US Stock MarketDetailed Quotes

CBDY TARGET GROUP INC

Watchlist
  • 0.002
  • 0.000-1.25%
15min DelayClose Nov 29 13:00 ET
1.22MMarket Cap0.00P/E (TTM)

TARGET GROUP 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
188.38%1.28M
65.46%1.73M
1,411.26%745.58K
228.95%736.32K
228.95%736.32K
125.29%445.42K
817.48%1.05M
-74.66%49.34K
97.95%223.84K
97.95%223.84K
-Cash and cash equivalents
188.38%1.28M
65.46%1.73M
1,411.26%745.58K
228.95%736.32K
228.95%736.32K
125.29%445.42K
817.48%1.05M
-74.66%49.34K
97.95%223.84K
97.95%223.84K
Receivables
25.21%246.71K
7,335.85%511.51K
-75.69%159.4K
62.80%1.04M
62.80%1.04M
-61.87%197.04K
-98.58%6.88K
114.46%655.82K
99.66%635.94K
99.66%635.94K
-Accounts receivable
-63.95%46.23K
22,761.03%472.77K
4,189.12%88.7K
49,780.56%1.03M
49,780.56%1.03M
6,101.35%128.24K
0.00%2.07K
0.00%2.07K
0.00%2.07K
0.00%2.07K
-Notes receivable
--103.71K
----
----
----
----
----
----
----
----
----
-Accrued interest receivable
--8.86K
----
----
----
----
----
----
----
----
----
-Taxes receivable
29.35%84.21K
3,293.91%35.09K
344.15%67.01K
----
----
--65.1K
-97.08%1.03K
--15.09K
----
----
-Related party accounts receivable
----
----
----
--0
--0
--0
--0
111.85%634.97K
116.66%630.18K
116.66%630.18K
-Other receivables
0.16%3.7K
-3.28%3.65K
-0.14%3.69K
2.41%3.78K
2.41%3.78K
1.37%3.7K
-2.65%3.78K
-7.67%3.7K
-6.39%3.69K
-6.39%3.69K
Inventory
-46.62%1.01M
-70.93%527.62K
--738.12K
--1.22M
--1.22M
1,811.86%1.89M
1,733.23%1.81M
--0
--0
--0
Prepaid assets
0.16%41.86K
-3.27%41.28K
-0.12%41.7K
2.41%42.72K
2.41%42.72K
1.37%41.79K
-2.67%42.67K
-7.67%41.75K
-6.40%41.71K
-6.40%41.71K
Restricted cash
0.16%8.52K
-3.27%8.4K
-0.12%8.49K
2.43%8.7K
2.43%8.7K
1.38%8.51K
-2.67%8.69K
-7.67%8.5K
-6.42%8.49K
-6.42%8.49K
Other current assets
----
----
----
--55.27K
--55.27K
----
----
----
----
----
Total current assets
0.25%2.59M
-3.37%2.82M
124.16%1.69M
240.03%3.09M
240.03%3.09M
199.59%2.59M
288.65%2.92M
15.52%755.4K
55.76%909.99K
55.76%909.99K
Non current assets
Net PPE
-13.67%4.73M
-16.70%4.86M
-5.37%5.11M
-2.49%5.48M
-2.49%5.48M
-4.97%5.48M
-8.34%5.83M
-20.43%5.4M
-18.91%5.62M
-18.91%5.62M
-Gross PPE
0.96%9.09M
-2.55%8.94M
8.56%9M
63.81%9.2M
63.81%9.2M
9.72%9M
5.63%9.17M
-7.20%8.29M
-18.91%5.62M
-18.91%5.62M
-Accumulated depreciation
-23.69%-4.36M
-22.12%-4.08M
-34.64%-3.89M
---3.72M
---3.72M
-44.44%-3.53M
-43.83%-3.34M
-34.72%-2.89M
----
----
Goodwill and other intangible assets
0.16%264.01K
-3.27%260.37K
-0.12%263.01K
2.41%269.46K
2.41%269.46K
-92.26%263.58K
-92.57%269.18K
-92.95%263.33K
-92.85%263.12K
-92.85%263.12K
-Goodwill
0.16%264.01K
-3.27%260.37K
-0.12%263.01K
2.41%269.46K
2.41%269.46K
-92.26%263.58K
-92.57%269.18K
-92.95%263.33K
-92.85%263.12K
-92.85%263.12K
Investments and advances
----
----
----
--0
--0
--0
--0
-39.04%1.27M
-58.53%775.58K
-58.53%775.58K
Related parties assets
