US Stock MarketDetailed Quotes

WKEY WISeKey

Watchlist
  • 1.980
  • +0.060+3.13%
Close Nov 5 16:00 ET
19.38MMarket Cap-777P/E (TTM)

WISeKey Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(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
86.97%26.29M
-26.06%15.31M
-26.06%15.31M
-38.37%14.06M
-39.46%20.71M
-39.46%20.71M
--22.82M
18.59%34.2M
--34.2M
137.93%28.84M
-Cash and cash equivalents
86.97%26.29M
-26.06%15.31M
-26.06%15.31M
-38.37%14.06M
-39.46%20.71M
-39.46%20.71M
--22.82M
74.05%34.2M
--34.2M
62.12%19.65M
-Short-term investments
----
----
----
----
----
----
----
----
----
--9.19M
Receivables
7.28%4.47M
114.69%7.91M
114.69%7.91M
-86.49%4.16M
20.91%3.68M
20.91%3.68M
--30.81M
-17.63%3.05M
--3.05M
-29.33%3.7M
-Accounts receivable
-47.98%1.84M
119.51%5.27M
119.51%5.27M
2.55%3.53M
-12.83%2.4M
-12.83%2.4M
--3.45M
7.25%2.75M
--2.75M
-29.08%2.57M
-Notes receivable
-19.70%53K
-5.97%63K
-5.97%63K
0.00%66K
-1.47%67K
-1.47%67K
--66K
83.78%68K
--68K
--37K
-Taxes receivable
410.99%2.37M
127.49%2.38M
127.49%2.38M
14.85%464K
--1.04M
--1.04M
--404K
----
----
-47.41%762K
-Related party accounts receivable
83.84%182K
4.09%178K
4.09%178K
209.38%99K
27.61%171K
27.61%171K
--32K
21.82%134K
--134K
-7.56%110K
-Other receivables
--21K
800.00%27K
800.00%27K
----
-96.77%3K
-96.77%3K
--26.87M
-58.48%93K
--93K
366.67%224K
Inventory
-70.30%2.77M
-30.36%5.23M
-30.36%5.23M
122.82%9.33M
177.12%7.51M
177.12%7.51M
--4.19M
9.54%2.71M
--2.71M
-11.23%2.47M
Prepaid assets
13.09%1.88M
-11.73%1.64M
-11.73%1.64M
26.62%1.67M
55.18%1.86M
55.18%1.86M
--1.32M
71.88%1.2M
--1.2M
-1.27%697K
Restricted cash
--111K
--0
--0
--0
-1.82%108K
-1.82%108K
--105K
-94.79%110K
--110K
-16.32%2.11M
Current deferred assets
----
----
----
----
----
----
----
----
----
303.86%836K
Other current assets
----
----
----
----
----
----
----
13,775.00%555K
--555K
0.00%4K
Total current assets
21.56%35.52M
-11.15%30.09M
-11.15%30.09M
-50.67%29.22M
-20.33%33.87M
-20.33%33.87M
--59.24M
9.95%42.51M
--42.51M
63.94%38.66M
Non current assets
Net PPE
11.65%4.9M
73.87%5.44M
73.87%5.44M
24.08%4.39M
-15.03%3.13M
-15.03%3.13M
--3.53M
-1.68%3.69M
--3.69M
-23.04%3.75M
-Gross PPE
9.22%13.66M
29.05%14.1M
29.05%14.1M
14.99%12.51M
-1.37%10.92M
-1.37%10.92M
--10.88M
3.08%11.08M
--11.08M
0.67%10.74M
-Accumulated depreciation
-7.90%-8.77M
-11.04%-8.65M
-11.04%-8.65M
-10.62%-8.12M
-5.44%-7.79M
-5.44%-7.79M
---7.34M
-5.63%-7.39M
---7.39M
-20.58%-7M
Goodwill and other intangible assets
0.00%8.41M
-0.02%8.41M
-0.02%8.41M
-0.11%8.41M
-0.08%8.42M
