US Stock MarketDetailed Quotes

SPRU Spruce Power

Watchlist
  • 2.7400
  • +0.2300+9.16%
Close Dec 3 16:00 ET
  • 2.7800
  • +0.0400+1.46%
Post 18:18 ET
50.97MMarket Cap-536P/E (TTM)

Spruce Power 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
-26.30%113.66M
-28.36%116.59M
-30.22%120.58M
-35.84%141.35M
-35.84%141.35M
-35.62%154.21M
-49.51%162.75M
-48.18%172.8M
-37.35%220.32M
-37.35%220.32M
-Cash and cash equivalents
-26.30%113.66M
-28.36%116.59M
-30.22%120.58M
-35.84%141.35M
-35.84%141.35M
-35.62%154.21M
-49.51%162.75M
-48.18%172.8M
-37.35%220.32M
-37.35%220.32M
Receivables
-8.34%11.52M
-2.31%13.25M
-3.81%10.96M
10.22%9.19M
10.22%9.19M
-26.73%12.57M
92.38%13.57M
51.77%11.4M
--8.34M
--8.34M
-Accounts receivable
-8.34%11.52M
-2.31%13.25M
-3.81%10.96M
10.22%9.19M
10.22%9.19M
-26.73%12.57M
92.38%13.57M
51.77%11.4M
--8.34M
--8.34M
Restricted cash
-5.71%36.32M
14.51%33.62M
-12.20%29.09M
59.35%31.59M
59.35%31.59M
19.93%38.52M
19,474.00%29.36M
21,985.33%33.13M
13,115.33%19.82M
13,115.33%19.82M
Other current assets
-49.59%4.78M
-36.29%5.14M
-23.69%5.38M
85.84%9.88M
85.84%9.88M
67.10%9.48M
509.37%8.06M
253.71%7.05M
1,614.84%5.32M
1,614.84%5.32M
Total current assets
-24.31%173.01M
-21.30%178.87M
-24.38%178.24M
-26.05%203.34M
-26.05%203.34M
-27.62%228.59M
-34.13%227.3M
-34.02%235.7M
-26.60%274.96M
-26.60%274.96M
Non current assets
Net PPE
-5.03%469.72M
-0.74%476.63M
-0.42%483.46M
22.90%490.34M
22.90%490.34M
5,224.27%494.63M
6,421.62%480.19M
7,235.13%485.51M
100,143.72%398.97M
100,143.72%398.97M
-Gross PPE
-0.38%516.71M
4.00%518.26M
4.33%519.38M
28.42%520.36M
28.42%520.36M
5,483.41%518.7M
6,667.74%498.31M
7,421.33%497.84M
68,927.43%405.19M
68,927.43%405.19M
-Accumulated depreciation
-95.16%-46.98M
-129.73%-41.63M
-191.42%-35.92M
-382.61%-30.02M
-382.61%-30.02M
---24.07M
---18.12M
---12.33M
-3,191.53%-6.22M
-3,191.53%-6.22M
Goodwill and other intangible assets
-76.25%9.27M
-2.48%38.33M
-2.42%38.64M
-69.70%38.95M
-69.70%38.95M
-75.57%39.02M
3,057.43%39.31M
2,319.06%39.6M
--128.55M
--128.55M
-Goodwill
--0
0.00%28.76M
0.00%28.76M
-77.63%28.76M
-77.63%28.76M
-81.87%28.76M
--28.76M
--28.76M
--128.55M
--128.55M
-Other intangible assets
-9.70%9.27M
-9.25%9.58M
-8.83%9.89M
--10.2M
--10.2M
867.20%10.26M
747.63%10.55M
562.37%10.84M
----
----
Investments and advances
-5.03%138.34M
-3.78%141.08M
-2.65%142.99M
--143.1M
--143.1M
--145.67M
--146.63M
--146.89M
--0
--0
Financial assets
-57.03%12.81M
-8.15%20.12M
30.44%21.49M
-25.01%16.55M
-25.01%16.55M
6.49%29.82M
--21.9M
--16.47M
--22.07M
--22.07M
Non current deferred assets
59.41%3.37M
99.05%3.16M
43.24%2.81M
50.92%2.45M
50.92%2.45M
--2.11M
--1.59M
--1.96M
--1.63M
--1.63M
Other non current assets
-12.07%255K
-12.37%255K
-0.39%256K
-24.54%289K
-24.54%289K
-99.93%290K
