liabilities -50.00%47K-83.77%56K-88.19%58K-88.19%58K-60.53%105K-57.66%94K9.87%345K165.41%491K165.41%491K-25.91%266K
Current liabilities -27.32%3.2M-53.71%3.52M-49.51%3.78M-49.51%3.78M-40.52%4.47M-52.08%4.4M-6.74%7.6M-0.65%7.48M-0.65%7.48M-27.31%7.51M
Non current liabilities
Long term debt and capital lease obligation -47.98%103K--127K--151K--151K--175K--198K------0--0----
-Long term capital lease obligation -47.98%103K--127K--151K--151K--175K--198K------0--0----
Non current deferred liabilities --------------------------------------0
Derivative product liabilities -89.45%54K-94.86%51K--72K--72K--100K10,140.00%512K2,319.51%992K--0--0--0
Total non current liabilities -77.89%157K-82.06%178K--223K--223K--275K90.86%710K100.81%992K--0--0--0
Total liabilities -34.34%3.36M-56.98%3.7M-46.53%4M-46.53%4M-36.86%4.74M-46.52%5.11M-0.59%8.59M-8.73%7.48M-8.73%7.48M-34.54%7.51M
Shareholders'equity
Share capital 866.67%29K666.67%23K2,200.00%23K2,200.00%23K-86.96%3K-85.00%3K-84.21%3K--1K--1K27.78%23K
-common stock 866.67%29K666.67%23K2,200.00%23K2,200.00%23K-86.96%3K-85.00%3K-84.21%3K--1K--1K27.78%23K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -1.43%-639.36M-1.74%-637.77M-1.82%-635.57M-1.82%-635.57M-4.54%-633.88M-6.02%-630.34M-7.16%-626.85M-8.00%-624.19M-8.00%-624.19M-12.02%-606.36M
Paid-in capital 0.83%642.46M1.21%642.37M2.29%642.3M2.29%642.3M1.55%637.05M1.63%637.17M1.77%634.7M0.89%627.94M0.89%627.94M1.09%627.35M
Gains losses not affecting retained earnings 6.32%-89K-3.23%-96K0.00%-88K0.00%-88K-38.24%-94K-31.94%-95K-30.99%-93K4.35%-88K4.35%-88K36.45%-68K
Total stockholders'equity -54.96%3.04M-41.56%4.53M82.00%6.66M82.00%6.66M-85.28%3.08M-79.18%6.74M-79.91%7.76M-91.74%3.66M-91.74%3.66M-73.56%20.94M
Total equity -54.96%3.04M-41.56%4.53M82.00%6.66M82.00%6.66M-85.28%3.08M-79.18%6.74M-79.91%7.76M-91.74%3.66M-91.74%3.66M-73.56%20.94M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------------

Analysis

Analyst Rating

No Data

Price Target

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Heat List
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