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ANTE AirNet Technology

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  • 0.396
  • -0.004-1.02%
Close Dec 20 16:00 ET
  • 0.396
  • 0.0000.00%
Post 16:17 ET
5.67MMarket Cap0.11P/E (TTM)

AirNet Technology 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
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
5,485.61%7.37M
-88.71%407K
-88.71%407K
-97.70%132K
-35.05%3.6M
-35.05%3.6M
547.12%5.73M
2.89%5.55M
2.89%5.55M
-43.77%885K
-Cash and cash equivalents
5,300.76%7.13M
-94.00%150K
-94.00%150K
-97.70%132K
59.46%2.5M
59.46%2.5M
547.12%5.73M
454.42%1.57M
454.42%1.57M
-43.77%885K
-Short-term investments
--244K
-76.68%257K
-76.68%257K
----
-72.31%1.1M
-72.31%1.1M
----
-22.11%3.98M
-22.11%3.98M
----
Receivables
2,758.32%21.47M
-12.61%22.08M
-12.61%22.08M
-24.98%751K
-8.94%25.27M
-8.94%25.27M
-85.90%1M
-22.32%27.75M
-22.32%27.75M
-39.57%7.1M
-Accounts receivable
-93.84%34K
-98.66%19K
-98.66%19K
-44.86%552K
-37.07%1.42M
-37.07%1.42M
-85.89%1M
-78.28%2.26M
-78.28%2.26M
-38.66%7.1M
-Taxes receivable
--2.44M
-24.36%2.49M
-24.36%2.49M
----
-38.72%3.3M
-38.72%3.3M
----
4.20%5.38M
4.20%5.38M
----
-Related party accounts receivable
79.90%358K
-43.59%339K
-43.59%339K
--199K
--601K
--601K
----
--0
--0
-78.57%6K
-Other receivables
--18.64M
-3.60%19.23M
-3.60%19.23M
----
-0.80%19.95M
-0.80%19.95M
----
-0.12%20.11M
-0.12%20.11M
----
Prepaid assets
--25.74M
-92.20%2.81M
-92.20%2.81M
----
1,263.69%36.02M
1,263.69%36.02M
--0
24.11%2.64M
24.11%2.64M
----
Restricted cash
----
--0
--0
----
--0
--0
----
----
----
--0
Other current assets
-99.83%49K
-30.56%50K
-30.56%50K
-55.84%28.53M
-89.84%72K
-89.84%72K
118.29%64.59M
1,007.81%709K
1,007.81%709K
10.03%29.59M
Total current assets
85.74%54.63M
-57.14%29.92M
-57.14%29.92M
-58.76%29.41M
90.44%69.79M
90.44%69.79M
89.80%71.32M
-37.50%36.65M
-37.50%36.65M
-6.57%37.58M
Non current assets
Net PPE
33.91%14M
-6.04%10.24M
-6.04%10.24M
-40.15%10.46M
-43.59%10.9M
-43.59%10.9M
-10.01%17.47M
42.41%19.32M
42.41%19.32M
41.25%19.41M
-Gross PPE
396.88%51.95M
-0.12%49.87M
-0.12%49.87M
-40.15%10.46M
-21.66%49.93M
-21.66%49.93M
-10.01%17.47M
-9.31%63.74M
-9.31%63.74M
41.25%19.41M
-Accumulated depreciation
---37.95M
-1.53%-39.63M
-1.53%-39.63M
----
12.13%-39.03M
12.13%-39.03M
----
21.68%-44.42M
21.68%-44.42M
----
Goodwill and other intangible assets
--82K
----
----
----
----
----
----
----
----
----
-Other intangible assets
--82K
----
----
----
----
----
----
----
----
----
Investments and advances
-9.78%27.66M
-6.06%32.02M
-6.06%32.02M
-15.85%30.65M
-13.83%34.08M
-13.83%34.08M
-11.51%36.43M
-6.92%39.55M
-6.92%39.55M
0.39%41.17M
Related parties assets
79.90%358K
-43.59%339K
-43.59%339K
--199K
--601K
--601K
----
--0
--0
-78.57%6K
Non current prepaid assets
