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SMXWW SMX (SECURITY MATTERS) PLC C/WTS 07/03/2028 (TO PUR ORD)

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Close Aug 7 16:00 ET
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SMX (SECURITY MATTERS) PLC C/WTS 07/03/2028 (TO PUR ORD) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-87.98%168K
-87.98%168K
251.57%3.02M
-66.48%1.4M
-66.48%1.4M
--859K
-3.92%4.17M
--4.17M
--4.34M
-Cash and cash equivalents
-87.98%168K
-87.98%168K
251.57%3.02M
-66.48%1.4M
-66.48%1.4M
--859K
-3.92%4.17M
--4.17M
--4.34M
Receivables
-8.78%405K
-8.78%405K
-20.23%1.04M
12.12%444K
12.12%444K
--1.3M
-5.04%396K
--396K
--417K
-Accounts receivable
----
----
----
----
----
--1.04M
----
----
----
-Taxes receivable
-28.21%257K
-28.21%257K
----
27.86%358K
27.86%358K
--224K
27.27%280K
--280K
--220K
-Other receivables
72.09%148K
72.09%148K
2,702.70%1.04M
-25.86%86K
-25.86%86K
--37K
-41.12%116K
--116K
--197K
Prepaid assets
-95.50%142K
-95.50%142K
----
595.37%3.16M
595.37%3.16M
--1.16M
1,521.43%454K
--454K
--28K
Other current assets
20.83%87K
20.83%87K
----
2.86%72K
2.86%72K
----
--70K
--70K
----
Total current assets
-84.18%802K
-84.18%802K
22.42%4.06M
-0.39%5.07M
-0.39%5.07M
--3.31M
6.37%5.09M
--5.09M
--4.79M
Non current assets
Net PPE
-17.44%800K
-17.44%800K
-24.21%820K
-18.78%969K
-18.78%969K
--1.08M
8.55%1.19M
--1.19M
--1.1M
-Gross PPE
-0.56%1.78M
-0.56%1.78M
----
-15.68%1.79M
-15.68%1.79M
----
27.41%2.12M
--2.12M
--1.67M
-Accumulated depreciation
-19.34%-981K
-19.34%-981K
----
11.71%-822K
11.71%-822K
----
-63.91%-931K
---931K
---568K
Goodwill and other intangible assets
883.55%49.44M
883.55%49.44M
8.50%5.27M
28.63%5.03M
28.63%5.03M
--4.86M
67.58%3.91M
--3.91M
--2.33M
-Goodwill
--32.96M
--32.96M
----
--0
--0
----
----
----
----
-Other intangible assets
227.95%16.49M
227.95%16.49M
----
28.63%5.03M
28.63%5.03M
----
67.58%3.91M
--3.91M
--2.33M
Investments and advances
-47.96%115K
-47.96%115K
-3.45%112K
50.34%221K
50.34%221K
--116K
-40.73%147K
--147K
--248K
Other non current assets
----
----
----
----
----
----
---1K
---1K
----
Total non current assets
710.00%50.36M
710.00%50.36M
2.43%6.2M
18.49%6.22M
18.49%6.22M
--6.05M
42.62%5.25M
--5.25M
--3.68M
Total assets
353.22%51.16M
353.22%51.16M
9.50%10.26M
9.19%11.29M
9.19%11.29M
--9.37M
22.13%10.34M
--10.34M
--8.47M
Liabilities
Current liabilities
Payables
281.10%12.12M
281.10%12.12M
323.22%9.7M
225.15%3.18M
225.15%3.18M
--2.29M
71.58%978K
--978K
--570K
-accounts payable
253.80%10.52M
253.80%10.52M
350.84%7.28M
224.45%2.97M
224.45%2.97M
--1.62M
77.86%916K
--916K
--515K
-Total tax payable
--1.57M
--1.57M
----
--0
--0
----
----
----
----
-Due to related parties current
-92.86%4K
-92.86%4K
----
133.33%56K
133.33%56K
----
26.32%24K
--24K
--19K
-Other payable
-79.61%31K
-79.61%31K
257.25%2.42M
300.00%152K
300.00%152K
--676K
5.56%38K
--38K
--36K
Current accrued expenses
----
----
----
----
----
----
-62.31%49K
--49K
--130K
Current debt and capital lease obligation
144.13%3.18M
144.13%3.18M
343.77%3.39M
324.43%1.3M
324.43%1.3M
--763K
-9.17%307K
--307K
--338K
-Current debt
146.66%3.14M
146.66%3.14M
357.22%3.36M
371.48%1.27M
371.48%1.27M
--734K
-3.57%270K
--270K
--280K
-Current capital lease obligation
36.67%41K
36.67%41K
3.45%30K
-18.92%30K
-18.92%30K
--29K
-36.21%37K
--37K
--58K
Current deferred liabilities
1,606.00%853K
