US Stock MarketDetailed Quotes

STCB STARCO BRANDS INC

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  • 0.090
  • 0.0000.00%
15min DelayClose Sep 13 16:00 ET
58.27MMarket Cap-818P/E (TTM)

STARCO BRANDS INC 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
12.24%2.01M
61.04%1.77M
18.97%1.76M
18.97%1.76M
228.66%1.55M
645.85%1.79M
491.00%1.1M
336.86%1.48M
336.86%1.48M
-15.84%470.36K
-Cash and cash equivalents
12.24%2.01M
61.04%1.77M
18.97%1.76M
18.97%1.76M
228.66%1.55M
645.85%1.79M
491.00%1.1M
336.86%1.48M
336.86%1.48M
-15.84%470.36K
Receivables
12.59%8.87M
-10.58%7.68M
278.03%9.66M
278.03%9.66M
436.95%10.57M
686.58%7.88M
1,433.06%8.59M
1,368.19%2.56M
1,368.19%2.56M
1,244.81%1.97M
-Accounts receivable
12.59%8.87M
-10.58%7.68M
278.03%9.66M
278.03%9.66M
436.95%10.57M
686.58%7.88M
1,433.06%8.59M
1,368.19%2.56M
1,368.19%2.56M
1,244.81%1.97M
Inventory
-37.25%13.21M
-38.11%11.26M
251.90%10.68M
251.90%10.68M
651.33%19.23M
--21.06M
--18.19M
--3.03M
--3.03M
--2.56M
Other current assets
53.71%3.3M
105.32%2.55M
247.88%3.14M
247.88%3.14M
447.99%1.85M
638.65%2.15M
105.88%1.24M
23.06%902.09K
23.06%902.09K
91.21%337.39K
Total current assets
-16.67%27.4M
-20.14%23.26M
216.57%25.24M
216.57%25.24M
522.11%33.19M
2,044.81%32.88M
2,059.46%29.12M
539.81%7.97M
539.81%7.97M
505.11%5.34M
Non current assets
Net PPE
1,267.94%657.88K
10.44%80.34K
-33.32%58.16K
-33.32%58.16K
-56.20%40.32K
--48.09K
--72.75K
--87.23K
--87.23K
--92.05K
-Gross PPE
729.84%922.69K
369.36%341.45K
260.67%314.6K
260.67%314.6K
217.05%291.85K
--111.19K
--72.75K
--87.23K
--87.23K
--92.05K
-Accumulated depreciation
-319.69%-264.81K
---261.11K
---256.44K
---256.44K
---251.53K
---63.1K
----
----
----
----
Goodwill and other intangible assets
-37.51%56.68M
-37.26%57.38M
75.73%58.05M
75.73%58.05M
806.13%90.03M
453,396.53%90.7M
457,165.19%91.45M
165,074.83%33.03M
165,074.83%33.03M
49,579.49%9.94M
-Goodwill
-63.16%26.69M
-67.63%26.69M
-18.72%26.69M
-18.72%26.69M
486.76%58.08M
--72.45M
--82.45M
--32.84M
--32.84M
--9.9M
-Other intangible assets
64.35%29.99M
240.91%30.69M
15,707.42%31.36M
15,707.42%31.36M
85,867.06%31.95M
--18.25M
--9M
892.02%198.4K
892.02%198.4K
--37.17K
Long-term notes receivables
----
----
--0
--0
--0
--0
0.00%95.64K
0.00%95.64K
0.00%95.64K
--95.64K
Total non current assets
-36.82%57.34M
-37.29%57.46M
74.94%58.11M
74.94%58.11M
789.73%90.07M
78,374.06%90.75M
79,129.87%91.62M
28,625.21%33.22M
28,625.21%33.22M
8,654.40%10.12M
Total assets
-31.46%84.74M
-33.15%80.71M
102.35%83.35M
102.35%83.35M
697.36%123.27M
7,398.95%123.63M
8,146.09%120.74M
2,925.12%41.19M
2,925.12%41.19M
1,449.95%15.46M
Liabilities
Current liabilities
Payables
4.10%17.21M
-76.31%12.28M
172.84%12.31M
172.84%12.31M
1,190.67%14.55M
1,594.83%16.53M
2,723.78%51.82M
107.10%4.51M
107.10%4.51M
55.13%1.13M
-accounts payable
-6.90%13.74M
-8.59%10.63M
201.92%9.8M
201.92%9.8M
2,388.56%12.32M
2,425.26%14.76M
1,572.82%11.63M
447.62%3.25M
447.62%3.25M
202.73%495.02K
-Other payable
95.71%3.47M