-0.08%8.42M
--8.42M
1.15%8.42M
--8.42M
-6.63%8.33M
-Goodwill
0.00%8.32M
0.00%8.32M
0.00%8.32M
0.00%8.32M
0.00%8.32M
0.00%8.32M
--8.32M
0.00%8.32M
--8.32M
0.00%8.32M
-Other intangible assets
0.00%94K
-2.04%96K
-2.04%96K
-8.74%94K
-6.67%98K
-6.67%98K
--103K
1,066.67%105K
--105K
-98.50%9K
Investments and advances
-1.88%471K
2.75%486K
2.75%486K
4.12%480K
-5.78%473K
-5.78%473K
--461K
66.78%502K
--502K
-96.12%301K
Long-term notes receivables
----
--0
--0
-51.65%88K
-66.32%64K
-66.32%64K
--182K
3.83%190K
--190K
695.65%183K
Related parties assets
83.84%182K
4.09%178K
4.09%178K
209.38%99K
27.61%171K
27.61%171K
--32K
21.82%134K
--134K
-7.56%110K
Non current deferred assets
-54.82%1.88M
-6.22%3.09M
-6.22%3.09M
287.24%4.16M
288.34%3.3M
288.34%3.3M
--1.07M
-42.79%849K
--849K
-41.20%1.48M
Other non current assets
0.77%263K
10.44%275K
10.44%275K
8.30%261K
-99.24%249K
-99.24%249K
--241K
18,449.43%32.65M
--32.65M
-92.11%176K
Total non current assets
-10.48%15.92M
13.31%17.71M
13.31%17.71M
27.83%17.78M
-66.24%15.63M
-66.24%15.63M
--13.91M
225.61%46.3M
--46.3M
-45.98%14.22M
Total assets
9.44%51.44M
-3.42%47.8M
-3.42%47.8M
-35.74%47.01M
-44.26%49.5M
-44.26%49.5M
--73.15M
67.93%88.81M
--88.81M
5.97%52.88M
Liabilities
Current liabilities
Payables
-10.84%12.81M
-2.80%13.19M
-2.80%13.19M
5.11%14.37M
-8.80%13.57M
-8.80%13.57M
--13.67M
11.23%14.88M
--14.88M
26.08%13.37M
-accounts payable
-48.00%2.69M
-31.48%3.57M
-31.48%3.57M
-23.08%5.18M
-10.87%5.21M
-10.87%5.21M
--6.73M
26.78%5.84M
--5.84M
-15.94%4.61M
-Total tax payable
76.37%321K
95.76%323K
95.76%323K
121.95%182K
43.48%165K
43.48%165K
--82K
-74.56%115K
--115K
-42.20%452K
-Due to related parties current
309.83%2.71M
119.86%930K
119.86%930K
33.81%661K
-85.86%423K
-85.86%423K
--494K
70.72%2.99M
--2.99M
1,372.27%1.75M
-Other payable
-15.08%7.09M
7.64%8.37M
7.64%8.37M
31.17%8.35M
31.11%7.77M
31.11%7.77M
--6.37M
-9.66%5.93M
--5.93M
55.33%6.56M
Current debt and capital lease obligation
1.45%4.84M
4.26%4.99M
4.26%4.99M
-12.57%4.77M
-1.93%4.79M
-1.93%4.79M
--5.46M
-54.14%4.88M
--4.88M
19.93%10.65M
-Current debt
1.15%4.21M
3.77%4.35M
3.77%4.35M
-14.82%4.16M
-0.85%4.2M
-0.85%4.2M
--4.89M
-57.36%4.23M
--4.23M
20.78%9.93M
-Current capital lease obligation
3.45%630K
7.77%638K
7.77%638K
6.65%609K
-8.92%592K
-8.92%592K
--571K
-9.72%650K
--650K
9.26%720K
Current deferred liabilities
14.44%317K
104.30%570K
104.30%570K
9.92%277K
26.82%279K
26.82%279K
--252K
-67.12%220K
--220K
94.48%669K
Other current liabilities
-19.19%160K
-18.37%160K
-18.37%160K
-2.46%198K
