US Stock MarketDetailed Quotes

BRGO BERGIO INTL INC

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  • 0.000
  • +0.000+9900.00%
15min DelayClose Dec 13 16:00 ET
289.83KMarket Cap0.01P/E (TTM)

BERGIO INTL INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
2.64%48.43K
-74.11%38.02K
-55.26%50.99K
-59.42%151.55K
-59.42%151.55K
-74.80%47.18K
-70.30%146.84K
-80.87%113.97K
-65.83%373.51K
-65.83%373.51K
-Cash and cash equivalents
2.64%48.43K
-74.11%38.02K
-55.26%50.99K
-59.42%151.55K
-59.42%151.55K
-74.80%47.18K
-70.30%146.84K
-80.87%113.97K
-65.83%373.51K
-65.83%373.51K
Receivables
280.88%500.77K
-96.21%5.01K
-97.44%4.09K
-83.80%19.43K
-83.80%19.43K
67.86%131.48K
-6.58%132.08K
93.39%160.01K
133.67%119.93K
133.67%119.93K
-Accounts receivable
-99.42%765
-96.21%5.01K
-97.44%4.09K
-83.80%19.43K
-83.80%19.43K
67.86%131.48K
-6.58%132.08K
93.39%160.01K
133.67%119.93K
133.67%119.93K
-Notes receivable
--500K
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Inventory
-55.26%1.26M
-55.17%1.29M
-50.23%1.44M
-10.98%1.52M
-10.98%1.52M
-5.20%2.82M
-3.98%2.88M
-7.23%2.89M
-46.85%1.7M
-46.85%1.7M
Restricted cash
--147.29K
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Other current assets
-41.68%7.9K
453.81%14.4K
38.85%3.61K
171.43%1.9K
171.43%1.9K
-80.09%13.55K
-96.98%2.6K
-81.91%2.6K
-97.91%700
-97.91%700
Total current assets
-34.76%1.97M
-57.35%1.35M
-52.73%1.49M
-50.88%1.69M
-50.88%1.69M
-8.95%3.02M
-15.04%3.16M
-16.86%3.16M
-21.53%3.44M
-21.53%3.44M
Non current assets
Net PPE
33.80%163.76K
27.80%179.62K
-40.41%92.65K
41.84%106.04K
41.84%106.04K
38.01%122.39K
14.09%140.54K
-1.22%155.48K
-60.96%74.76K
-60.96%74.76K
-Gross PPE
5.59%1.16M
5.46%1.17M
-2.88%1.08M
6.56%1.09M
6.56%1.09M
6.99%1.1M
5.30%1.11M
3.48%1.12M
-6.93%1.03M
-6.93%1.03M
-Accumulated depreciation
-2.07%-1M
-2.23%-992.36K
-3.18%-992.17K
-3.79%-987.8K
-3.79%-987.8K
-4.06%-980.26K
-4.14%-970.73K
-4.28%-961.56K
-4.42%-951.78K
-4.42%-951.78K
Goodwill and other intangible assets
-51.80%2.78M
-52.30%2.78M
-52.79%2.78M
0.00%2.78M
0.00%2.78M
-4.03%5.77M
-3.99%5.83M
-3.95%5.89M
-55.09%2.78M
-55.09%2.78M
-Goodwill
-51.05%2.78M
-51.05%2.78M
-51.05%2.78M
0.00%2.78M
0.00%2.78M
0.00%5.68M
0.00%5.68M
0.00%5.68M
-51.05%2.78M
-51.05%2.78M
-Other intangible assets
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-73.36%87.85K
-61.99%148.34K
-53.67%208.83K
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Investments and advances
22.40%8.08K
22.40%8.08K
22.40%8.08K
0.00%6.6K
0.00%6.6K
0.00%6.6K
0.00%6.6K
0.00%6.6K
0.00%6.6K
0.00%6.6K
Other non current assets
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--3.17M
--3.17M
Total non current assets
-49.94%2.95M
-50.33%2.97M
-52.39%2.88M
-52.03%2.89M
-52.03%2.89M
-3.41%5.9M
-3.62%5.98M
-3.87%6.05M
-5.61%6.03M
-5.61%6.03M
Total assets
-44.80%4.92M
-52.80%4.31M
-52.50%4.38M
-51.61%4.58M
-51.61%4.58M
-5.36%8.92M
-7.91%9.14M
-8.76%9.21M
-12.09%9.47M
-12.09%9.47M
Liabilities
Current liabilities
Payables
-33.91%1.17M
-36.15%1.07M
-50.16%936.92K
20.63%860.91K
20.63%860.91K
1.02%1.77M
-4.88%1.68M
3.88%1.88M
-68.10%713.65K
