US Stock MarketDetailed Quotes

SOPA Society Pass

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  • 0.9100
  • +0.0023+0.25%
Trading Oct 2 11:03 ET
2.87MMarket Cap-136P/E (TTM)

Society Pass 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
-92.31%833.94K
-88.23%1.62M
-80.83%3.63M
-80.83%3.63M
-64.24%8.22M
-61.31%10.84M
-55.58%13.76M
-18.63%18.93M
-18.63%18.93M
301.69%22.99M
-Cash and cash equivalents
-92.31%833.94K
-88.23%1.62M
-80.83%3.63M
-80.83%3.63M
-64.24%8.22M
-61.31%10.84M
-55.58%13.76M
-18.63%18.93M
-18.63%18.93M
301.69%22.99M
Receivables
58.87%3.16M
53.28%2.03M
64.19%2.18M
64.19%2.18M
109.32%2M
888.94%1.99M
796.60%1.33M
779.76%1.33M
779.76%1.33M
274.23%954.02K
-Accounts receivable
-37.62%776.18K
55.93%1.34M
40.66%1.34M
40.66%1.34M
125.76%1.3M
2,297.83%1.24M
1,703.74%858.11K
1,709.02%951.33K
1,709.02%951.33K
554.10%574.32K
-Notes receivable
--1.3M
----
----
----
----
----
----
----
----
----
-Accrued interest receivable
--0
--0
-9.49%11.55K
-9.49%11.55K
41.21%18.99K
--19.13K
--17.55K
--12.76K
--12.76K
--13.45K
-Taxes receivable
-36.11%120.75K
-39.00%100.97K
-15.63%118.17K
-15.63%118.17K
-59.59%107.3K
32.59%188.99K
85.73%165.51K
44.66%140.05K
44.66%140.05K
--265.55K
-Other receivables
79.70%965.93K
108.34%593.22K
217.56%714.28K
217.56%714.28K
470.08%574.12K
7,819.80%537.52K
2,443.83%284.73K
13,401.14%224.93K
13,401.14%224.93K
44.65%100.71K
Inventory
46.40%293.33K
65.82%379.74K
38.77%431.48K
38.77%431.48K
227.90%838.84K
-40.45%200.36K
-14.36%229.01K
40.65%310.93K
40.65%310.93K
--255.82K
Prepaid assets
-16.52%1.1M
-11.41%1.31M
-31.55%1.61M
-31.55%1.61M
-79.37%774.55K
-70.01%1.32M
-74.04%1.48M
-60.75%2.35M
-60.75%2.35M
--3.75M
Restricted cash
-33.15%53.9K
-25.58%54K
31.74%95.31K
31.74%95.31K
193.37%61.35K
--80.63K
--72.56K
--72.35K
--72.35K
--20.91K
Current deferred assets
-14.68%140.64K
--145.25K
--149.86K
--149.86K
--159.84K
--164.84K
----
--0
--0
----
Total current assets
-61.73%5.58M
-67.14%5.54M
-64.78%8.1M
-64.78%8.1M
-56.92%12.05M
-55.71%14.59M
-54.53%16.86M
-22.39%23M
-22.39%23M
367.97%27.97M
Non current assets
Net PPE
-38.03%1.5M
-33.21%1.69M
-6.64%2.09M
-6.64%2.09M
68.39%2.17M
200.11%2.42M
185.28%2.54M
227.55%2.24M
227.55%2.24M
138.77%1.29M
-Gross PPE
-25.67%2.11M
-21.83%2.26M
16.56%2.62M
16.56%2.62M
28.37%2.62M
236.86%2.84M
214.70%2.89M
217.47%2.24M
217.47%2.24M
264.61%2.04M
-Accumulated depreciation
-45.74%-610.93K
-60.44%-562.81K
---520.61K
---520.61K
40.43%-447.56K
-1,052.89%-419.19K
-1,136.67%-350.78K
----
----
-3,772.38%-751.36K
Goodwill and other intangible assets
-14.69%5.93M
-9.51%6.04M
-17.27%6.17M
-17.27%6.17M
-43.15%6.51M
86.05%6.96M
82.68%6.68M
86.45%7.46M
86.45%7.46M
138.59%11.45M
-Goodwill
-50.15%88.2K
--88.2K
--88.2K
--88.2K
-96.93%223.2K
-61.07%176.92K
----
--0
--0
--7.28M
-Other intangible assets
-13.77%5.85M
-10.83%5.95M
-18.45%6.08M
-18.45%6.08M
