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XAU GoldMoney Inc

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  • 8.780
  • +0.660+8.13%
15min DelayMarket Closed Mar 4 16:00 ET
116.52MMarket Cap-3.99P/E (TTM)

GoldMoney Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-37.43%9.31M
-58.10%9.08M
-52.12%12.83M
-69.21%13.33M
-69.21%13.33M
-61.04%14.88M
-30.75%21.68M
-8.94%26.79M
35.31%43.27M
35.31%43.27M
-Cash and cash equivalents
-36.29%9.31M
-57.51%9.08M
-50.67%12.83M
-67.57%13.33M
-67.57%13.33M
-58.88%14.61M
-24.01%21.38M
-1.78%26M
57.88%41.1M
57.88%41.1M
-Short term investments
----
----
----
--0
--0
-89.94%266.38K
-90.47%302.71K
-73.33%785.37K
-63.43%2.18M
-63.43%2.18M
Receivables
-23.97%1.54M
-87.58%1.53M
-86.36%1.54M
-85.52%2M
-85.52%2M
-84.13%2.02M
3.00%12.28M
-4.62%11.26M
12.06%13.78M
12.06%13.78M
-Accounts receivable
-7.60%707.79K
-62.84%700.84K
-5.60%701.26K
47.05%1.05M
47.05%1.05M
11.43%766.03K
162.86%1.89M
-5.31%742.82K
-9.92%714.64K
-9.92%714.64K
-Loans receivable
----
----
----
--0
--0
--0
-8.64%10.03M
-8.76%10.05M
11.81%12.76M
11.81%12.76M
-Notes receivable
--641.27K
--628.1K
--627.66K
--625.81K
--625.81K
----
----
----
--0
--0
-Accrued interest receivable
----
----
----
-99.83%273
-99.83%273
-57.50%58.86K
-4.06%93.99K
--53.2K
--156.45K
--156.45K
-Taxes receivable
-71.34%46.7K
-76.74%57.2K
-60.55%97.64K
17.99%70.93K
17.99%70.93K
122.36%162.92K
400.44%245.88K
--247.51K
-13.44%60.11K
-13.44%60.11K
-Due from related parties current
6.42%42.37K
-26.90%20.41K
-88.91%17.9K
-84.91%13.74K
-84.91%13.74K
-3.77%39.81K
-66.79%27.92K
--161.3K
284.01%91.04K
284.01%91.04K
-Other receivables
-89.97%99.86K
--118.56K
--90.73K
--233.81K
--233.81K
--995.21K
----
----
----
----
Inventory
42.09%2.67M
-74.57%3.38M
-79.16%2.82M
-96.00%2.13M
-96.00%2.13M
-96.87%1.88M
-77.19%13.29M
-74.86%13.52M
-1.70%53.33M
-1.70%53.33M
Prepaid assets
401.10%381.92K
-90.37%307.33K
-45.13%130.07K
-64.49%93.66K
-64.49%93.66K
--76.22K
--3.19M
-56.58%237.03K
-2.46%263.71K
-2.46%263.71K
Restricted cash
--71.33M
----
----
----
----
----
----
----
----
----
Hedging assets-current
--205.38K
--105.41K
--155.14K
--7.85K
--7.85K
----
----
----
--0
--0
Holding assets for sale
----
----
----
----
----
----
--3.85M
----
----
----
Other current assets
-15.62%70.21K
--17.06K
--17.06K
--57.34K
--57.34K
-73.60%83.21K
----
----
----
----
Total current assets
351.51%85.5M
-73.44%14.42M
-66.25%17.48M
-84.08%17.61M
-84.08%17.61M
-82.96%18.94M
-46.84%54.29M
-46.08%51.8M
9.93%110.64M
9.93%110.64M
Non current assets
Net PPE
-12.24%697.16K
-13.45%719.68K
-30.39%742.29K
-13.09%766.99K
-13.09%766.99K
-13.49%794.36K
-13.34%831.55K
4.83%1.07M
-37.19%882.47K
-37.19%882.47K
-Gross PPE
-16.97%1.23M
-17.25%1.24M
-27.17%1.24M