-68.10%713.65K
-accounts payable
-33.91%1.17M
-36.15%1.07M
-50.16%936.92K
20.63%860.91K
20.63%860.91K
1.37%1.77M
-4.88%1.68M
8.06%1.88M
-65.88%713.65K
-65.88%713.65K
Current accrued expenses
70.44%609.43K
139.89%625.77K
141.72%632.84K
155.33%364.75K
155.33%364.75K
--357.57K
--260.86K
--261.81K
--142.85K
--142.85K
Current debt and capital lease obligation
-53.69%1.09M
-54.09%1.08M
-62.09%823.58K
-4.47%810.52K
-4.47%810.52K
16.63%2.35M
32.49%2.35M
3.76%2.17M
-73.37%848.48K
-73.37%848.48K
-Current debt
-54.38%1.06M
-54.63%1.05M
-62.41%804.45K
-5.24%786.92K
-5.24%786.92K
16.24%2.32M
33.49%2.32M
5.09%2.14M
-73.30%830.41K
-73.30%830.41K
-Current capital lease obligation
2.96%28.85K
-15.01%27.47K
-40.64%19.12K
30.62%23.61K
30.62%23.61K
60.66%28.02K
-13.80%32.33K
-43.65%32.22K
-76.37%18.07K
-76.37%18.07K
Other current liabilities
74.87%1.71M
335.59%2.89M
1,177.04%3.23M
55.28%3.46M
55.28%3.46M
583.24%977.58K
256.55%663.68K
-68.23%252.66K
127.90%2.23M
127.90%2.23M
Current liabilities
-10.66%5.29M
20.17%6.33M
26.53%6.22M
42.00%6.04M
42.00%6.04M
40.03%5.92M
27.44%5.27M
-2.55%4.92M
-36.96%4.25M
-36.96%4.25M
Non current liabilities
Long term debt and capital lease obligation
-26.45%241.21K
-24.67%250.31K
-49.45%171.53K
47.51%175.56K
47.51%175.56K
20.29%327.93K
19.61%332.26K
19.73%339.33K
-58.44%119.02K
-58.44%119.02K
-Long term debt
-56.71%112.62K
-56.70%112.64K
-56.89%112.66K
-0.29%112.17K
-0.29%112.17K
-0.46%260.14K
-0.65%260.15K
-0.64%261.34K
-57.03%112.5K
-57.03%112.5K
-Long term capital lease obligation
89.67%128.58K
90.92%137.67K
-24.52%58.86K
871.74%63.4K
871.74%63.4K
501.23%67.8K
353.16%72.11K
282.84%77.99K
-73.47%6.52K
-73.47%6.52K
Preferred securities outside stock equity
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--317K
--317K
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Total non current liabilities
-26.45%241.21K
-39.25%394.4K
-51.83%316.15K
21.70%323.76K
21.70%323.76K
20.29%327.93K
133.73%649.26K
131.59%656.33K
-7.11%266.02K
-7.11%266.02K
Total liabilities
-11.49%5.53M
13.64%6.72M
17.30%6.54M
40.81%6.36M
40.81%6.36M
38.84%6.25M
34.14%5.91M
4.58%5.57M
-35.74%4.52M
-35.74%4.52M
Shareholders'equity
Share capital
1,642.91%29K
3,711.04%29K
20,181.12%29K
14,743.84%21.67K
14,743.84%21.67K
-96.30%1.66K
-97.52%761
-99.46%143
-98.82%146
-98.82%146
-common stock
1,652.90%28.99K
3,760.59%28.99K
21,699.25%28.99K
16,187.22%21.66K
16,187.22%21.66K
-96.32%1.65K
-97.55%751
-99.50%133
-98.92%133
-98.92%133
-Preferred stock
-10.00%9
-10.00%9
-10.00%9
-23.08%10
-23.08%10
-28.57%10
-41.18%10
11.11%10
--13
--13
Retained earnings
-6.06%-22.47M
-16.68%-24.32M
-18.96%-24.13M
-21.24%-23.77M
-21.24%-23.77M
-16.53%-21.19M
-18.52%-20.84M
-20.31%-20.28M
-35.65%-19.61M
-35.65%-19.61M
Paid-in capital
1.24%26.18M
1.05%26.18M
1.52%26.18M
0.01%26.11M
0.01%26.11M
5.18%25.86M
6.49%25.91M
13.82%25.79M
40.08%26.1M
40.08%26.1M
Total stockholders'equity
-20.06%3.73M
-62.75%1.89M
-62.23%2.08M
-63.72%2.36M
-63.72%2.36M
-27.54%4.67M
-25.21%5.06M
-5.48%5.5M
51.19%6.5M
51.19%6.5M
Noncontrolling interests
-116.51%-4.35M
-133.53%-4.29M
-127.83%-4.24M
-167.80%-4.14M