1,606.00%853K
--3.05M
66.67%50K
66.67%50K
----
50.00%30K
--30K
--20K
Other current liabilities
--1.14M
--1.14M
--856K
----
----
----
--32K
--32K
----
Current liabilities
265.93%18.02M
265.93%18.02M
456.25%16.99M
159.76%4.93M
159.76%4.93M
--3.05M
34.66%1.9M
--1.9M
--1.41M
Non current liabilities
Long term debt and capital lease obligation
-78.31%894K
-78.31%894K
192.79%1.34M
784.55%4.12M
784.55%4.12M
--458K
-12.24%466K
--466K
--531K
-Long term debt
-86.88%483K
-86.88%483K
--938K
--3.68M
--3.68M
----
----
----
----
-Long term capital lease obligation
-6.59%411K
-6.59%411K
-12.01%403K
-5.58%440K
-5.58%440K
--458K
-12.24%466K
--466K
--531K
Other non current liabilities
----
----
----
----
----
--106K
0.00%85K
--85K
--85K
Total non current liabilities
-78.75%894K
-78.75%894K
834.57%5.27M
663.52%4.21M
663.52%4.21M
--564K
-10.55%551K
--551K
--616K
Total liabilities
107.14%18.92M
107.14%18.92M
515.23%22.26M
273.19%9.13M
273.19%9.13M
--3.62M
20.90%2.45M
--2.45M
--2.02M
Shareholders'equity
Share capital
92.28%62.9M
92.28%62.9M
80.02%51.73M
--32.71M
--32.71M
--28.74M
--0
--0
--21.88M
-common stock
92.28%62.9M
92.28%62.9M
80.02%51.73M
--32.71M
--32.71M
--28.74M
--0
--0
--21.88M
Retained earnings
-69.67%-50.93M
-69.67%-50.93M
-139.85%-63.03M
-25.94%-30.02M
-25.94%-30.02M
---26.28M
-26.14%-23.84M
---23.84M
---18.9M
Paid-in capital
----
----
----
----
----
----
--31.5M
--31.5M
----
Gains losses not affecting retained earnings
8.57%-491K
8.57%-491K
-68.75%-702K
-340.81%-537K
-340.81%-537K
---416K
-63.14%223K
--223K
--605K
Other equity interest
----
----
----
----
----
--3.71M
----
----
--2.85M
Total stockholders'equity
432.28%11.48M
432.28%11.48M
-308.71%-12M
-72.68%2.16M
-72.68%2.16M
--5.75M
22.51%7.89M
--7.89M
--6.44M
Noncontrolling interests
--20.77M
--20.77M
----
--0
--0
----
----
----
----
Total equity
1,395.55%32.24M
1,395.55%32.24M
-308.71%-12M
-72.68%2.16M
-72.68%2.16M
--5.75M
22.51%7.89M
--7.89M
--6.44M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -87.98%168K-87.98%168K251.57%3.02M-66.48%1.4M-66.48%1.4M--859K-3.92%4.17M--4.17M--4.34M
-Cash and cash equivalents -87.98%168K-87.98%168K251.57%3.02M-66.48%1.4M-66.48%1.4M--859K-3.92%4.17M--4.17M--4.34M
Receivables -8.78%405K-8.78%405K-20.23%1.04M12.12%444K12.12%444K--1.3M-5.04%396K--396K--417K
-Accounts receivable ----------------------1.04M------------
-Taxes receivable -28.21%257K-28.21%257K----27.86%358K27.86%358K--224K27.27%280K--280K--220K
-Other receivables 72.09%148K72.09%148K2,702.70%1.04M-25.86%86K-25.86%86K--37K-41.12%116K--116K--197K
Prepaid assets -95.50%142K-95.50%142K----595.37%3.16M595.37%3.16M--1.16M1,521.43%454K--454K--28K
Other current assets 20.83%87K20.83%87K----2.86%72K2.86%72K------70K--70K----
Total current assets -84.18%802K-84.18%802K22.42%4.06M-0.39%5.07M-0.39%5.07M--3.31M6.37%5.09M--5.09M--4.79M
Non current assets
Net PPE -17.44%800K-17.44%800K-24.21%820K-18.78%969K-18.78%969K--1.08M8.55%1.19M--1.19M--1.1M
-Gross PPE -0.56%1.78M-0.56%1.78M-----15.68%1.79M-15.68%1.79M----27.41%2.12M--2.12M--1.67M
-Accumulated depreciation -19.34%-981K-19.34%-981K----11.71%-822K11.71%-822K-----63.91%-931K---931K---568K
Goodwill and other intangible assets 883.55%49.44M883.55%49.44M8.50%5.27M28.63%5.03M28.63%5.03M--4.86M67.58%3.91M--3.91M--2.33M
-Goodwill --32.96M--32.96M------0--0----------------