155.26%291K
123.48%257K
-97.90%383K
-97.90%383K
Total non current assets
-10.93%633.77M
-1.50%679.56M
-0.15%689.65M
25.40%691.68M
25.40%691.68M
18.23%711.53M
7,809.88%689.9M
8,151.02%690.69M
2,863.02%551.6M
2,863.02%551.6M
Total assets
-14.18%806.77M
-6.41%858.43M
-6.32%867.89M
8.28%895.02M
8.28%895.02M
2.45%940.12M
159.24%917.2M
153.39%926.39M
110.20%826.55M
110.20%826.55M
Liabilities
Current liabilities
Payables
1.69%1.99M
-45.37%2.49M
-55.47%1.53M
-35.54%1.87M
-35.54%1.87M
-71.25%1.96M
124.74%4.56M
27.78%3.44M
316.64%2.9M
316.64%2.9M
-accounts payable
-30.64%858K
-56.94%1.42M
-65.14%769K
-61.43%1.12M
-61.43%1.12M
-81.82%1.24M
62.20%3.29M
-17.96%2.21M
316.64%2.9M
316.64%2.9M
-Total tax payable
57.22%1.13M
-15.37%1.07M
-38.13%761K
--752K
--752K
--720K
--1.27M
--1.23M
--0
--0
Current accrued expenses
-48.35%24.96M
-5.47%15.6M
4.51%19.4M
147.90%36.65M
147.90%36.65M
132.48%48.32M
167.42%16.51M
222.89%18.56M
147.90%14.78M
147.90%14.78M
Current debt and capital lease obligation
1.60%29.31M
10.27%29.42M
8.79%29.32M
11.21%29.08M
11.21%29.08M
7.62%28.85M
3,230.46%26.68M
2,225.54%26.95M
51,170.59%26.15M
51,170.59%26.15M
-Current debt
2.28%28.35M
9.25%28.37M
9.76%28.18M
10.27%27.91M
10.27%27.91M
9.39%27.72M
96,088.89%25.97M
38,219.40%25.67M
--25.31M
--25.31M
-Current capital lease obligation
-15.10%956K
47.59%1.04M
-10.87%1.14M
39.81%1.17M
39.81%1.17M
-22.98%1.13M
-8.79%706K
17.12%1.28M
1,535.29%834K
1,535.29%834K
Current deferred liabilities
1,461.11%1.69M
2,260.67%2.1M
1,723.81%1.15M
265.83%878K
265.83%878K
-34.15%108K
-48.85%89K
-73.08%63K
-13.67%240K
-13.67%240K
Other current liabilities
--105K
--65K
----
----
----
----
----
--802K
-5.67%9.1M
-5.67%9.1M
Current liabilities
-23.18%62.81M
8.54%53.81M
2.24%53.25M
20.13%71.71M
20.13%71.71M
39.26%81.76M
317.58%49.58M
334.31%52.08M
258.91%59.7M
258.91%59.7M
Non current liabilities
Long term debt and capital lease obligation
-3.89%582.07M
-0.38%589.75M
-1.07%590.83M
25.11%596.6M
25.11%596.6M
23.08%605.61M
12,559.86%591.98M
18,692.54%597.23M
523,929.67%476.87M
523,929.67%476.87M
-Long term debt
-3.77%577.01M
-0.50%584.48M
-1.52%585.36M
24.54%590.87M
24.54%590.87M
23.62%599.61M
9,789,783.33%587.39M
6,604,288.89%594.4M
--474.44M
--474.44M
-Long term capital lease obligation
-15.71%5.06M
14.99%5.27M
93.22%5.47M
136.23%5.73M
136.23%5.73M
-14.27%6M
-1.88%4.58M
-10.63%2.83M
2,565.93%2.43M
2,565.93%2.43M
Non current deferred liabilities
165.31%2.88M
186.02%2.54M
183.84%2.04M
311.06%1.86M
311.06%1.86M
-25.65%1.08M
-22.33%887K
-16.90%718K
--452K
--452K
Derivative product liabilities
1,497.37%607K
61.47%176K
95.77%278K
235.94%860K
235.94%860K
-85.33%38K
-87.96%109K
-94.72%142K
-95.26%256K
-95.26%256K
Other non current liabilities
-7.90%6.73M
-9.16%7.53M
-22.99%8.35M