-167.80%-4.14M
-31.24%-2.01M
-46.41%-1.84M
-77.14%-1.86M
-177.21%-1.55M
-177.21%-1.55M
Total equity
-122.99%-612.32K
-174.68%-2.41M
-159.29%-2.16M
-135.97%-1.78M
-135.97%-1.78M
-45.83%2.66M
-41.52%3.22M
-23.67%3.64M
32.40%4.95M
32.40%4.95M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
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(Q3)Sep 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments 2.64%48.43K-74.11%38.02K-55.26%50.99K-59.42%151.55K-59.42%151.55K-74.80%47.18K-70.30%146.84K-80.87%113.97K-65.83%373.51K-65.83%373.51K
-Cash and cash equivalents 2.64%48.43K-74.11%38.02K-55.26%50.99K-59.42%151.55K-59.42%151.55K-74.80%47.18K-70.30%146.84K-80.87%113.97K-65.83%373.51K-65.83%373.51K
Receivables 280.88%500.77K-96.21%5.01K-97.44%4.09K-83.80%19.43K-83.80%19.43K67.86%131.48K-6.58%132.08K93.39%160.01K133.67%119.93K133.67%119.93K
-Accounts receivable -99.42%765-96.21%5.01K-97.44%4.09K-83.80%19.43K-83.80%19.43K67.86%131.48K-6.58%132.08K93.39%160.01K133.67%119.93K133.67%119.93K
-Notes receivable --500K------------------------------------
Inventory -55.26%1.26M-55.17%1.29M-50.23%1.44M-10.98%1.52M-10.98%1.52M-5.20%2.82M-3.98%2.88M-7.23%2.89M-46.85%1.7M-46.85%1.7M
Restricted cash --147.29K------------------------------------
Other current assets -41.68%7.9K453.81%14.4K38.85%3.61K171.43%1.9K171.43%1.9K-80.09%13.55K-96.98%2.6K-81.91%2.6K-97.91%700-97.91%700
Total current assets -34.76%1.97M-57.35%1.35M-52.73%1.49M-50.88%1.69M-50.88%1.69M-8.95%3.02M-15.04%3.16M-16.86%3.16M-21.53%3.44M-21.53%3.44M
Non current assets
Net PPE 33.80%163.76K27.80%179.62K-40.41%92.65K41.84%106.04K41.84%106.04K38.01%122.39K14.09%140.54K-1.22%155.48K-60.96%74.76K-60.96%74.76K
-Gross PPE 5.59%1.16M5.46%1.17M-2.88%1.08M6.56%1.09M6.56%1.09M6.99%1.1M5.30%1.11M3.48%1.12M-6.93%1.03M-6.93%1.03M
-Accumulated depreciation -2.07%-1M-2.23%-992.36K-3.18%-992.17K-3.79%-987.8K-3.79%-987.8K-4.06%-980.26K-4.14%-970.73K-4.28%-961.56K-4.42%-951.78K-4.42%-951.78K
Goodwill and other intangible assets -51.80%2.78M-52.30%2.78M-52.79%2.78M0.00%2.78M0.00%2.78M-4.03%5.77M-3.99%5.83M-3.95%5.89M-55.09%2.78M-55.09%2.78M
-Goodwill -51.05%2.78M-51.05%2.78M-51.05%2.78M0.00%2.78M0.00%2.78M0.00%5.68M0.00%5.68M0.00%5.68M-51.05%2.78M-51.05%2.78M
-Other intangible assets ---------------------73.36%87.85K-61.99%148.34K-53.67%208.83K--------
Investments and advances 22.40%8.08K22.40%8.08K22.40%8.08K0.00%6.6K0.00%6.6K0.00%6.6K0.00%6.6K0.00%6.6K0.00%6.6K0.00%6.6K
Other non current assets ----------------------------------3.17M--3.17M
Total non current assets -49.94%2.95M-50.33%2.97M-52.39%2.88M-52.03%2.89M-52.03%2.89M-3.41%5.9M-3.62%5.98M-3.87%6.05M-5.61%6.03M-5.61%6.03M
Total assets -44.80%4.92M-52.80%4.31M-52.50%4.38M-51.61%4.58M-51.61%4.58M-5.36%8.92M-7.91%9.14M-8.76%9.21M-12.09%9.47M-12.09%9.47M
Liabilities
Current liabilities
Payables -33.91%1.17M-36.15%1.07M-50.16%936.92K20.63%860.91K20.63%860.91K1.02%1.77M-4.88%1.68M3.88%1.88M-68.10%713.65K-68.10%713.65K
-accounts payable -33.91%1.17M-36.15%1.07M-50.16%936.92K20.63%860.91K20.63%860.91K1.37%1.77M-4.88%1.68M8.06%1.88M-65.88%713.65K-65.88%713.65K