-Other intangible assets 227.95%16.49M227.95%16.49M----28.63%5.03M28.63%5.03M----67.58%3.91M--3.91M--2.33M
Investments and advances -47.96%115K-47.96%115K-3.45%112K50.34%221K50.34%221K--116K-40.73%147K--147K--248K
Other non current assets ---------------------------1K---1K----
Total non current assets 710.00%50.36M710.00%50.36M2.43%6.2M18.49%6.22M18.49%6.22M--6.05M42.62%5.25M--5.25M--3.68M
Total assets 353.22%51.16M353.22%51.16M9.50%10.26M9.19%11.29M9.19%11.29M--9.37M22.13%10.34M--10.34M--8.47M
Liabilities
Current liabilities
Payables 281.10%12.12M281.10%12.12M323.22%9.7M225.15%3.18M225.15%3.18M--2.29M71.58%978K--978K--570K
-accounts payable 253.80%10.52M253.80%10.52M350.84%7.28M224.45%2.97M224.45%2.97M--1.62M77.86%916K--916K--515K
-Total tax payable --1.57M--1.57M------0--0----------------
-Due to related parties current -92.86%4K-92.86%4K----133.33%56K133.33%56K----26.32%24K--24K--19K
-Other payable -79.61%31K-79.61%31K257.25%2.42M300.00%152K300.00%152K--676K5.56%38K--38K--36K
Current accrued expenses -------------------------62.31%49K--49K--130K
Current debt and capital lease obligation 144.13%3.18M144.13%3.18M343.77%3.39M324.43%1.3M324.43%1.3M--763K-9.17%307K--307K--338K
-Current debt 146.66%3.14M146.66%3.14M357.22%3.36M371.48%1.27M371.48%1.27M--734K-3.57%270K--270K--280K
-Current capital lease obligation 36.67%41K36.67%41K3.45%30K-18.92%30K-18.92%30K--29K-36.21%37K--37K--58K
Current deferred liabilities 1,606.00%853K1,606.00%853K--3.05M66.67%50K66.67%50K----50.00%30K--30K--20K
Other current liabilities --1.14M--1.14M--856K--------------32K--32K----
Current liabilities 265.93%18.02M265.93%18.02M456.25%16.99M159.76%4.93M159.76%4.93M--3.05M34.66%1.9M--1.9M--1.41M
Non current liabilities
Long term debt and capital lease obligation -78.31%894K-78.31%894K192.79%1.34M784.55%4.12M784.55%4.12M--458K-12.24%466K--466K--531K
-Long term debt -86.88%483K-86.88%483K--938K--3.68M--3.68M----------------
-Long term capital lease obligation -6.59%411K-6.59%411K-12.01%403K-5.58%440K-5.58%440K--458K-12.24%466K--466K--531K
Other non current liabilities ----------------------106K0.00%85K--85K--85K
Total non current liabilities -78.75%894K-78.75%894K834.57%5.27M663.52%4.21M663.52%4.21M--564K-10.55%551K--551K--616K
Total liabilities 107.14%18.92M107.14%18.92M515.23%22.26M273.19%9.13M273.19%9.13M--3.62M20.90%2.45M--2.45M--2.02M
Shareholders'equity
Share capital 92.28%62.9M92.28%62.9M80.02%51.73M--32.71M--32.71M--28.74M--0--0--21.88M
-common stock 92.28%62.9M92.28%62.9M80.02%51.73M--32.71M--32.71M--28.74M--0--0--21.88M
Retained earnings -69.67%-50.93M-69.67%-50.93M-139.85%-63.03M-25.94%-30.02M-25.94%-30.02M---26.28M-26.14%-23.84M---23.84M---18.9M
Paid-in capital --------------------------31.5M--31.5M----
Gains losses not affecting retained earnings 8.57%-491K8.57%-491K-68.75%-702K-340.81%-537K-340.81%-537K---416K-63.14%223K--223K--605K
Other equity interest ----------------------3.71M----------2.85M
Total stockholders'equity 432.28%11.48M432.28%11.48M-308.71%-12M-72.68%2.16M-72.68%2.16M--5.75M22.51%7.89M--7.89M--6.44M
Noncontrolling interests --20.77M--20.77M------0--0----------------
Total equity 1,395.55%32.24M1,395.55%32.24M-308.71%-12M-72.68%2.16M-72.68%2.16M--5.75M22.51%7.89M--7.89M--6.44M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion----Unqualified Opinion----Unqualified Opinion----

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