50.66%6.29M
106.41%6.78M
108.63%6.68M
86.45%7.46M
86.45%7.46M
-13.05%4.17M
Non current prepaid assets
----
----
----
----
----
----
----
----
----
--0
Total non current assets
-20.72%7.44M
-16.03%7.73M
-14.81%8.26M
-14.81%8.26M
-31.84%8.69M
106.30%9.38M
102.75%9.21M
75.01%9.7M
75.01%9.7M
138.61%12.74M
Total assets
-45.69%13.02M
-49.08%13.28M
-49.96%16.36M
-49.96%16.36M
-49.07%20.74M
-36.07%23.97M
-37.36%26.07M
-7.04%32.7M
-7.04%32.7M
259.74%40.72M
Liabilities
Current liabilities
Payables
5.01%4.21M
23.87%4.6M
18.77%4.63M
18.77%4.63M
-2.06%5.18M
203.75%4.01M
541.21%3.72M
237.22%3.9M
237.22%3.9M
1,079.33%5.29M
-accounts payable
2.42%1.77M
24.91%1.83M
30.39%1.69M
30.39%1.69M
51.00%1.82M
91.76%1.73M
615.36%1.46M
395.05%1.3M
395.05%1.3M
1,051.16%1.21M
-Total tax payable
65.90%1.84M
67.31%1.97M
22.39%2.03M
22.39%2.03M
99.91%1.97M
642.33%1.11M
1,025.04%1.18M
1,235.38%1.66M
1,235.38%1.66M
1,232.46%987.59K
-Due to related parties current
-79.34%13.26K
-56.99%9.57K
-55.63%9.9K
-55.63%9.9K
53.09%34.65K
181.22%64.18K
-12.46%22.25K
-95.75%22.31K
-95.75%22.31K
-8.59%22.64K
-Other payable
-46.86%588.67K
-24.43%796.13K
-2.35%897.57K
-2.35%897.57K
-56.01%1.35M
352.14%1.11M
330.00%1.05M
275.19%919.21K
275.19%919.21K
1,155.01%3.07M
Current accrued expenses
5.77%3.93M
-10.86%2.51M
-23.00%3.53M
-23.00%3.53M
-46.79%2.28M
323.90%3.72M
557.34%2.82M
933.18%4.59M
933.18%4.59M
887.97%4.28M
Current debt and capital lease obligation
-24.98%435.11K
-20.82%460.92K
17.84%584.59K
17.84%584.59K
9.99%555.38K
62.72%579.97K
92.69%582.12K
127.49%496.1K
127.49%496.1K
200.98%504.96K
-Current debt
-30.05%17.05K
-28.76%18.98K
-24.33%21.31K
-24.33%21.31K
-89.11%22.38K
-61.59%24.38K
--26.64K
--28.16K
--28.16K
--205.45K
-Current capital lease obligation
-24.75%418.06K
-20.44%441.94K
20.37%563.28K
20.37%563.28K
77.96%533K
89.64%555.59K
83.87%555.48K
114.57%467.94K
114.57%467.94K
78.52%299.51K
Current deferred liabilities
-6.38%1.77M
-19.52%1.8M
-33.95%1.74M
-33.95%1.74M
-30.04%1.85M
40,761.22%1.89M
11,891.02%2.24M
10,323.66%2.63M
10,323.66%2.63M
7,338.16%2.65M
Current liabilities
1.47%10.35M
0.26%9.37M
-9.71%10.49M
-9.71%10.49M
-22.46%9.87M
276.69%10.2M
449.24%9.35M
376.07%11.61M
376.07%11.61M
1,072.31%12.72M
Non current liabilities
Long term debt and capital lease obligation
-47.76%556.5K
-43.43%655.22K
-20.98%847.95K
-20.98%847.95K
164.14%921.58K
149.68%1.07M
127.67%1.16M
161.07%1.07M
161.07%1.07M
-4.55%348.9K
-Long term capital lease obligation
-47.76%556.5K
-43.43%655.22K
-20.98%847.95K
-20.98%847.95K
164.14%921.58K
149.68%1.07M
127.67%1.16M
161.07%1.07M
161.07%1.07M
-4.55%348.9K
Preferred securities outside stock equity
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total non current liabilities
-47.76%556.5K
-43.43%655.22K
-20.98%847.95K
-20.98%847.95K
164.14%921.58K
149.68%1.07M
127.67%1.16M
161.07%1.07M
161.07%1.07M
-98.64%348.9K