-16.93%1.24M
-16.93%1.24M
61.69%1.48M
--1.5M
66.92%1.7M
-29.31%1.49M
-29.31%1.49M
-Accumulated depreciation
22.42%-535.62K
21.99%-519.04K
21.74%-494.25K
22.53%-469.55K
22.53%-469.55K
---690.38K
---665.33K
---631.56K
13.51%-606.11K
13.51%-606.11K
Investment properties
45.40%200.21M
161.25%150.97M
134.05%137.77M
--129.36M
--129.36M
--137.7M
--57.79M
--58.86M
--0
--0
Investments and advances
-62.76%12.67M
-63.41%12.67M
-40.77%20.56M
-40.34%20.64M
-40.34%20.64M
-2.11%34.02M
-1.75%34.62M
-0.55%34.72M
-0.61%34.6M
-0.61%34.6M
-Long term equity investment
-62.76%12.67M
-63.41%12.67M
-40.77%20.56M
-40.34%20.64M
-40.34%20.64M
-2.11%34.02M
-1.75%34.62M
-0.55%34.72M
-0.61%34.6M
-0.61%34.6M
Goodwill and other intangible assets
-37.81%16.59M
-37.58%16.76M
-43.10%16.93M
-42.86%17.09M
-42.86%17.09M
-32.60%26.68M
-32.46%26.85M
-25.48%29.75M
-25.36%29.92M
-25.36%29.92M
-Goodwill
----
----
----
--0
--0
-55.67%9.42M
-55.67%9.42M
-44.70%11.75M
-44.70%11.75M
-44.70%11.75M
-Other intangible assets
-3.86%16.59M
-3.84%16.76M
-5.93%16.93M
-5.89%17.09M
-5.89%17.09M
-5.86%17.26M
-5.81%17.43M
-3.60%17.99M
-3.54%18.17M
-3.54%18.17M
Total non current assets
15.55%230.17M
50.81%181.12M
41.49%176M
156.65%167.86M
156.65%167.86M
164.68%199.2M
58.10%120.1M
64.01%124.4M
-14.29%65.41M
-14.29%65.41M
Total assets
44.71%315.67M
12.13%195.54M
9.81%193.48M
5.36%185.48M
5.36%185.48M
17.02%218.13M
-2.08%174.38M
2.49%176.2M
-0.52%176.05M
-0.52%176.05M
Liabilities
Current liabilities
Current debt and capital lease obligation
-5.94%2.38M
--2.71M
16,248.43%2.6M
--2.57M
--2.57M
--2.53M
----
--15.87K
----
----
-Bank in debtedness
-5.94%2.38M
--2.71M
--2.6M
--2.57M
--2.57M
--2.53M
----
----
--0
--0
-Current capital lease obligation
----
----
----
----
----
----
----
--15.87K
----
----
Payables
110.26%4.86M
387.43%4.64M
50.04%4.13M
-12.24%3.45M
-12.24%3.45M
--2.31M
--952.62K
--2.75M
--3.93M
--3.93M
-accounts payable
-2.06%2.26M
138.58%1.91M
68.67%3.06M
-17.84%2.75M
-17.84%2.75M
--2.31M
--800.62K
--1.81M
--3.34M
--3.34M
-Total tax payable
--2.6M
1,698.16%2.73M
14.17%1.07M
19.86%699.57K
19.86%699.57K
--0
--152K
--941.31K
--583.67K
--583.67K
Current deferred liabilities
--2.94M
--3.03M
--2.72M
--2.02M
--2.02M
----
----
----
--0
--0
Other current liabilities
--71.33M
----
----
----
----
----
--826.53K
----
----
----
Current liabilities
1,585.07%81.5M
483.94%10.39M
241.18%9.45M
104.47%8.03M
104.47%8.03M
30.72%4.84M
-64.41%1.78M
12.43%2.77M
93.83%3.93M
93.83%3.93M
Non current liabilities
Long term debt and capital lease obligation
106.60%81.68M
--36.12M
17,629.73%36.05M
--36.27M
--36.27M
--39.53M
----
--203.32K
----
----
-Long term debt
106.60%81.68M
--36.12M
--36.05M
--36.27M
--36.27M
--39.53M
----
----
----
----
-Long term capital lease obligation