-95.90%196K
-95.90%196K
--203K
1,552.25%4.78M
--4.78M
-10.25%289K
Current liabilities
-7.58%18.13M
0.42%18.91M
0.42%18.91M
0.16%19.62M
-23.93%18.83M
-23.93%18.83M
--19.58M
-0.90%24.75M
--24.75M
23.96%24.98M
Non current liabilities
Long term debt and capital lease obligation
183.02%12.31M
-1.28%4.78M
-1.28%4.78M
66.01%4.35M
-59.55%4.84M
-59.55%4.84M
--2.62M
89.36%11.98M
--11.98M
164.38%6.32M
-Long term debt
292.69%11.18M
7.12%3.34M
7.12%3.34M
571.23%2.85M
-67.21%3.12M
-67.21%3.12M
--424K
118.25%9.51M
--9.51M
--4.36M
-Long term capital lease obligation
-24.39%1.14M
-16.44%1.44M
-16.44%1.44M
-31.50%1.51M
-30.02%1.73M
-30.02%1.73M
--2.2M
25.41%2.47M
--2.47M
-17.73%1.97M
Non current deferred liabilities
-26.67%22K
-22.58%24K
-22.58%24K
-68.75%30K
-80.86%31K
-80.86%31K
--96K
184.21%162K
--162K
62.86%57K
Employee benefits
69.51%2.96M
70.61%3M
70.61%3M
-62.56%1.75M
-63.12%1.76M
-63.12%1.76M
--4.67M
-29.54%4.77M
--4.77M
-1.63%6.77M
Other non current liabilities
50.00%3K
-75.00%2K
-75.00%2K
-33.33%2K
-85.71%8K
-85.71%8K
--3K
-82.98%56K
--56K
10,866.67%329K
Total non current liabilities
149.58%15.3M
17.57%7.81M
17.57%7.81M
-17.03%6.13M
-70.71%6.64M
-70.71%6.64M
--7.39M
68.23%22.67M
--22.67M
44.77%13.48M
Total liabilities
29.85%33.43M
4.89%26.72M
4.89%26.72M
-4.55%25.75M
-46.29%25.47M
-46.29%25.47M
--26.97M
23.33%47.43M
--47.43M
30.53%38.46M
Shareholders'equity
Share capital
-95.62%375K
49.46%8.57M
49.46%8.57M
49.46%8.57M
12.76%5.73M
12.76%5.73M
--5.73M
75.95%5.09M
--5.09M
54.13%2.89M
-common stock
-95.62%375K
49.46%8.57M
49.46%8.57M
49.46%8.57M
12.76%5.73M
12.76%5.73M
--5.73M
75.95%5.09M
--5.09M
54.13%2.89M
Retained earnings
-6.55%-290.43M
-5.77%-280.96M
-5.77%-280.96M
-15.63%-272.57M
-11.54%-265.64M
-11.54%-265.64M
---235.72M
-9.34%-238.16M
---238.16M
-15.15%-217.82M
Paid-in capital
14.26%323.97M
5.39%295.72M
5.39%295.72M
2.22%283.53M
4.62%280.6M
4.62%280.6M
--277.38M
19.33%268.2M
--268.2M
6.00%224.76M
Less: Treasury stock
-20.58%548K
86.25%691K
86.25%691K
85.98%690K
-41.67%371K
-41.67%371K
--371K
25.94%636K
--636K
-60.79%505K
Gains losses not affecting retained earnings
-28.19%3.52M
-31.91%4.04M
-31.91%4.04M
273.09%4.9M
321.82%5.94M
321.82%5.94M
--1.31M
-79.73%1.41M
--1.41M
577.63%6.94M
Other equity interest
----
----
----
----
----
----
----
----
----
-83.33%1K
Total stockholders'equity
55.40%36.88M
1.58%26.68M
1.58%26.68M
-50.89%23.74M
-26.84%26.26M
-26.84%26.26M
--48.33M
120.63%35.9M
--35.9M
-26.10%16.27M
Noncontrolling interests
-663.08%-18.87M
-150.16%-5.59M
-150.16%-5.59M