Total liabilities
-3.18%10.91M
-4.56%10.03M
-10.67%11.33M
-10.67%11.33M
-17.48%10.79M
259.40%11.26M
375.26%10.51M
345.07%12.69M
345.07%12.69M
-51.11%13.07M
Shareholders'equity
Share capital
-89.56%297
-91.05%252
22.82%3.33K
22.82%3.33K
20.18%3.11K
15.93%2.85K
18.61%2.82K
37.25%2.71K
37.25%2.71K
166.70%2.59K
-common stock
-89.56%297
-91.05%252
22.82%3.33K
22.82%3.33K
20.18%3.11K
15.93%2.85K
18.61%2.82K
37.25%2.71K
37.25%2.71K
166.70%2.59K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-16.67%-104.71M
-18.84%-102.72M
-22.35%-99.27M
-22.35%-99.27M
-31.17%-93.61M
-46.16%-89.75M
-60.36%-86.43M
-71.35%-81.14M
-71.35%-81.14M
-153.82%-71.36M
Paid-in capital
3.29%107.11M
3.01%106.42M
4.12%105.6M
4.12%105.6M
5.71%104.9M
7.99%103.69M
10.43%103.31M
27.05%101.43M
27.05%101.43M
680.61%99.23M
Less: Treasury stock
--0
-65.54%186.78K
--785.53K
--785.53K
--640.53K
--640.53K
--541.99K
----
----
----
Gains losses not affecting retained earnings
246.38%269.72K
100.59%1.93K
-528.34%-242.13K
-528.34%-242.13K
-410.16%-284.34K
-411.85%-184.25K
-237.50%-325.69K
204.02%56.53K
204.02%56.53K
570.66%91.68K
Other equity interest
---283K
----
----
----
----
----
----
----
----
----
Total stockholders'equity
-81.81%2.39M
-78.04%3.52M
-73.92%5.31M
-73.92%5.31M
-62.92%10.37M
-62.06%13.12M
-59.52%16.02M
-37.25%20.35M
-37.25%20.35M
281.31%27.96M
Noncontrolling interests
34.36%-271.6K
39.73%-271.22K
17.61%-277.25K
17.61%-277.25K
-31.12%-419.48K
-84.12%-413.77K
-202.37%-450K
-227.40%-336.52K
-227.40%-336.52K
---319.93K
Total equity
-83.36%2.11M
-79.14%3.25M
-74.87%5.03M
-74.87%5.03M
-64.01%9.95M
-63.01%12.71M
-60.51%15.57M
-38.09%20.01M
-38.09%20.01M
279.23%27.64M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
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 -92.31%833.94K-88.23%1.62M-80.83%3.63M-80.83%3.63M-64.24%8.22M-61.31%10.84M-55.58%13.76M-18.63%18.93M-18.63%18.93M301.69%22.99M
-Cash and cash equivalents -92.31%833.94K-88.23%1.62M-80.83%3.63M-80.83%3.63M-64.24%8.22M-61.31%10.84M-55.58%13.76M-18.63%18.93M-18.63%18.93M301.69%22.99M
Receivables 58.87%3.16M53.28%2.03M64.19%2.18M64.19%2.18M109.32%2M888.94%1.99M796.60%1.33M779.76%1.33M779.76%1.33M274.23%954.02K
-Accounts receivable -37.62%776.18K55.93%1.34M40.66%1.34M40.66%1.34M125.76%1.3M2,297.83%1.24M1,703.74%858.11K1,709.02%951.33K1,709.02%951.33K554.10%574.32K
-Notes receivable --1.3M------------------------------------
-Accrued interest receivable --0--0-9.49%11.55K-9.49%11.55K41.21%18.99K--19.13K--17.55K--12.76K--12.76K--13.45K
-Taxes receivable -36.11%120.75K-39.00%100.97K-15.63%118.17K-15.63%118.17K-59.59%107.3K32.59%188.99K85.73%165.51K44.66%140.05K44.66%140.05K--265.55K
-Other receivables 79.70%965.93K108.34%593.22K217.56%714.28K217.56%714.28K470.08%574.12K7,819.80%537.52K2,443.83%284.73K13,401.14%224.93K13,401.14%224.93K44.65%100.71K