----
--0
--0
-83.77%62K
-27.68%371K
-27.68%371K
-51.71%382K
34.29%513K
34.29%513K
-8.34%791K
Total non current assets
1.38%41.74M
-6.82%42.26M
-6.82%42.26M
-24.15%41.17M
-23.63%45.35M
-23.63%45.35M
-11.56%54.28M
5.22%59.39M
5.22%59.39M
10.35%61.37M
Total assets
36.53%96.37M
-37.32%72.17M
-37.32%72.17M
-43.80%70.58M
19.90%115.15M
19.90%115.15M
26.94%125.6M
-16.55%96.04M
-16.55%96.04M
3.25%98.94M
Liabilities
Current liabilities
Payables
-15.63%33.69M
-7.33%36.92M
-7.33%36.92M
-3.41%39.93M
-12.16%39.83M
-12.16%39.83M
-16.30%41.34M
-6.23%45.35M
-6.23%45.35M
-34.03%49.39M
-accounts payable
-30.54%11.43M
-26.45%11.6M
-26.45%11.6M
-1.70%16.45M
-14.11%15.77M
-14.11%15.77M
-27.95%16.74M
-17.32%18.37M
-17.32%18.37M
-37.85%23.23M
-Total tax payable
1.06%1.25M
-19.69%1.54M
-19.69%1.54M
-32.57%1.23M
-36.55%1.92M
-36.55%1.92M
-27.90%1.83M
12.78%3.02M
12.78%3.02M
-78.22%2.53M
-Due to related parties current
--0
--2.27M
--2.27M
--1.21M
--0
--0
----
----
----
--0
-Other payable
-0.10%21.02M
-2.86%21.51M
-2.86%21.51M
-7.64%21.04M
-7.60%22.15M
-7.60%22.15M
-3.61%22.78M
2.09%23.97M
2.09%23.97M
9.42%23.63M
Current accrued expenses
-71.15%3.19M
-6.98%2.85M
-6.98%2.85M
6.82%11.04M
-4.43%3.07M
-4.43%3.07M
16.44%10.34M
-25.07%3.21M
-25.07%3.21M
12.32%8.88M
Current debt and capital lease obligation
----
-99.95%6K
-99.95%6K
-31.32%9.92M
-15.48%12.83M
-15.48%12.83M
138.04%14.45M
85.08%15.18M
85.08%15.18M
43.57%6.07M
-Current debt
----
----
----
-31.34%9.91M
-15.50%12.82M
-15.50%12.82M
141.74%14.44M
110.72%15.17M
110.72%15.17M
79.99%5.97M
-Current capital lease obligation
--0
-40.00%6K
-40.00%6K
0.00%12K
25.00%10K
25.00%10K
-87.76%12K
-99.20%8K
-99.20%8K
-89.23%98K
Current deferred liabilities
-2.02%7.22M
-5.85%7.29M
-5.85%7.29M
192.53%7.37M
125.93%7.75M
125.93%7.75M
-6.29%2.52M
32.41%3.43M
32.41%3.43M
6.29%2.69M
Other current liabilities
35.56%37.39M
-2.50%37.35M
-2.50%37.35M
-7.64%27.58M
1.38%38.31M
1.38%38.31M
-3.60%29.86M
-25.01%37.79M
-25.01%37.79M
9.42%30.98M
Current liabilities
-14.98%81.48M
-17.06%84.42M
-17.06%84.42M
-2.70%95.84M
-3.02%101.79M
-3.02%101.79M
0.51%98.5M
-7.79%104.96M
-7.79%104.96M
-16.83%98M
Non current liabilities
Long term debt and capital lease obligation
----
--0
--0
--0
-30.77%9K
-30.77%9K
--0
-99.50%13K
-99.50%13K
1.07%2.56M
-Long term debt
----
----
----
----
----
----
----
----
----
3.19%2.56M
-Long term capital lease obligation
----
--0
--0
--0
-30.77%9K
-30.77%9K
--0
333.33%13K
333.33%13K
--0
Due to related parties non current
--3.61M
--8.84M
--8.84M
----
--0
--0
----
----
----
----
Other non current liabilities
--1K
----
----
----
----
----
----
----
----
----
Total non current liabilities
--3.61M
98,144.44%8.84M
98,144.44%8.84M
--0
-30.77%9K
-30.77%9K
--0
-99.50%13K
-99.50%13K
1.07%2.56M
