CA Stock MarketDetailed Quotes

SSC.H SmartCool Systems Inc

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  • 0.045
  • 0.0000.00%
15min DelayMarket Closed Apr 11 09:30 ET
11.36MMarket Cap-4500P/E (TTM)

SmartCool Systems Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2019
(Q2)Jun 30, 2019
(Q1)Mar 31, 2019
(Q3)Sep 30, 2018
(Q2)Jun 30, 2018
(Q1)Mar 31, 2018
(FY)Dec 31, 2017
(Q4)Dec 31, 2017
(Q3)Sep 30, 2017
(Q2)Jun 30, 2017
Assets
Current assets
Cash, cash equivalents and short term investments
500.46%94.39K
422.84%168.04K
245.73%650.17K
-78.63%15.72K
-84.38%32.14K
332.97%188.06K
4,038.11%477K
4,038.11%477K
73.80%73.57K
564.09%205.71K
-Cash and cash equivalents
500.46%94.39K
422.84%168.04K
245.73%650.17K
-76.63%15.72K
-83.20%32.14K
504.33%188.06K
14,280.46%477K
14,280.46%477K
204.77%67.26K
1,195.77%191.35K
-Accounts receivable
-60.34%272.23K
-48.66%254.43K
0.11%525.59K
17.08%686.4K
92.06%495.54K
205.40%525.01K
58.76%311.52K
58.76%311.52K
92.82%586.27K
-16.00%258.01K
Total current assets
-26.41%817.83K
-8.83%873.34K
37.24%1.52M
-0.91%1.11M
11.54%957.94K
164.04%1.11M
176.93%1.15M
176.93%1.15M
95.70%1.12M
33.11%858.85K
Non current assets
-Accumulated depreciation
---992.28K
---978.63K
---974.5K
----
----
----
2.22%-638.16K
2.22%-638.16K
----
----
-Long term equity investment
9.45%520.96K
8.21%515.83K
7.01%510.86K
--475.96K
--476.68K
--477.38K
--484K
--484K
----
----
-Goodwill
-93.20%115.87K
-52.88%165.85K
-54.27%215.84K
133.39%1.7M
-59.42%351.95K
-53.03%472.01K
-48.18%592.07K
-48.18%592.07K
-43.00%729.68K
-38.83%867.3K
-Other intangible assets
0.62%8.74M
2.37%8.74M
4.69%8.74M
6.47%8.68M
14.46%8.53M
16.14%8.34M
24.87%8.3M
24.87%8.3M
22.79%8.16M
12.56%7.46M
Regulatory assets
-60.34%272.23K
-48.66%254.43K
0.11%525.59K
13.03%686.4K
83.49%495.54K
188.74%525.01K
47.29%311.52K
47.29%311.52K
92.92%607.29K
-30.52%270.07K
Non current deferred assets
-92.30%13.24K
-70.43%39.57K
-42.12%77.69K
--171.89K
--133.82K
--134.22K
--134.22K
--134.22K
----
----
Liabilities
Current liabilities
Current debt and capital lease obligation
82.11%1.39M
379.12%1.25M
365.44%1.1M
278.25%763.36K
-58.56%261.25K
-66.86%236.79K
-73.05%206.35K
-73.05%206.35K
-70.18%201.81K
1.38%630.39K
-Current debt
82.11%1.39M
379.12%1.25M
365.44%1.1M
278.25%763.36K
-58.56%261.25K
-66.86%236.79K
-73.05%206.35K
-73.05%206.35K
-70.18%201.81K
1.38%630.39K
-accounts payable
-24.75%1.02M
37.34%965.65K
65.38%1.38M
33.84%1.36M
-23.50%703.11K
3.86%832.2K
-1.88%891.81K
-1.88%891.81K
38.91%1.02M
21.30%919.04K
-Total tax payable
-18.00%649.41K
28.24%707.79K
25.11%707.3K
448.93%791.94K
253.24%551.93K
169.53%565.33K
166.62%584.64K
166.62%584.64K
-45.19%144.27K
-42.85%156.25K
Current deferred liabilities