Inventory 46.40%293.33K65.82%379.74K38.77%431.48K38.77%431.48K227.90%838.84K-40.45%200.36K-14.36%229.01K40.65%310.93K40.65%310.93K--255.82K
Prepaid assets -16.52%1.1M-11.41%1.31M-31.55%1.61M-31.55%1.61M-79.37%774.55K-70.01%1.32M-74.04%1.48M-60.75%2.35M-60.75%2.35M--3.75M
Restricted cash -33.15%53.9K-25.58%54K31.74%95.31K31.74%95.31K193.37%61.35K--80.63K--72.56K--72.35K--72.35K--20.91K
Current deferred assets -14.68%140.64K--145.25K--149.86K--149.86K--159.84K--164.84K------0--0----
Total current assets -61.73%5.58M-67.14%5.54M-64.78%8.1M-64.78%8.1M-56.92%12.05M-55.71%14.59M-54.53%16.86M-22.39%23M-22.39%23M367.97%27.97M
Non current assets
Net PPE -38.03%1.5M-33.21%1.69M-6.64%2.09M-6.64%2.09M68.39%2.17M200.11%2.42M185.28%2.54M227.55%2.24M227.55%2.24M138.77%1.29M
-Gross PPE -25.67%2.11M-21.83%2.26M16.56%2.62M16.56%2.62M28.37%2.62M236.86%2.84M214.70%2.89M217.47%2.24M217.47%2.24M264.61%2.04M
-Accumulated depreciation -45.74%-610.93K-60.44%-562.81K---520.61K---520.61K40.43%-447.56K-1,052.89%-419.19K-1,136.67%-350.78K---------3,772.38%-751.36K
Goodwill and other intangible assets -14.69%5.93M-9.51%6.04M-17.27%6.17M-17.27%6.17M-43.15%6.51M86.05%6.96M82.68%6.68M86.45%7.46M86.45%7.46M138.59%11.45M
-Goodwill -50.15%88.2K--88.2K--88.2K--88.2K-96.93%223.2K-61.07%176.92K------0--0--7.28M
-Other intangible assets -13.77%5.85M-10.83%5.95M-18.45%6.08M-18.45%6.08M50.66%6.29M106.41%6.78M108.63%6.68M86.45%7.46M86.45%7.46M-13.05%4.17M
Non current prepaid assets --------------------------------------0
Total non current assets -20.72%7.44M-16.03%7.73M-14.81%8.26M-14.81%8.26M-31.84%8.69M106.30%9.38M102.75%9.21M75.01%9.7M75.01%9.7M138.61%12.74M
Total assets -45.69%13.02M-49.08%13.28M-49.96%16.36M-49.96%16.36M-49.07%20.74M-36.07%23.97M-37.36%26.07M-7.04%32.7M-7.04%32.7M259.74%40.72M
Liabilities
Current liabilities
Payables 5.01%4.21M23.87%4.6M18.77%4.63M18.77%4.63M-2.06%5.18M203.75%4.01M541.21%3.72M237.22%3.9M237.22%3.9M1,079.33%5.29M
-accounts payable 2.42%1.77M24.91%1.83M30.39%1.69M30.39%1.69M51.00%1.82M91.76%1.73M615.36%1.46M395.05%1.3M395.05%1.3M1,051.16%1.21M
-Total tax payable 65.90%1.84M67.31%1.97M22.39%2.03M22.39%2.03M99.91%1.97M642.33%1.11M1,025.04%1.18M1,235.38%1.66M1,235.38%1.66M1,232.46%987.59K
-Due to related parties current -79.34%13.26K-56.99%9.57K-55.63%9.9K-55.63%9.9K53.09%34.65K181.22%64.18K-12.46%22.25K-95.75%22.31K-95.75%22.31K-8.59%22.64K
-Other payable -46.86%588.67K-24.43%796.13K-2.35%897.57K-2.35%897.57K-56.01%1.35M352.14%1.11M330.00%1.05M275.19%919.21K275.19%919.21K1,155.01%3.07M
Current accrued expenses 5.77%3.93M-10.86%2.51M-23.00%3.53M-23.00%3.53M-46.79%2.28M323.90%3.72M557.34%2.82M933.18%4.59M933.18%4.59M887.97%4.28M
Current debt and capital lease obligation -24.98%435.11K-20.82%460.92K17.84%584.59K17.84%584.59K9.99%555.38K62.72%579.97K92.69%582.12K127.49%496.1K127.49%496.1K200.98%504.96K