Total liabilities
-11.22%85.09M
-8.38%93.26M
-8.38%93.26M
-2.70%95.84M
-3.02%101.8M
-3.02%101.8M
-2.04%98.5M
-9.85%104.97M
-9.85%104.97M
-16.46%100.55M
Shareholders'equity
Share capital
216.02%572K
-49.58%181K
-49.58%181K
-49.58%181K
98.34%359K
98.34%359K
99.44%359K
19.08%181K
19.08%181K
40.63%180K
-common stock
216.02%572K
-49.58%181K
-49.58%181K
-49.58%181K
98.34%359K
98.34%359K
99.44%359K
19.08%181K
19.08%181K
40.63%180K
Retained earnings
7.22%-298.92M
-0.18%-318.81M
-0.18%-318.81M
-5.05%-322.16M
-4.37%-318.24M
-4.37%-318.24M
-4.72%-306.67M
-6.47%-304.9M
-6.47%-304.9M
2.08%-292.83M
Paid-in capital
4.76%312.89M
-10.22%298.75M
-10.22%298.75M
-10.22%298.69M
11.40%332.75M
11.40%332.75M
12.76%332.69M
3.39%298.69M
3.39%298.69M
3.53%295.04M
Less: Treasury stock
132.23%2.67M
0.00%1.15M
0.00%1.15M
0.00%1.15M
0.00%1.15M
0.00%1.15M
-51.17%1.15M
-51.17%1.15M
-51.17%1.15M
0.00%2.35M
Gains losses not affecting retained earnings
6.72%33.48M
2.61%32.88M
2.61%32.88M
-9.19%31.37M
1.13%32.04M
1.13%32.04M
9.69%34.54M
1.20%31.69M
1.20%31.69M
-2.39%31.49M
Other equity interest
---1.15M
----
----
----
----
----
----
----
----
----
Total stockholders'equity
538.67%44.21M
-74.11%11.85M
-74.11%11.85M
-88.42%6.92M
86.79%45.76M
86.79%45.76M
89.60%59.77M
-22.53%24.5M
-22.53%24.5M
97.54%31.53M
Noncontrolling interests
-2.34%-32.93M
-1.63%-32.94M
-1.63%-32.94M
1.52%-32.18M
3.06%-32.41M
3.06%-32.41M
1.39%-32.68M
-1.37%-33.43M
-1.37%-33.43M
18.17%-33.14M
Total equity
144.65%11.28M
-257.92%-21.09M
-257.92%-21.09M
-193.21%-25.26M
249.46%13.35M
249.46%13.35M
1,781.94%27.1M
-557.88%-8.93M
-557.88%-8.93M
93.43%-1.61M
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
--
--
Unqualified Opinion with Explanatory Notes
--
--
(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(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 5,485.61%7.37M-88.71%407K-88.71%407K-97.70%132K-35.05%3.6M-35.05%3.6M547.12%5.73M2.89%5.55M2.89%5.55M-43.77%885K
-Cash and cash equivalents 5,300.76%7.13M-94.00%150K-94.00%150K-97.70%132K59.46%2.5M59.46%2.5M547.12%5.73M454.42%1.57M454.42%1.57M-43.77%885K
-Short-term investments --244K-76.68%257K-76.68%257K-----72.31%1.1M-72.31%1.1M-----22.11%3.98M-22.11%3.98M----
Receivables 2,758.32%21.47M-12.61%22.08M-12.61%22.08M-24.98%751K-8.94%25.27M-8.94%25.27M-85.90%1M-22.32%27.75M-22.32%27.75M-39.57%7.1M
-Accounts receivable -93.84%34K-98.66%19K-98.66%19K-44.86%552K-37.07%1.42M-37.07%1.42M-85.89%1M-78.28%2.26M-78.28%2.26M-38.66%7.1M
-Taxes receivable --2.44M-24.36%2.49M-24.36%2.49M-----38.72%3.3M-38.72%3.3M----4.20%5.38M4.20%5.38M----
-Related party accounts receivable 79.90%358K-43.59%339K-43.59%339K--199K--601K--601K------0--0-78.57%6K
-Other receivables --18.64M-3.60%19.23M-3.60%19.23M-----0.80%19.95M-0.80%19.95M-----0.12%20.11M-0.12%20.11M----