Current accrued expenses 70.44%609.43K139.89%625.77K141.72%632.84K155.33%364.75K155.33%364.75K--357.57K--260.86K--261.81K--142.85K--142.85K
Current debt and capital lease obligation -53.69%1.09M-54.09%1.08M-62.09%823.58K-4.47%810.52K-4.47%810.52K16.63%2.35M32.49%2.35M3.76%2.17M-73.37%848.48K-73.37%848.48K
-Current debt -54.38%1.06M-54.63%1.05M-62.41%804.45K-5.24%786.92K-5.24%786.92K16.24%2.32M33.49%2.32M5.09%2.14M-73.30%830.41K-73.30%830.41K
-Current capital lease obligation 2.96%28.85K-15.01%27.47K-40.64%19.12K30.62%23.61K30.62%23.61K60.66%28.02K-13.80%32.33K-43.65%32.22K-76.37%18.07K-76.37%18.07K
Other current liabilities 74.87%1.71M335.59%2.89M1,177.04%3.23M55.28%3.46M55.28%3.46M583.24%977.58K256.55%663.68K-68.23%252.66K127.90%2.23M127.90%2.23M
Current liabilities -10.66%5.29M20.17%6.33M26.53%6.22M42.00%6.04M42.00%6.04M40.03%5.92M27.44%5.27M-2.55%4.92M-36.96%4.25M-36.96%4.25M
Non current liabilities
Long term debt and capital lease obligation -26.45%241.21K-24.67%250.31K-49.45%171.53K47.51%175.56K47.51%175.56K20.29%327.93K19.61%332.26K19.73%339.33K-58.44%119.02K-58.44%119.02K
-Long term debt -56.71%112.62K-56.70%112.64K-56.89%112.66K-0.29%112.17K-0.29%112.17K-0.46%260.14K-0.65%260.15K-0.64%261.34K-57.03%112.5K-57.03%112.5K
-Long term capital lease obligation 89.67%128.58K90.92%137.67K-24.52%58.86K871.74%63.4K871.74%63.4K501.23%67.8K353.16%72.11K282.84%77.99K-73.47%6.52K-73.47%6.52K
Preferred securities outside stock equity --------------------------317K--317K--------
Total non current liabilities -26.45%241.21K-39.25%394.4K-51.83%316.15K21.70%323.76K21.70%323.76K20.29%327.93K133.73%649.26K131.59%656.33K-7.11%266.02K-7.11%266.02K
Total liabilities -11.49%5.53M13.64%6.72M17.30%6.54M40.81%6.36M40.81%6.36M38.84%6.25M34.14%5.91M4.58%5.57M-35.74%4.52M-35.74%4.52M
Shareholders'equity
Share capital 1,642.91%29K3,711.04%29K20,181.12%29K14,743.84%21.67K14,743.84%21.67K-96.30%1.66K-97.52%761-99.46%143-98.82%146-98.82%146
-common stock 1,652.90%28.99K3,760.59%28.99K21,699.25%28.99K16,187.22%21.66K16,187.22%21.66K-96.32%1.65K-97.55%751-99.50%133-98.92%133-98.92%133
-Preferred stock -10.00%9-10.00%9-10.00%9-23.08%10-23.08%10-28.57%10-41.18%1011.11%10--13--13
Retained earnings -6.06%-22.47M-16.68%-24.32M-18.96%-24.13M-21.24%-23.77M-21.24%-23.77M-16.53%-21.19M-18.52%-20.84M-20.31%-20.28M-35.65%-19.61M-35.65%-19.61M
Paid-in capital 1.24%26.18M1.05%26.18M1.52%26.18M0.01%26.11M0.01%26.11M5.18%25.86M6.49%25.91M13.82%25.79M40.08%26.1M40.08%26.1M
Total stockholders'equity -20.06%3.73M-62.75%1.89M-62.23%2.08M-63.72%2.36M-63.72%2.36M-27.54%4.67M-25.21%5.06M-5.48%5.5M51.19%6.5M51.19%6.5M
Noncontrolling interests -116.51%-4.35M-133.53%-4.29M-127.83%-4.24M-167.80%-4.14M-167.80%-4.14M-31.24%-2.01M-46.41%-1.84M-77.14%-1.86M-177.21%-1.55M-177.21%-1.55M
Total equity -122.99%-612.32K-174.68%-2.41M-159.29%-2.16M-135.97%-1.78M-135.97%-1.78M-45.83%2.66M-41.52%3.22M-23.67%3.64M32.40%4.95M32.40%4.95M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--
Heat List
US
Overall
Symbol
Price
% Chg

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