----
----
----
----
----
----
----
--203.32K
----
----
Total non current liabilities
106.60%81.68M
--36.12M
17,629.73%36.05M
--36.27M
--36.27M
--39.53M
--0
--203.32K
--0
--0
Total liabilities
267.76%163.18M
2,514.29%46.51M
1,430.08%45.5M
1,027.79%44.3M
1,027.79%44.3M
1,099.19%44.37M
-64.41%1.78M
20.68%2.97M
93.79%3.93M
93.79%3.93M
Shareholders'equity
Share capital
-0.66%150.63M
-3.17%149.45M
-4.61%148.54M
-4.53%149.17M
-4.53%149.17M
-7.24%151.63M
-5.83%154.35M
-5.28%155.71M
-5.64%156.24M
-5.64%156.24M
-common stock
-0.66%150.63M
-3.17%149.45M
-4.61%148.54M
-4.53%149.17M
-4.53%149.17M
-7.24%151.63M
-5.83%154.35M
-5.28%155.71M
-5.64%156.24M
-5.64%156.24M
Additional paid-in capital
2.89%12.76M
2.25%13.11M
7.46%13.77M
-7.33%12.41M
-7.33%12.41M
-7.12%12.4M
-6.72%12.82M
-6.38%12.81M
-1.62%13.39M
-1.62%13.39M
Retained earnings
-275.04%-17.79M
-385.06%-20.68M
-427.96%-16.78M
-955.23%-21.91M
-955.23%-21.91M
70.81%10.16M
259.87%7.25M
159.54%5.12M
160.41%2.56M
160.41%2.56M
Gains losses not affecting retained earnings
80,169.32%6.88M
618.96%7.15M
57,133.56%2.46M
334.88%1.51M
334.88%1.51M
-97.56%8.58K
-471.33%-1.38M
-98.64%4.29K
17.89%347.92K
17.89%347.92K
Total stockholders'equity
-12.47%152.49M
-13.88%149.03M
-14.78%147.98M
-18.18%141.18M
-18.18%141.18M
-4.86%174.21M
-0.25%173.04M
2.26%173.65M
-1.54%172.54M
-1.54%172.54M
Noncontrolling interests
----
--0
--0
--0
--0
-9.59%-445.1K
-12.01%-442.97K
-19.48%-422.81K
-34.89%-420.98K
-34.89%-420.98K
Total equity
-12.24%152.49M
-13.66%149.03M
-14.57%147.98M
-17.98%141.18M
-17.98%141.18M
-4.90%173.76M
-0.28%172.6M
2.22%173.22M
-1.61%172.12M
-1.61%172.12M
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
--
(Q3)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -37.43%9.31M-58.10%9.08M-52.12%12.83M-69.21%13.33M-69.21%13.33M-61.04%14.88M-30.75%21.68M-8.94%26.79M35.31%43.27M35.31%43.27M
-Cash and cash equivalents -36.29%9.31M-57.51%9.08M-50.67%12.83M-67.57%13.33M-67.57%13.33M-58.88%14.61M-24.01%21.38M-1.78%26M57.88%41.1M57.88%41.1M
-Short term investments --------------0--0-89.94%266.38K-90.47%302.71K-73.33%785.37K-63.43%2.18M-63.43%2.18M
Receivables -23.97%1.54M-87.58%1.53M-86.36%1.54M-85.52%2M-85.52%2M-84.13%2.02M3.00%12.28M-4.62%11.26M12.06%13.78M12.06%13.78M
-Accounts receivable -7.60%707.79K-62.84%700.84K-5.60%701.26K47.05%1.05M47.05%1.05M11.43%766.03K162.86%1.89M-5.31%742.82K-9.92%714.64K-9.92%714.64K
-Loans receivable --------------0--0--0-8.64%10.03M-8.76%10.05M11.81%12.76M11.81%12.76M
-Notes receivable --641.27K--628.1K--627.66K--625.81K--625.81K--------------0--0
-Accrued interest receivable -------------99.83%273-99.83%273-57.50%58.86K-4.06%93.99K--53.2K--156.45K--156.45K