Prepaid assets --25.74M-92.20%2.81M-92.20%2.81M----1,263.69%36.02M1,263.69%36.02M--024.11%2.64M24.11%2.64M----
Restricted cash ------0--0------0--0--------------0
Other current assets -99.83%49K-30.56%50K-30.56%50K-55.84%28.53M-89.84%72K-89.84%72K118.29%64.59M1,007.81%709K1,007.81%709K10.03%29.59M
Total current assets 85.74%54.63M-57.14%29.92M-57.14%29.92M-58.76%29.41M90.44%69.79M90.44%69.79M89.80%71.32M-37.50%36.65M-37.50%36.65M-6.57%37.58M
Non current assets
Net PPE 33.91%14M-6.04%10.24M-6.04%10.24M-40.15%10.46M-43.59%10.9M-43.59%10.9M-10.01%17.47M42.41%19.32M42.41%19.32M41.25%19.41M
-Gross PPE 396.88%51.95M-0.12%49.87M-0.12%49.87M-40.15%10.46M-21.66%49.93M-21.66%49.93M-10.01%17.47M-9.31%63.74M-9.31%63.74M41.25%19.41M
-Accumulated depreciation ---37.95M-1.53%-39.63M-1.53%-39.63M----12.13%-39.03M12.13%-39.03M----21.68%-44.42M21.68%-44.42M----
Goodwill and other intangible assets --82K------------------------------------
-Other intangible assets --82K------------------------------------
Investments and advances -9.78%27.66M-6.06%32.02M-6.06%32.02M-15.85%30.65M-13.83%34.08M-13.83%34.08M-11.51%36.43M-6.92%39.55M-6.92%39.55M0.39%41.17M
Related parties assets 79.90%358K-43.59%339K-43.59%339K--199K--601K--601K------0--0-78.57%6K
Non current prepaid assets ------0--0-83.77%62K-27.68%371K-27.68%371K-51.71%382K34.29%513K34.29%513K-8.34%791K
Total non current assets 1.38%41.74M-6.82%42.26M-6.82%42.26M-24.15%41.17M-23.63%45.35M-23.63%45.35M-11.56%54.28M5.22%59.39M5.22%59.39M10.35%61.37M
Total assets 36.53%96.37M-37.32%72.17M-37.32%72.17M-43.80%70.58M19.90%115.15M19.90%115.15M26.94%125.6M-16.55%96.04M-16.55%96.04M3.25%98.94M
Liabilities
Current liabilities
Payables -15.63%33.69M-7.33%36.92M-7.33%36.92M-3.41%39.93M-12.16%39.83M-12.16%39.83M-16.30%41.34M-6.23%45.35M-6.23%45.35M-34.03%49.39M
-accounts payable -30.54%11.43M-26.45%11.6M-26.45%11.6M-1.70%16.45M-14.11%15.77M-14.11%15.77M-27.95%16.74M-17.32%18.37M-17.32%18.37M-37.85%23.23M
-Total tax payable 1.06%1.25M-19.69%1.54M-19.69%1.54M-32.57%1.23M-36.55%1.92M-36.55%1.92M-27.90%1.83M12.78%3.02M12.78%3.02M-78.22%2.53M
-Due to related parties current --0--2.27M--2.27M--1.21M--0--0--------------0
-Other payable -0.10%21.02M-2.86%21.51M-2.86%21.51M-7.64%21.04M-7.60%22.15M-7.60%22.15M-3.61%22.78M2.09%23.97M2.09%23.97M9.42%23.63M
Current accrued expenses -71.15%3.19M-6.98%2.85M-6.98%2.85M6.82%11.04M-4.43%3.07M-4.43%3.07M16.44%10.34M-25.07%3.21M-25.07%3.21M12.32%8.88M
Current debt and capital lease obligation -----99.95%6K-99.95%6K-31.32%9.92M-15.48%12.83M-15.48%12.83M138.04%14.45M85.08%15.18M85.08%15.18M43.57%6.07M
-Current debt -------------31.34%9.91M-15.50%12.82M-15.50%12.82M141.74%14.44M110.72%15.17M110.72%15.17M79.99%5.97M