91,450.00%9.16M
91,450.00%9.16M
8,702.41%7.31M
8,629.47%8.29M
3,298.43%10.84M
-98.15%10K
-98.15%10K
Total non current liabilities
-3.56%592.33M
-0.23%600.06M
-1.19%601.68M
27.36%608.64M
27.36%608.64M
15.30%614.23M
8,721.58%601.46M
8,539.73%608.93M
3,133.72%477.88M
3,133.72%477.88M
Total liabilities
-5.87%655.14M
0.44%653.87M
-0.92%654.92M
26.56%680.35M
26.56%680.35M
17.68%695.98M
3,383.31%651.03M
3,371.85%661.01M
1,611.43%537.58M
1,611.43%537.58M
Shareholders'equity
Share capital
-85.71%2K
-85.71%2K
-85.71%2K
0.00%2K
0.00%2K
0.00%14K
0.00%14K
0.00%14K
-85.71%2K
-85.71%2K
-common stock
-85.71%2K
-85.71%2K
-85.71%2K
0.00%2K
0.00%2K
0.00%14K
0.00%14K
0.00%14K
-85.71%2K
-85.71%2K
Retained earnings
-41.61%-322.45M
-29.05%-268.92M
-23.12%-260.34M
-33.38%-257.89M
-33.38%-257.89M
-51.61%-227.7M
-62.57%-208.39M
-83.09%-211.45M
-94.49%-193.34M
-94.49%-193.34M
Paid-in capital
0.61%477.41M
0.67%476.71M
0.80%476.48M
0.50%475.65M
0.50%475.65M
2.25%474.5M
2.21%473.54M
2.31%472.69M
2.62%473.29M
2.62%473.29M
Less: Treasury stock
5.96%5.42M
236.06%5.42M
--5.42M
--5.42M
--5.42M
--5.12M
--1.61M
----
--0
--0
Total stockholders'equity
-38.13%149.54M
-23.21%202.37M
-19.35%210.71M
-24.15%212.34M
-24.15%212.34M
-22.99%241.7M
-21.36%263.55M
-24.61%261.26M
-22.63%279.95M
-22.63%279.95M
Noncontrolling interests
-14.11%2.09M
-16.07%2.19M
-45.47%2.25M
-74.24%2.33M
-74.24%2.33M
-80.22%2.44M
--2.61M
--4.13M
--9.03M
--9.03M
Total equity
-37.89%151.64M
-23.14%204.56M
-19.75%212.96M
-25.71%214.67M
-25.71%214.67M
-25.16%244.14M
-20.58%266.17M
-23.42%265.39M
-20.13%288.98M
-20.13%288.98M
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
--
--
--
--
--
--
(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 -26.30%113.66M-28.36%116.59M-30.22%120.58M-35.84%141.35M-35.84%141.35M-35.62%154.21M-49.51%162.75M-48.18%172.8M-37.35%220.32M-37.35%220.32M
-Cash and cash equivalents -26.30%113.66M-28.36%116.59M-30.22%120.58M-35.84%141.35M-35.84%141.35M-35.62%154.21M-49.51%162.75M-48.18%172.8M-37.35%220.32M-37.35%220.32M
Receivables -8.34%11.52M-2.31%13.25M-3.81%10.96M10.22%9.19M10.22%9.19M-26.73%12.57M92.38%13.57M51.77%11.4M--8.34M--8.34M
-Accounts receivable -8.34%11.52M-2.31%13.25M-3.81%10.96M10.22%9.19M10.22%9.19M-26.73%12.57M92.38%13.57M51.77%11.4M--8.34M--8.34M
Restricted cash -5.71%36.32M14.51%33.62M-12.20%29.09M59.35%31.59M59.35%31.59M19.93%38.52M19,474.00%29.36M21,985.33%33.13M13,115.33%19.82M13,115.33%19.82M
Other current assets -49.59%4.78M-36.29%5.14M-23.69%5.38M85.84%9.88M85.84%9.88M67.10%9.48M509.37%8.06M253.71%7.05M1,614.84%5.32M1,614.84%5.32M
Total current assets -24.31%173.01M-21.30%178.87M-24.38%178.24M-26.05%203.34M-26.05%203.34M-27.62%228.59M-34.13%227.3M-34.02%235.7M-26.60%274.96M-26.60%274.96M
Non current assets