-15.24%-2.47M
-140.75%-2.24M
-140.75%-2.24M
---2.15M
397.56%5.48M
--5.48M
-17.31%-1.84M
Total equity
-15.28%18.01M
-12.24%21.08M
-12.24%21.08M
-53.96%21.26M
-41.94%24.03M
-41.94%24.03M
--46.18M
186.84%41.38M
--41.38M
-29.44%14.43M
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
--
--
--
--
--
--
--
Unqualified Opinion
(Q2)Jun 30, 2024(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 86.97%26.29M-26.06%15.31M-26.06%15.31M-38.37%14.06M-39.46%20.71M-39.46%20.71M--22.82M18.59%34.2M--34.2M137.93%28.84M
-Cash and cash equivalents 86.97%26.29M-26.06%15.31M-26.06%15.31M-38.37%14.06M-39.46%20.71M-39.46%20.71M--22.82M74.05%34.2M--34.2M62.12%19.65M
-Short-term investments --------------------------------------9.19M
Receivables 7.28%4.47M114.69%7.91M114.69%7.91M-86.49%4.16M20.91%3.68M20.91%3.68M--30.81M-17.63%3.05M--3.05M-29.33%3.7M
-Accounts receivable -47.98%1.84M119.51%5.27M119.51%5.27M2.55%3.53M-12.83%2.4M-12.83%2.4M--3.45M7.25%2.75M--2.75M-29.08%2.57M
-Notes receivable -19.70%53K-5.97%63K-5.97%63K0.00%66K-1.47%67K-1.47%67K--66K83.78%68K--68K--37K
-Taxes receivable 410.99%2.37M127.49%2.38M127.49%2.38M14.85%464K--1.04M--1.04M--404K---------47.41%762K
-Related party accounts receivable 83.84%182K4.09%178K4.09%178K209.38%99K27.61%171K27.61%171K--32K21.82%134K--134K-7.56%110K
-Other receivables --21K800.00%27K800.00%27K-----96.77%3K-96.77%3K--26.87M-58.48%93K--93K366.67%224K
Inventory -70.30%2.77M-30.36%5.23M-30.36%5.23M122.82%9.33M177.12%7.51M177.12%7.51M--4.19M9.54%2.71M--2.71M-11.23%2.47M
Prepaid assets 13.09%1.88M-11.73%1.64M-11.73%1.64M26.62%1.67M55.18%1.86M55.18%1.86M--1.32M71.88%1.2M--1.2M-1.27%697K
Restricted cash --111K--0--0--0-1.82%108K-1.82%108K--105K-94.79%110K--110K-16.32%2.11M
Current deferred assets ------------------------------------303.86%836K
Other current assets ----------------------------13,775.00%555K--555K0.00%4K
Total current assets 21.56%35.52M-11.15%30.09M-11.15%30.09M-50.67%29.22M-20.33%33.87M-20.33%33.87M--59.24M9.95%42.51M--42.51M63.94%38.66M
Non current assets
Net PPE 11.65%4.9M73.87%5.44M73.87%5.44M24.08%4.39M-15.03%3.13M-15.03%3.13M--3.53M-1.68%3.69M--3.69M-23.04%3.75M
-Gross PPE 9.22%13.66M29.05%14.1M29.05%14.1M14.99%12.51M-1.37%10.92M-1.37%10.92M--10.88M3.08%11.08M--11.08M0.67%10.74M
-Accumulated depreciation -7.90%-8.77M-11.04%-8.65M-11.04%-8.65M-10.62%-8.12M-5.44%-7.79M-5.44%-7.79M---7.34M-5.63%-7.39M---7.39M-20.58%-7M
Goodwill and other intangible assets 0.00%8.41M-0.02%8.41M-0.02%8.41M-0.11%8.41M-0.08%8.42M-0.08%8.42M--8.42M1.15%8.42M--8.42M-6.63%8.33M