43.96%557.11K
80.22%760.87K
206.16%1.27M
12.08%387K
22.04%422.19K
39.34%413.76K
31.70%384.96K
31.70%384.96K
29.47%345.28K
29.54%345.93K
Current liabilities
18.31%2.97M
114.44%2.97M
152.59%3.75M
60.57%2.51M
-26.85%1.39M
-18.20%1.48M
-24.60%1.48M
-24.60%1.48M
-6.65%1.56M
15.12%1.9M
Non current liabilities
Non current accrued expenses
-81.15%16.73K
714.29%24.05K
1,004.56%40.9K
2,220.10%88.77K
-16.35%2.95K
-6.49%3.7K
-12.47%3.26K
-12.47%3.26K
-42.78%3.83K
-64.10%3.53K
Derivative product liabilities
-49.31%128.45K
--191.96K
--196.44K
--253.43K
----
----
----
----
----
----
Long term provisions
9.45%520.96K
8.21%515.83K
7.01%510.86K
--475.96K
--476.68K
--477.38K
--484K
--484K
----
----
Total non current liabilities
9.61%3.62M
89.89%3.68M
117.40%4.45M
93.36%3.3M
-5.51%1.94M
1.26%2.05M
-5.42%2.07M
-5.42%2.07M
-11.89%1.71M
6.86%2.05M
Shareholders'equity
Share capital
0.65%34.87M
3.27%34.87M
5.33%34.87M
6.81%34.64M
5.03%33.76M
3.67%33.1M
2.44%32.86M
2.44%32.86M
1.09%32.43M
0.55%32.14M
-common stock
0.65%34.87M
3.27%34.87M
5.33%34.87M
6.81%34.64M
5.03%33.76M
3.67%33.1M
2.44%32.86M
2.44%32.86M
1.09%32.43M
0.55%32.14M
Gains losses not affecting retained earnings
102.61%12.47K
110.62%69.36K
94.37%-29.83K
-41.88%-477.37K
-140.68%-652.84K
-64.97%-530.16K
-4.99%-337.78K
-4.99%-337.78K
4.27%-336.47K
24.74%-271.25K
Other equity interest
----
----
----
----
----
----
----
----
---1
----
Total equity
-68.66%963.67K
-23.77%1.1M
7.93%1.85M
65.77%3.07M
-16.36%1.45M
20.15%1.72M
20.32%1.88M
20.32%1.88M
-0.26%1.86M
-16.55%1.73M
(Q3)Sep 30, 2019(Q2)Jun 30, 2019(Q1)Mar 31, 2019(Q3)Sep 30, 2018(Q2)Jun 30, 2018(Q1)Mar 31, 2018(FY)Dec 31, 2017(Q4)Dec 31, 2017(Q3)Sep 30, 2017(Q2)Jun 30, 2017
Assets
Current assets
Cash, cash equivalents and short term investments 500.46%94.39K422.84%168.04K245.73%650.17K-78.63%15.72K-84.38%32.14K332.97%188.06K4,038.11%477K4,038.11%477K73.80%73.57K564.09%205.71K
-Cash and cash equivalents 500.46%94.39K422.84%168.04K245.73%650.17K-76.63%15.72K-83.20%32.14K504.33%188.06K14,280.46%477K14,280.46%477K204.77%67.26K1,195.77%191.35K
-Accounts receivable -60.34%272.23K-48.66%254.43K0.11%525.59K17.08%686.4K92.06%495.54K205.40%525.01K58.76%311.52K58.76%311.52K92.82%586.27K-16.00%258.01K
Total current assets -26.41%817.83K-8.83%873.34K37.24%1.52M-0.91%1.11M11.54%957.94K164.04%1.11M176.93%1.15M176.93%1.15M95.70%1.12M33.11%858.85K
Non current assets
-Accumulated depreciation ---992.28K---978.63K---974.5K------------2.22%-638.16K2.22%-638.16K--------
-Long term equity investment 9.45%520.96K8.21%515.83K7.01%510.86K--475.96K--476.68K--477.38K--484K--484K--------
-Goodwill -93.20%115.87K-52.88%165.85K-54.27%215.84K133.39%1.7M-59.42%351.95K-53.03%472.01K-48.18%592.07K-48.18%592.07K-43.00%729.68K-38.83%867.3K