Net PPE -5.03%469.72M-0.74%476.63M-0.42%483.46M22.90%490.34M22.90%490.34M5,224.27%494.63M6,421.62%480.19M7,235.13%485.51M100,143.72%398.97M100,143.72%398.97M
-Gross PPE -0.38%516.71M4.00%518.26M4.33%519.38M28.42%520.36M28.42%520.36M5,483.41%518.7M6,667.74%498.31M7,421.33%497.84M68,927.43%405.19M68,927.43%405.19M
-Accumulated depreciation -95.16%-46.98M-129.73%-41.63M-191.42%-35.92M-382.61%-30.02M-382.61%-30.02M---24.07M---18.12M---12.33M-3,191.53%-6.22M-3,191.53%-6.22M
Goodwill and other intangible assets -76.25%9.27M-2.48%38.33M-2.42%38.64M-69.70%38.95M-69.70%38.95M-75.57%39.02M3,057.43%39.31M2,319.06%39.6M--128.55M--128.55M
-Goodwill --00.00%28.76M0.00%28.76M-77.63%28.76M-77.63%28.76M-81.87%28.76M--28.76M--28.76M--128.55M--128.55M
-Other intangible assets -9.70%9.27M-9.25%9.58M-8.83%9.89M--10.2M--10.2M867.20%10.26M747.63%10.55M562.37%10.84M--------
Investments and advances -5.03%138.34M-3.78%141.08M-2.65%142.99M--143.1M--143.1M--145.67M--146.63M--146.89M--0--0
Financial assets -57.03%12.81M-8.15%20.12M30.44%21.49M-25.01%16.55M-25.01%16.55M6.49%29.82M--21.9M--16.47M--22.07M--22.07M
Non current deferred assets 59.41%3.37M99.05%3.16M43.24%2.81M50.92%2.45M50.92%2.45M--2.11M--1.59M--1.96M--1.63M--1.63M
Other non current assets -12.07%255K-12.37%255K-0.39%256K-24.54%289K-24.54%289K-99.93%290K155.26%291K123.48%257K-97.90%383K-97.90%383K
Total non current assets -10.93%633.77M-1.50%679.56M-0.15%689.65M25.40%691.68M25.40%691.68M18.23%711.53M7,809.88%689.9M8,151.02%690.69M2,863.02%551.6M2,863.02%551.6M
Total assets -14.18%806.77M-6.41%858.43M-6.32%867.89M8.28%895.02M8.28%895.02M2.45%940.12M159.24%917.2M153.39%926.39M110.20%826.55M110.20%826.55M
Liabilities
Current liabilities
Payables 1.69%1.99M-45.37%2.49M-55.47%1.53M-35.54%1.87M-35.54%1.87M-71.25%1.96M124.74%4.56M27.78%3.44M316.64%2.9M316.64%2.9M
-accounts payable -30.64%858K-56.94%1.42M-65.14%769K-61.43%1.12M-61.43%1.12M-81.82%1.24M62.20%3.29M-17.96%2.21M316.64%2.9M316.64%2.9M
-Total tax payable 57.22%1.13M-15.37%1.07M-38.13%761K--752K--752K--720K--1.27M--1.23M--0--0
Current accrued expenses -48.35%24.96M-5.47%15.6M4.51%19.4M147.90%36.65M147.90%36.65M132.48%48.32M167.42%16.51M222.89%18.56M147.90%14.78M147.90%14.78M
Current debt and capital lease obligation 1.60%29.31M10.27%29.42M8.79%29.32M11.21%29.08M11.21%29.08M7.62%28.85M3,230.46%26.68M2,225.54%26.95M51,170.59%26.15M51,170.59%26.15M
-Current debt 2.28%28.35M9.25%28.37M9.76%28.18M10.27%27.91M10.27%27.91M9.39%27.72M96,088.89%25.97M38,219.40%25.67M--25.31M--25.31M
-Current capital lease obligation -15.10%956K47.59%1.04M-10.87%1.14M39.81%1.17M39.81%1.17M-22.98%1.13M-8.79%706K17.12%1.28M1,535.29%834K1,535.29%834K
Current deferred liabilities 1,461.11%1.69M2,260.67%2.1M1,723.81%1.15M265.83%878K265.83%878K-34.15%108K-48.85%89K-73.08%63K-13.67%240K-13.67%240K