-Goodwill 0.00%8.32M0.00%8.32M0.00%8.32M0.00%8.32M0.00%8.32M0.00%8.32M--8.32M0.00%8.32M--8.32M0.00%8.32M
-Other intangible assets 0.00%94K-2.04%96K-2.04%96K-8.74%94K-6.67%98K-6.67%98K--103K1,066.67%105K--105K-98.50%9K
Investments and advances -1.88%471K2.75%486K2.75%486K4.12%480K-5.78%473K-5.78%473K--461K66.78%502K--502K-96.12%301K
Long-term notes receivables ------0--0-51.65%88K-66.32%64K-66.32%64K--182K3.83%190K--190K695.65%183K
Related parties assets 83.84%182K4.09%178K4.09%178K209.38%99K27.61%171K27.61%171K--32K21.82%134K--134K-7.56%110K
Non current deferred assets -54.82%1.88M-6.22%3.09M-6.22%3.09M287.24%4.16M288.34%3.3M288.34%3.3M--1.07M-42.79%849K--849K-41.20%1.48M
Other non current assets 0.77%263K10.44%275K10.44%275K8.30%261K-99.24%249K-99.24%249K--241K18,449.43%32.65M--32.65M-92.11%176K
Total non current assets -10.48%15.92M13.31%17.71M13.31%17.71M27.83%17.78M-66.24%15.63M-66.24%15.63M--13.91M225.61%46.3M--46.3M-45.98%14.22M
Total assets 9.44%51.44M-3.42%47.8M-3.42%47.8M-35.74%47.01M-44.26%49.5M-44.26%49.5M--73.15M67.93%88.81M--88.81M5.97%52.88M
Liabilities
Current liabilities
Payables -10.84%12.81M-2.80%13.19M-2.80%13.19M5.11%14.37M-8.80%13.57M-8.80%13.57M--13.67M11.23%14.88M--14.88M26.08%13.37M
-accounts payable -48.00%2.69M-31.48%3.57M-31.48%3.57M-23.08%5.18M-10.87%5.21M-10.87%5.21M--6.73M26.78%5.84M--5.84M-15.94%4.61M
-Total tax payable 76.37%321K95.76%323K95.76%323K121.95%182K43.48%165K43.48%165K--82K-74.56%115K--115K-42.20%452K
-Due to related parties current 309.83%2.71M119.86%930K119.86%930K33.81%661K-85.86%423K-85.86%423K--494K70.72%2.99M--2.99M1,372.27%1.75M
-Other payable -15.08%7.09M7.64%8.37M7.64%8.37M31.17%8.35M31.11%7.77M31.11%7.77M--6.37M-9.66%5.93M--5.93M55.33%6.56M
Current debt and capital lease obligation 1.45%4.84M4.26%4.99M4.26%4.99M-12.57%4.77M-1.93%4.79M-1.93%4.79M--5.46M-54.14%4.88M--4.88M19.93%10.65M
-Current debt 1.15%4.21M3.77%4.35M3.77%4.35M-14.82%4.16M-0.85%4.2M-0.85%4.2M--4.89M-57.36%4.23M--4.23M20.78%9.93M
-Current capital lease obligation 3.45%630K7.77%638K7.77%638K6.65%609K-8.92%592K-8.92%592K--571K-9.72%650K--650K9.26%720K
Current deferred liabilities 14.44%317K104.30%570K104.30%570K9.92%277K26.82%279K26.82%279K--252K-67.12%220K--220K94.48%669K
Other current liabilities -19.19%160K-18.37%160K-18.37%160K-2.46%198K-95.90%196K-95.90%196K--203K1,552.25%4.78M--4.78M-10.25%289K
Current liabilities -7.58%18.13M0.42%18.91M0.42%18.91M0.16%19.62M-23.93%18.83M-23.93%18.83M--19.58M-0.90%24.75M--24.75M23.96%24.98M