-Taxes receivable -71.34%46.7K-76.74%57.2K-60.55%97.64K17.99%70.93K17.99%70.93K122.36%162.92K400.44%245.88K--247.51K-13.44%60.11K-13.44%60.11K
-Due from related parties current 6.42%42.37K-26.90%20.41K-88.91%17.9K-84.91%13.74K-84.91%13.74K-3.77%39.81K-66.79%27.92K--161.3K284.01%91.04K284.01%91.04K
-Other receivables -89.97%99.86K--118.56K--90.73K--233.81K--233.81K--995.21K----------------
Inventory 42.09%2.67M-74.57%3.38M-79.16%2.82M-96.00%2.13M-96.00%2.13M-96.87%1.88M-77.19%13.29M-74.86%13.52M-1.70%53.33M-1.70%53.33M
Prepaid assets 401.10%381.92K-90.37%307.33K-45.13%130.07K-64.49%93.66K-64.49%93.66K--76.22K--3.19M-56.58%237.03K-2.46%263.71K-2.46%263.71K
Restricted cash --71.33M------------------------------------
Hedging assets-current --205.38K--105.41K--155.14K--7.85K--7.85K--------------0--0
Holding assets for sale --------------------------3.85M------------
Other current assets -15.62%70.21K--17.06K--17.06K--57.34K--57.34K-73.60%83.21K----------------
Total current assets 351.51%85.5M-73.44%14.42M-66.25%17.48M-84.08%17.61M-84.08%17.61M-82.96%18.94M-46.84%54.29M-46.08%51.8M9.93%110.64M9.93%110.64M
Non current assets
Net PPE -12.24%697.16K-13.45%719.68K-30.39%742.29K-13.09%766.99K-13.09%766.99K-13.49%794.36K-13.34%831.55K4.83%1.07M-37.19%882.47K-37.19%882.47K
-Gross PPE -16.97%1.23M-17.25%1.24M-27.17%1.24M-16.93%1.24M-16.93%1.24M61.69%1.48M--1.5M66.92%1.7M-29.31%1.49M-29.31%1.49M
-Accumulated depreciation 22.42%-535.62K21.99%-519.04K21.74%-494.25K22.53%-469.55K22.53%-469.55K---690.38K---665.33K---631.56K13.51%-606.11K13.51%-606.11K
Investment properties 45.40%200.21M161.25%150.97M134.05%137.77M--129.36M--129.36M--137.7M--57.79M--58.86M--0--0
Investments and advances -62.76%12.67M-63.41%12.67M-40.77%20.56M-40.34%20.64M-40.34%20.64M-2.11%34.02M-1.75%34.62M-0.55%34.72M-0.61%34.6M-0.61%34.6M
-Long term equity investment -62.76%12.67M-63.41%12.67M-40.77%20.56M-40.34%20.64M-40.34%20.64M-2.11%34.02M-1.75%34.62M-0.55%34.72M-0.61%34.6M-0.61%34.6M
Goodwill and other intangible assets -37.81%16.59M-37.58%16.76M-43.10%16.93M-42.86%17.09M-42.86%17.09M-32.60%26.68M-32.46%26.85M-25.48%29.75M-25.36%29.92M-25.36%29.92M
-Goodwill --------------0--0-55.67%9.42M-55.67%9.42M-44.70%11.75M-44.70%11.75M-44.70%11.75M
-Other intangible assets -3.86%16.59M-3.84%16.76M-5.93%16.93M-5.89%17.09M-5.89%17.09M-5.86%17.26M-5.81%17.43M-3.60%17.99M-3.54%18.17M-3.54%18.17M
Total non current assets 15.55%230.17M50.81%181.12M41.49%176M156.65%167.86M156.65%167.86M164.68%199.2M58.10%120.1M64.01%124.4M-14.29%65.41M-14.29%65.41M
Total assets 44.71%315.67M12.13%195.54M9.81%193.48M5.36%185.48M5.36%185.48M17.02%218.13M-2.08%174.38M2.49%176.2M-0.52%176.05M-0.52%176.05M
Liabilities
Current liabilities
Current debt and capital lease obligation -5.94%2.38M--2.71M16,248.43%2.6M--2.57M--2.57M--2.53M------15.87K--------