-95.89%1.65M
98.35%2.51M
98.35%2.51M
253.01%2.23M
353.36%1.77M
3,425.34%40.19M
-20.12%1.27M
-20.12%1.27M
12.28%632.4K
Current accrued expenses
--0
--0
389.09%34.04K
389.09%34.04K
--42.13K
-94.85%5.68K
-56.37%32.44K
-96.55%6.96K
-96.55%6.96K
----
Current debt and capital lease obligation
-46.83%2.57M
-6.78%7.63M
164.71%8.39M
164.71%8.39M
578.86%5.25M
1,184.64%4.84M
1,929.15%8.19M
637.12%3.17M
637.12%3.17M
64.44%773.56K
-Current debt
-47.88%2.51M
-6.31%7.63M
169.96%8.39M
169.96%8.39M
658.50%5.25M
1,179.55%4.82M
1,919.00%8.15M
622.80%3.11M
622.80%3.11M
47.17%692.33K
-Current capital lease obligation
217.30%60.82K
----
--0
--0
--0
--19.17K
--40.94K
--61.61K
--61.61K
--81.22K
Other current liabilities
-29.27%30.44M
--20.75M
--36.93M
--36.93M
--39.89M
--43.04M
----
----
----
----
Current liabilities
-22.03%50.22M
-32.27%40.66M
649.88%57.67M
649.88%57.67M
3,042.57%59.74M
4,305.40%64.41M
2,495.80%60.04M
173.58%7.69M
173.58%7.69M
58.57%1.9M
Non current liabilities
Long term debt and capital lease obligation
65.95%6.62M
----
----
----
194.71%4M
153.86%3.99M
----
-47.95%572.5K
-47.95%572.5K
126.21%1.36M
-Long term debt
52.98%6.11M
----
----
----
194.71%4M
153.86%3.99M
----
-47.95%572.5K
-47.95%572.5K
126.21%1.36M
-Long term capital lease obligation
--517.75K
----
----
----
----
----
----
----
----
----
Total non current liabilities
65.95%6.62M
--0
--0
--0
174.76%4M
134.28%3.99M
-98.11%32.85K
-50.80%638.2K
-50.80%638.2K
142.64%1.46M
Total liabilities
-16.90%56.84M
-32.31%40.66M
592.42%57.67M
592.42%57.67M
1,798.81%63.74M
2,060.53%68.4M
1,383.35%60.07M
102.74%8.33M
102.74%8.33M
86.61%3.36M
Shareholders'equity
Share capital
37.88%647.43K
37.03%643.3K
67.77%488.93K
67.77%488.93K
111.88%469.63K
193.03%469.55K
195.00%469.47K
83.13%291.43K
83.13%291.43K
39.28%221.65K
-common stock
37.88%647.43K
37.03%643.3K
67.77%488.93K
67.77%488.93K
111.88%469.63K
193.03%469.55K
195.00%469.47K
83.13%291.43K
83.13%291.43K
39.28%221.65K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-215.16%-79.79M
-253.54%-68.23M
-262.78%-63.77M
-262.78%-63.77M
-25.25%-22.99M
-39.07%-25.32M
-5.19%-19.3M
4.40%-17.58M
4.40%-17.58M
-10.00%-18.36M
Paid-in capital
39.30%98.67M
37.86%96.95M
73.38%75.13M
73.38%75.13M
153.21%72.77M
317.62%70.83M
337.94%70.33M
171.67%43.33M
171.67%43.33M
82.37%28.74M
Less: Treasury stock
-16.67%328.5K
-16.67%328.5K
0.00%394.2K
0.00%394.2K
0.00%394.2K
0.00%394.2K
0.00%394.2K
0.00%394.2K
0.00%394.2K
--394.2K
Other equity interest
----
-75.42%2.31M
-19.78%5.71M
-19.78%5.71M
396.27%9.42M
--9.42M
--9.42M
--7.11M
--7.11M
5,876.95%1.9M
Total stockholders'equity
-65.11%19.19M
-48.20%31.35M
-47.62%17.16M
-47.62%17.16M
389.52%59.27M
3,819.99%55M
2,498.54%60.52M
1,325.90%32.77M
1,325.90%32.77M
1,610.89%12.11M
Noncontrolling interests
3,858.35%8.7M
5,610.38%8.7M
8,955.33%8.51M
8,955.33%8.51M
4,296.20%254K
667.22%219.78K
345.62%152.4K
227.16%93.98K
227.16%93.98K
---6.05K
Total equity
-49.49%27.89M
-33.99%40.05M
-21.87%25.67M
-21.87%25.67M