Other current liabilities --105K--65K----------------------802K-5.67%9.1M-5.67%9.1M
Current liabilities -23.18%62.81M8.54%53.81M2.24%53.25M20.13%71.71M20.13%71.71M39.26%81.76M317.58%49.58M334.31%52.08M258.91%59.7M258.91%59.7M
Non current liabilities
Long term debt and capital lease obligation -3.89%582.07M-0.38%589.75M-1.07%590.83M25.11%596.6M25.11%596.6M23.08%605.61M12,559.86%591.98M18,692.54%597.23M523,929.67%476.87M523,929.67%476.87M
-Long term debt -3.77%577.01M-0.50%584.48M-1.52%585.36M24.54%590.87M24.54%590.87M23.62%599.61M9,789,783.33%587.39M6,604,288.89%594.4M--474.44M--474.44M
-Long term capital lease obligation -15.71%5.06M14.99%5.27M93.22%5.47M136.23%5.73M136.23%5.73M-14.27%6M-1.88%4.58M-10.63%2.83M2,565.93%2.43M2,565.93%2.43M
Non current deferred liabilities 165.31%2.88M186.02%2.54M183.84%2.04M311.06%1.86M311.06%1.86M-25.65%1.08M-22.33%887K-16.90%718K--452K--452K
Derivative product liabilities 1,497.37%607K61.47%176K95.77%278K235.94%860K235.94%860K-85.33%38K-87.96%109K-94.72%142K-95.26%256K-95.26%256K
Other non current liabilities -7.90%6.73M-9.16%7.53M-22.99%8.35M91,450.00%9.16M91,450.00%9.16M8,702.41%7.31M8,629.47%8.29M3,298.43%10.84M-98.15%10K-98.15%10K
Total non current liabilities -3.56%592.33M-0.23%600.06M-1.19%601.68M27.36%608.64M27.36%608.64M15.30%614.23M8,721.58%601.46M8,539.73%608.93M3,133.72%477.88M3,133.72%477.88M
Total liabilities -5.87%655.14M0.44%653.87M-0.92%654.92M26.56%680.35M26.56%680.35M17.68%695.98M3,383.31%651.03M3,371.85%661.01M1,611.43%537.58M1,611.43%537.58M
Shareholders'equity
Share capital -85.71%2K-85.71%2K-85.71%2K0.00%2K0.00%2K0.00%14K0.00%14K0.00%14K-85.71%2K-85.71%2K
-common stock -85.71%2K-85.71%2K-85.71%2K0.00%2K0.00%2K0.00%14K0.00%14K0.00%14K-85.71%2K-85.71%2K
Retained earnings -41.61%-322.45M-29.05%-268.92M-23.12%-260.34M-33.38%-257.89M-33.38%-257.89M-51.61%-227.7M-62.57%-208.39M-83.09%-211.45M-94.49%-193.34M-94.49%-193.34M
Paid-in capital 0.61%477.41M0.67%476.71M0.80%476.48M0.50%475.65M0.50%475.65M2.25%474.5M2.21%473.54M2.31%472.69M2.62%473.29M2.62%473.29M
Less: Treasury stock 5.96%5.42M236.06%5.42M--5.42M--5.42M--5.42M--5.12M--1.61M------0--0
Total stockholders'equity -38.13%149.54M-23.21%202.37M-19.35%210.71M-24.15%212.34M-24.15%212.34M-22.99%241.7M-21.36%263.55M-24.61%261.26M-22.63%279.95M-22.63%279.95M
Noncontrolling interests -14.11%2.09M-16.07%2.19M-45.47%2.25M-74.24%2.33M-74.24%2.33M-80.22%2.44M--2.61M--4.13M--9.03M--9.03M
Total equity -37.89%151.64M-23.14%204.56M-19.75%212.96M-25.71%214.67M-25.71%214.67M-25.16%244.14M-20.58%266.17M-23.42%265.39M-20.13%288.98M-20.13%288.98M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------
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