-Bank in debtedness -5.94%2.38M--2.71M--2.6M--2.57M--2.57M--2.53M----------0--0
-Current capital lease obligation ------------------------------15.87K--------
Payables 110.26%4.86M387.43%4.64M50.04%4.13M-12.24%3.45M-12.24%3.45M--2.31M--952.62K--2.75M--3.93M--3.93M
-accounts payable -2.06%2.26M138.58%1.91M68.67%3.06M-17.84%2.75M-17.84%2.75M--2.31M--800.62K--1.81M--3.34M--3.34M
-Total tax payable --2.6M1,698.16%2.73M14.17%1.07M19.86%699.57K19.86%699.57K--0--152K--941.31K--583.67K--583.67K
Current deferred liabilities --2.94M--3.03M--2.72M--2.02M--2.02M--------------0--0
Other current liabilities --71.33M----------------------826.53K------------
Current liabilities 1,585.07%81.5M483.94%10.39M241.18%9.45M104.47%8.03M104.47%8.03M30.72%4.84M-64.41%1.78M12.43%2.77M93.83%3.93M93.83%3.93M
Non current liabilities
Long term debt and capital lease obligation 106.60%81.68M--36.12M17,629.73%36.05M--36.27M--36.27M--39.53M------203.32K--------
-Long term debt 106.60%81.68M--36.12M--36.05M--36.27M--36.27M--39.53M----------------
-Long term capital lease obligation ------------------------------203.32K--------
Total non current liabilities 106.60%81.68M--36.12M17,629.73%36.05M--36.27M--36.27M--39.53M--0--203.32K--0--0
Total liabilities 267.76%163.18M2,514.29%46.51M1,430.08%45.5M1,027.79%44.3M1,027.79%44.3M1,099.19%44.37M-64.41%1.78M20.68%2.97M93.79%3.93M93.79%3.93M
Shareholders'equity
Share capital -0.66%150.63M-3.17%149.45M-4.61%148.54M-4.53%149.17M-4.53%149.17M-7.24%151.63M-5.83%154.35M-5.28%155.71M-5.64%156.24M-5.64%156.24M
-common stock -0.66%150.63M-3.17%149.45M-4.61%148.54M-4.53%149.17M-4.53%149.17M-7.24%151.63M-5.83%154.35M-5.28%155.71M-5.64%156.24M-5.64%156.24M
Additional paid-in capital 2.89%12.76M2.25%13.11M7.46%13.77M-7.33%12.41M-7.33%12.41M-7.12%12.4M-6.72%12.82M-6.38%12.81M-1.62%13.39M-1.62%13.39M
Retained earnings -275.04%-17.79M-385.06%-20.68M-427.96%-16.78M-955.23%-21.91M-955.23%-21.91M70.81%10.16M259.87%7.25M159.54%5.12M160.41%2.56M160.41%2.56M
Gains losses not affecting retained earnings 80,169.32%6.88M618.96%7.15M57,133.56%2.46M334.88%1.51M334.88%1.51M-97.56%8.58K-471.33%-1.38M-98.64%4.29K17.89%347.92K17.89%347.92K
Total stockholders'equity -12.47%152.49M-13.88%149.03M-14.78%147.98M-18.18%141.18M-18.18%141.18M-4.86%174.21M-0.25%173.04M2.26%173.65M-1.54%172.54M-1.54%172.54M
Noncontrolling interests ------0--0--0--0-9.59%-445.1K-12.01%-442.97K-19.48%-422.81K-34.89%-420.98K-34.89%-420.98K
Total equity -12.24%152.49M-13.66%149.03M-14.57%147.98M-17.98%141.18M-17.98%141.18M-4.90%173.76M-0.28%172.6M2.22%173.22M-1.61%172.12M-1.61%172.12M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

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.