391.86%59.53M
3,739.48%55.22M
2,446.87%60.67M
1,296.34%32.86M
1,296.34%32.86M
1,610.13%12.1M
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
--
--
--
--
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 12.24%2.01M61.04%1.77M18.97%1.76M18.97%1.76M228.66%1.55M645.85%1.79M491.00%1.1M336.86%1.48M336.86%1.48M-15.84%470.36K
-Cash and cash equivalents 12.24%2.01M61.04%1.77M18.97%1.76M18.97%1.76M228.66%1.55M645.85%1.79M491.00%1.1M336.86%1.48M336.86%1.48M-15.84%470.36K
Receivables 12.59%8.87M-10.58%7.68M278.03%9.66M278.03%9.66M436.95%10.57M686.58%7.88M1,433.06%8.59M1,368.19%2.56M1,368.19%2.56M1,244.81%1.97M
-Accounts receivable 12.59%8.87M-10.58%7.68M278.03%9.66M278.03%9.66M436.95%10.57M686.58%7.88M1,433.06%8.59M1,368.19%2.56M1,368.19%2.56M1,244.81%1.97M
Inventory -37.25%13.21M-38.11%11.26M251.90%10.68M251.90%10.68M651.33%19.23M--21.06M--18.19M--3.03M--3.03M--2.56M
Other current assets 53.71%3.3M105.32%2.55M247.88%3.14M247.88%3.14M447.99%1.85M638.65%2.15M105.88%1.24M23.06%902.09K23.06%902.09K91.21%337.39K
Total current assets -16.67%27.4M-20.14%23.26M216.57%25.24M216.57%25.24M522.11%33.19M2,044.81%32.88M2,059.46%29.12M539.81%7.97M539.81%7.97M505.11%5.34M
Non current assets
Net PPE 1,267.94%657.88K10.44%80.34K-33.32%58.16K-33.32%58.16K-56.20%40.32K--48.09K--72.75K--87.23K--87.23K--92.05K
-Gross PPE 729.84%922.69K369.36%341.45K260.67%314.6K260.67%314.6K217.05%291.85K--111.19K--72.75K--87.23K--87.23K--92.05K
-Accumulated depreciation -319.69%-264.81K---261.11K---256.44K---256.44K---251.53K---63.1K----------------
Goodwill and other intangible assets -37.51%56.68M-37.26%57.38M75.73%58.05M75.73%58.05M806.13%90.03M453,396.53%90.7M457,165.19%91.45M165,074.83%33.03M165,074.83%33.03M49,579.49%9.94M
-Goodwill -63.16%26.69M-67.63%26.69M-18.72%26.69M-18.72%26.69M486.76%58.08M--72.45M--82.45M--32.84M--32.84M--9.9M
-Other intangible assets 64.35%29.99M240.91%30.69M15,707.42%31.36M15,707.42%31.36M85,867.06%31.95M--18.25M--9M892.02%198.4K892.02%198.4K--37.17K
Long-term notes receivables ----------0--0--0--00.00%95.64K0.00%95.64K0.00%95.64K--95.64K
Total non current assets -36.82%57.34M-37.29%57.46M74.94%58.11M74.94%58.11M789.73%90.07M78,374.06%90.75M79,129.87%91.62M28,625.21%33.22M28,625.21%33.22M8,654.40%10.12M
Total assets -31.46%84.74M-33.15%80.71M102.35%83.35M102.35%83.35M697.36%123.27M7,398.95%123.63M8,146.09%120.74M2,925.12%41.19M2,925.12%41.19M1,449.95%15.46M
Liabilities
Current liabilities
Payables 4.10%17.21M-76.31%12.28M172.84%12.31M172.84%12.31M1,190.67%14.55M1,594.83%16.53M2,723.78%51.82M107.10%4.51M107.10%4.51M55.13%1.13M
-accounts payable -6.90%13.74M-8.59%10.63M201.92%9.8M201.92%9.8M2,388.56%12.32M2,425.26%14.76M1,572.82%11.63M447.62%3.25M447.62%3.25M202.73%495.02K
-Other payable 95.71%3.47M-95.89%1.65M98.35%2.51M98.35%2.51M253.01%2.23M353.36%1.77M3,425.34%40.19M-20.12%1.27M-20.12%1.27M12.28%632.4K
Current accrued expenses --0--0389.09%34.04K389.09%34.04K--42.13K-94.85%5.68K-56.37%32.44K-96.55%6.96K-96.55%6.96K----