-Other intangible assets 0.62%8.74M2.37%8.74M4.69%8.74M6.47%8.68M14.46%8.53M16.14%8.34M24.87%8.3M24.87%8.3M22.79%8.16M12.56%7.46M
Regulatory assets -60.34%272.23K-48.66%254.43K0.11%525.59K13.03%686.4K83.49%495.54K188.74%525.01K47.29%311.52K47.29%311.52K92.92%607.29K-30.52%270.07K
Non current deferred assets -92.30%13.24K-70.43%39.57K-42.12%77.69K--171.89K--133.82K--134.22K--134.22K--134.22K--------
Liabilities
Current liabilities
Current debt and capital lease obligation 82.11%1.39M379.12%1.25M365.44%1.1M278.25%763.36K-58.56%261.25K-66.86%236.79K-73.05%206.35K-73.05%206.35K-70.18%201.81K1.38%630.39K
-Current debt 82.11%1.39M379.12%1.25M365.44%1.1M278.25%763.36K-58.56%261.25K-66.86%236.79K-73.05%206.35K-73.05%206.35K-70.18%201.81K1.38%630.39K
-accounts payable -24.75%1.02M37.34%965.65K65.38%1.38M33.84%1.36M-23.50%703.11K3.86%832.2K-1.88%891.81K-1.88%891.81K38.91%1.02M21.30%919.04K
-Total tax payable -18.00%649.41K28.24%707.79K25.11%707.3K448.93%791.94K253.24%551.93K169.53%565.33K166.62%584.64K166.62%584.64K-45.19%144.27K-42.85%156.25K
Current deferred liabilities 43.96%557.11K80.22%760.87K206.16%1.27M12.08%387K22.04%422.19K39.34%413.76K31.70%384.96K31.70%384.96K29.47%345.28K29.54%345.93K
Current liabilities 18.31%2.97M114.44%2.97M152.59%3.75M60.57%2.51M-26.85%1.39M-18.20%1.48M-24.60%1.48M-24.60%1.48M-6.65%1.56M15.12%1.9M
Non current liabilities
Non current accrued expenses -81.15%16.73K714.29%24.05K1,004.56%40.9K2,220.10%88.77K-16.35%2.95K-6.49%3.7K-12.47%3.26K-12.47%3.26K-42.78%3.83K-64.10%3.53K
Derivative product liabilities -49.31%128.45K--191.96K--196.44K--253.43K------------------------
Long term provisions 9.45%520.96K8.21%515.83K7.01%510.86K--475.96K--476.68K--477.38K--484K--484K--------
Total non current liabilities 9.61%3.62M89.89%3.68M117.40%4.45M93.36%3.3M-5.51%1.94M1.26%2.05M-5.42%2.07M-5.42%2.07M-11.89%1.71M6.86%2.05M
Shareholders'equity
Share capital 0.65%34.87M3.27%34.87M5.33%34.87M6.81%34.64M5.03%33.76M3.67%33.1M2.44%32.86M2.44%32.86M1.09%32.43M0.55%32.14M
-common stock 0.65%34.87M3.27%34.87M5.33%34.87M6.81%34.64M5.03%33.76M3.67%33.1M2.44%32.86M2.44%32.86M1.09%32.43M0.55%32.14M
Gains losses not affecting retained earnings 102.61%12.47K110.62%69.36K94.37%-29.83K-41.88%-477.37K-140.68%-652.84K-64.97%-530.16K-4.99%-337.78K-4.99%-337.78K4.27%-336.47K24.74%-271.25K
Other equity interest -----------------------------------1----
Total equity -68.66%963.67K-23.77%1.1M7.93%1.85M65.77%3.07M-16.36%1.45M20.15%1.72M20.32%1.88M20.32%1.88M-0.26%1.86M-16.55%1.73M

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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