Non current liabilities
Long term debt and capital lease obligation 183.02%12.31M-1.28%4.78M-1.28%4.78M66.01%4.35M-59.55%4.84M-59.55%4.84M--2.62M89.36%11.98M--11.98M164.38%6.32M
-Long term debt 292.69%11.18M7.12%3.34M7.12%3.34M571.23%2.85M-67.21%3.12M-67.21%3.12M--424K118.25%9.51M--9.51M--4.36M
-Long term capital lease obligation -24.39%1.14M-16.44%1.44M-16.44%1.44M-31.50%1.51M-30.02%1.73M-30.02%1.73M--2.2M25.41%2.47M--2.47M-17.73%1.97M
Non current deferred liabilities -26.67%22K-22.58%24K-22.58%24K-68.75%30K-80.86%31K-80.86%31K--96K184.21%162K--162K62.86%57K
Employee benefits 69.51%2.96M70.61%3M70.61%3M-62.56%1.75M-63.12%1.76M-63.12%1.76M--4.67M-29.54%4.77M--4.77M-1.63%6.77M
Other non current liabilities 50.00%3K-75.00%2K-75.00%2K-33.33%2K-85.71%8K-85.71%8K--3K-82.98%56K--56K10,866.67%329K
Total non current liabilities 149.58%15.3M17.57%7.81M17.57%7.81M-17.03%6.13M-70.71%6.64M-70.71%6.64M--7.39M68.23%22.67M--22.67M44.77%13.48M
Total liabilities 29.85%33.43M4.89%26.72M4.89%26.72M-4.55%25.75M-46.29%25.47M-46.29%25.47M--26.97M23.33%47.43M--47.43M30.53%38.46M
Shareholders'equity
Share capital -95.62%375K49.46%8.57M49.46%8.57M49.46%8.57M12.76%5.73M12.76%5.73M--5.73M75.95%5.09M--5.09M54.13%2.89M
-common stock -95.62%375K49.46%8.57M49.46%8.57M49.46%8.57M12.76%5.73M12.76%5.73M--5.73M75.95%5.09M--5.09M54.13%2.89M
Retained earnings -6.55%-290.43M-5.77%-280.96M-5.77%-280.96M-15.63%-272.57M-11.54%-265.64M-11.54%-265.64M---235.72M-9.34%-238.16M---238.16M-15.15%-217.82M
Paid-in capital 14.26%323.97M5.39%295.72M5.39%295.72M2.22%283.53M4.62%280.6M4.62%280.6M--277.38M19.33%268.2M--268.2M6.00%224.76M
Less: Treasury stock -20.58%548K86.25%691K86.25%691K85.98%690K-41.67%371K-41.67%371K--371K25.94%636K--636K-60.79%505K
Gains losses not affecting retained earnings -28.19%3.52M-31.91%4.04M-31.91%4.04M273.09%4.9M321.82%5.94M321.82%5.94M--1.31M-79.73%1.41M--1.41M577.63%6.94M
Other equity interest -------------------------------------83.33%1K
Total stockholders'equity 55.40%36.88M1.58%26.68M1.58%26.68M-50.89%23.74M-26.84%26.26M-26.84%26.26M--48.33M120.63%35.9M--35.9M-26.10%16.27M
Noncontrolling interests -663.08%-18.87M-150.16%-5.59M-150.16%-5.59M-15.24%-2.47M-140.75%-2.24M-140.75%-2.24M---2.15M397.56%5.48M--5.48M-17.31%-1.84M
Total equity -15.28%18.01M-12.24%21.08M-12.24%21.08M-53.96%21.26M-41.94%24.03M-41.94%24.03M--46.18M186.84%41.38M--41.38M-29.44%14.43M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------------Unqualified Opinion

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