-Current debt -30.05%17.05K-28.76%18.98K-24.33%21.31K-24.33%21.31K-89.11%22.38K-61.59%24.38K--26.64K--28.16K--28.16K--205.45K
-Current capital lease obligation -24.75%418.06K-20.44%441.94K20.37%563.28K20.37%563.28K77.96%533K89.64%555.59K83.87%555.48K114.57%467.94K114.57%467.94K78.52%299.51K
Current deferred liabilities -6.38%1.77M-19.52%1.8M-33.95%1.74M-33.95%1.74M-30.04%1.85M40,761.22%1.89M11,891.02%2.24M10,323.66%2.63M10,323.66%2.63M7,338.16%2.65M
Current liabilities 1.47%10.35M0.26%9.37M-9.71%10.49M-9.71%10.49M-22.46%9.87M276.69%10.2M449.24%9.35M376.07%11.61M376.07%11.61M1,072.31%12.72M
Non current liabilities
Long term debt and capital lease obligation -47.76%556.5K-43.43%655.22K-20.98%847.95K-20.98%847.95K164.14%921.58K149.68%1.07M127.67%1.16M161.07%1.07M161.07%1.07M-4.55%348.9K
-Long term capital lease obligation -47.76%556.5K-43.43%655.22K-20.98%847.95K-20.98%847.95K164.14%921.58K149.68%1.07M127.67%1.16M161.07%1.07M161.07%1.07M-4.55%348.9K
Preferred securities outside stock equity --0--0--0--0--0--0--0--0--0--0
Total non current liabilities -47.76%556.5K-43.43%655.22K-20.98%847.95K-20.98%847.95K164.14%921.58K149.68%1.07M127.67%1.16M161.07%1.07M161.07%1.07M-98.64%348.9K
Total liabilities -3.18%10.91M-4.56%10.03M-10.67%11.33M-10.67%11.33M-17.48%10.79M259.40%11.26M375.26%10.51M345.07%12.69M345.07%12.69M-51.11%13.07M
Shareholders'equity
Share capital -89.56%297-91.05%25222.82%3.33K22.82%3.33K20.18%3.11K15.93%2.85K18.61%2.82K37.25%2.71K37.25%2.71K166.70%2.59K
-common stock -89.56%297-91.05%25222.82%3.33K22.82%3.33K20.18%3.11K15.93%2.85K18.61%2.82K37.25%2.71K37.25%2.71K166.70%2.59K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -16.67%-104.71M-18.84%-102.72M-22.35%-99.27M-22.35%-99.27M-31.17%-93.61M-46.16%-89.75M-60.36%-86.43M-71.35%-81.14M-71.35%-81.14M-153.82%-71.36M
Paid-in capital 3.29%107.11M3.01%106.42M4.12%105.6M4.12%105.6M5.71%104.9M7.99%103.69M10.43%103.31M27.05%101.43M27.05%101.43M680.61%99.23M
Less: Treasury stock --0-65.54%186.78K--785.53K--785.53K--640.53K--640.53K--541.99K------------
Gains losses not affecting retained earnings 246.38%269.72K100.59%1.93K-528.34%-242.13K-528.34%-242.13K-410.16%-284.34K-411.85%-184.25K-237.50%-325.69K204.02%56.53K204.02%56.53K570.66%91.68K
Other equity interest ---283K------------------------------------
Total stockholders'equity -81.81%2.39M-78.04%3.52M-73.92%5.31M-73.92%5.31M-62.92%10.37M-62.06%13.12M-59.52%16.02M-37.25%20.35M-37.25%20.35M281.31%27.96M
Noncontrolling interests 34.36%-271.6K39.73%-271.22K17.61%-277.25K17.61%-277.25K-31.12%-419.48K-84.12%-413.77K-202.37%-450K-227.40%-336.52K-227.40%-336.52K---319.93K
Total equity -83.36%2.11M-79.14%3.25M-74.87%5.03M-74.87%5.03M-64.01%9.95M-63.01%12.71M-60.51%15.57M-38.09%20.01M-38.09%20.01M279.23%27.64M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

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