Current debt and capital lease obligation -46.83%2.57M-6.78%7.63M164.71%8.39M164.71%8.39M578.86%5.25M1,184.64%4.84M1,929.15%8.19M637.12%3.17M637.12%3.17M64.44%773.56K
-Current debt -47.88%2.51M-6.31%7.63M169.96%8.39M169.96%8.39M658.50%5.25M1,179.55%4.82M1,919.00%8.15M622.80%3.11M622.80%3.11M47.17%692.33K
-Current capital lease obligation 217.30%60.82K------0--0--0--19.17K--40.94K--61.61K--61.61K--81.22K
Other current liabilities -29.27%30.44M--20.75M--36.93M--36.93M--39.89M--43.04M----------------
Current liabilities -22.03%50.22M-32.27%40.66M649.88%57.67M649.88%57.67M3,042.57%59.74M4,305.40%64.41M2,495.80%60.04M173.58%7.69M173.58%7.69M58.57%1.9M
Non current liabilities
Long term debt and capital lease obligation 65.95%6.62M------------194.71%4M153.86%3.99M-----47.95%572.5K-47.95%572.5K126.21%1.36M
-Long term debt 52.98%6.11M------------194.71%4M153.86%3.99M-----47.95%572.5K-47.95%572.5K126.21%1.36M
-Long term capital lease obligation --517.75K------------------------------------
Total non current liabilities 65.95%6.62M--0--0--0174.76%4M134.28%3.99M-98.11%32.85K-50.80%638.2K-50.80%638.2K142.64%1.46M
Total liabilities -16.90%56.84M-32.31%40.66M592.42%57.67M592.42%57.67M1,798.81%63.74M2,060.53%68.4M1,383.35%60.07M102.74%8.33M102.74%8.33M86.61%3.36M
Shareholders'equity
Share capital 37.88%647.43K37.03%643.3K67.77%488.93K67.77%488.93K111.88%469.63K193.03%469.55K195.00%469.47K83.13%291.43K83.13%291.43K39.28%221.65K
-common stock 37.88%647.43K37.03%643.3K67.77%488.93K67.77%488.93K111.88%469.63K193.03%469.55K195.00%469.47K83.13%291.43K83.13%291.43K39.28%221.65K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -215.16%-79.79M-253.54%-68.23M-262.78%-63.77M-262.78%-63.77M-25.25%-22.99M-39.07%-25.32M-5.19%-19.3M4.40%-17.58M4.40%-17.58M-10.00%-18.36M
Paid-in capital 39.30%98.67M37.86%96.95M73.38%75.13M73.38%75.13M153.21%72.77M317.62%70.83M337.94%70.33M171.67%43.33M171.67%43.33M82.37%28.74M
Less: Treasury stock -16.67%328.5K-16.67%328.5K0.00%394.2K0.00%394.2K0.00%394.2K0.00%394.2K0.00%394.2K0.00%394.2K0.00%394.2K--394.2K
Other equity interest -----75.42%2.31M-19.78%5.71M-19.78%5.71M396.27%9.42M--9.42M--9.42M--7.11M--7.11M5,876.95%1.9M
Total stockholders'equity -65.11%19.19M-48.20%31.35M-47.62%17.16M-47.62%17.16M389.52%59.27M3,819.99%55M2,498.54%60.52M1,325.90%32.77M1,325.90%32.77M1,610.89%12.11M
Noncontrolling interests 3,858.35%8.7M5,610.38%8.7M8,955.33%8.51M8,955.33%8.51M4,296.20%254K667.22%219.78K345.62%152.4K227.16%93.98K227.16%93.98K---6.05K
Total equity -49.49%27.89M-33.99%40.05M-21.87%25.67M-21.87%25.67M391.86%59.53M3,739.48%55.22M2,446.87%60.67M1,296.34%32.86M1,296.34%32.86M1,610.13%12.1M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

No Data

Price Target

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Heat List
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Symbol
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% Chg

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