-Current capital lease obligation --0-40.00%6K-40.00%6K0.00%12K25.00%10K25.00%10K-87.76%12K-99.20%8K-99.20%8K-89.23%98K
Current deferred liabilities -2.02%7.22M-5.85%7.29M-5.85%7.29M192.53%7.37M125.93%7.75M125.93%7.75M-6.29%2.52M32.41%3.43M32.41%3.43M6.29%2.69M
Other current liabilities 35.56%37.39M-2.50%37.35M-2.50%37.35M-7.64%27.58M1.38%38.31M1.38%38.31M-3.60%29.86M-25.01%37.79M-25.01%37.79M9.42%30.98M
Current liabilities -14.98%81.48M-17.06%84.42M-17.06%84.42M-2.70%95.84M-3.02%101.79M-3.02%101.79M0.51%98.5M-7.79%104.96M-7.79%104.96M-16.83%98M
Non current liabilities
Long term debt and capital lease obligation ------0--0--0-30.77%9K-30.77%9K--0-99.50%13K-99.50%13K1.07%2.56M
-Long term debt ------------------------------------3.19%2.56M
-Long term capital lease obligation ------0--0--0-30.77%9K-30.77%9K--0333.33%13K333.33%13K--0
Due to related parties non current --3.61M--8.84M--8.84M------0--0----------------
Other non current liabilities --1K------------------------------------
Total non current liabilities --3.61M98,144.44%8.84M98,144.44%8.84M--0-30.77%9K-30.77%9K--0-99.50%13K-99.50%13K1.07%2.56M
Total liabilities -11.22%85.09M-8.38%93.26M-8.38%93.26M-2.70%95.84M-3.02%101.8M-3.02%101.8M-2.04%98.5M-9.85%104.97M-9.85%104.97M-16.46%100.55M
Shareholders'equity
Share capital 216.02%572K-49.58%181K-49.58%181K-49.58%181K98.34%359K98.34%359K99.44%359K19.08%181K19.08%181K40.63%180K
-common stock 216.02%572K-49.58%181K-49.58%181K-49.58%181K98.34%359K98.34%359K99.44%359K19.08%181K19.08%181K40.63%180K
Retained earnings 7.22%-298.92M-0.18%-318.81M-0.18%-318.81M-5.05%-322.16M-4.37%-318.24M-4.37%-318.24M-4.72%-306.67M-6.47%-304.9M-6.47%-304.9M2.08%-292.83M
Paid-in capital 4.76%312.89M-10.22%298.75M-10.22%298.75M-10.22%298.69M11.40%332.75M11.40%332.75M12.76%332.69M3.39%298.69M3.39%298.69M3.53%295.04M
Less: Treasury stock 132.23%2.67M0.00%1.15M0.00%1.15M0.00%1.15M0.00%1.15M0.00%1.15M-51.17%1.15M-51.17%1.15M-51.17%1.15M0.00%2.35M
Gains losses not affecting retained earnings 6.72%33.48M2.61%32.88M2.61%32.88M-9.19%31.37M1.13%32.04M1.13%32.04M9.69%34.54M1.20%31.69M1.20%31.69M-2.39%31.49M
Other equity interest ---1.15M------------------------------------
Total stockholders'equity 538.67%44.21M-74.11%11.85M-74.11%11.85M-88.42%6.92M86.79%45.76M86.79%45.76M89.60%59.77M-22.53%24.5M-22.53%24.5M97.54%31.53M
Noncontrolling interests -2.34%-32.93M-1.63%-32.94M-1.63%-32.94M1.52%-32.18M3.06%-32.41M3.06%-32.41M1.39%-32.68M-1.37%-33.43M-1.37%-33.43M18.17%-33.14M
Total equity 144.65%11.28M-257.92%-21.09M-257.92%-21.09M-193.21%-25.26M249.46%13.35M249.46%13.35M1,781.94%27.1M-557.88%-8.93M-557.88%-8.93M93.43%-1.61M
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----Unqualified Opinion with Explanatory Notes----
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