----
----
----
--0
--0
--0
--0
111.85%634.97K
116.66%630.18K
116.66%630.18K
Total non current assets
-13.04%4.99M
-16.11%5.12M
-22.50%5.38M
-13.66%5.75M
-13.66%5.75M
-41.05%5.74M
-42.73%6.1M
-44.99%6.94M
-46.66%6.66M
-46.66%6.66M
Total assets
-8.91%7.59M
-11.98%7.94M
-8.10%7.07M
16.86%8.84M
16.86%8.84M
-21.46%8.33M
-20.88%9.02M
-42.01%7.69M
-42.08%7.57M
-42.08%7.57M
Liabilities
Current liabilities
Payables
60.86%13.3M
65.23%13.03M
68.86%12.8M
111.88%14.41M
111.88%14.41M
32.03%8.27M
87.22%7.88M
51.19%7.58M
72.91%6.8M
72.91%6.8M
-accounts payable
6.16%2.84M
-3.94%2.71M
-9.52%2.36M
28.24%2.95M
28.24%2.95M
37.63%2.67M
68.24%2.82M
-21.45%2.61M
-20.41%2.3M
-20.41%2.3M
-Total tax payable
--0
--0
--0
37.80%48.58K
37.80%48.58K
--0
--0
--0
--35.25K
--35.25K
-Due to related parties current
86.98%10.46M
103.82%10.32M
110.08%10.44M
155.47%11.42M
155.47%11.42M
29.84%5.6M
99.78%5.06M
201.89%4.97M
330.87%4.47M
330.87%4.47M
Current debt and capital lease obligation
19.80%143.93K
14.08%135.8K
15.14%131.17K
15.14%128.46K
15.14%128.46K
11.26%120.14K
-38.19%119.03K
4.72%113.93K
9.02%111.57K
9.02%111.57K
-Current debt
0.00%986
0.00%986
0.00%986
0.00%986
0.00%986
0.00%986
-98.81%986
0.00%986
0.00%986
0.00%986
-Current capital lease obligation
19.97%142.94K
14.20%134.81K
15.27%130.19K
15.27%127.48K
15.27%127.48K
11.37%119.15K
7.76%118.05K
4.76%112.94K
9.11%110.59K
9.11%110.59K
Current deferred liabilities
--42.23K
--41.64K
--42.07K
--43.1K
--43.1K
----
----
----
--0
--0
Other current liabilities
-66.99%7.97K
-0.91%16.17K
-36.32%7.93K
-46.97%8.02K
-46.97%8.02K
126.25%24.16K
31.37%16.32K
10.51%12.45K
91.41%15.13K
91.41%15.13K
Current liabilities
60.41%13.49M
64.86%13.22M
68.44%12.98M
110.60%14.59M
110.60%14.59M
31.83%8.41M
81.59%8.02M
50.11%7.71M
71.33%6.93M
71.33%6.93M
Non current liabilities
Long term debt and capital lease obligation
-11.47%1.09M
-13.74%1.11M
-10.22%1.16M
-7.25%1.22M
-7.25%1.22M
-7.58%1.23M
-10.83%1.29M
-15.10%1.29M
-13.64%1.32M
-13.64%1.32M
-Long term capital lease obligation
-11.47%1.09M
-13.74%1.11M
-10.22%1.16M
-7.25%1.22M
-7.25%1.22M
-7.58%1.23M
-10.83%1.29M
-15.10%1.29M
-13.64%1.32M
-13.64%1.32M
Due to related parties non current
----
----
----
--0
--0
-2.37%5.54M
-21.73%6.28M
-35.55%6M
-38.91%5.88M
-38.91%5.88M
Derivative product liabilities
-76.61%414
-30.50%647
101.74%696
-27.40%355
-27.40%355
278.21%1.77K
21.86%931
-68.06%345
-97.79%489
-97.79%489
Total non current liabilities
-83.91%1.09M
-85.30%1.11M
-84.09%1.16M
-82.99%1.22M
-82.99%1.22M
-3.34%6.77M
-20.06%7.56M
-32.68%7.29M
-35.57%7.2M
-35.57%7.2M
Total liabilities
-3.96%14.58M
-8.03%14.33M
-5.72%14.14M
11.95%15.81M
11.95%15.81M
13.42%15.18M
12.29%15.59M
-6.06%15M
-7.16%14.13M
-7.16%14.13M
Shareholders'equity
Share capital
0.00%61.8K
0.00%61.8K
0.00%61.8K
0.00%61.8K
0.00%61.8K
0.00%61.8K
0.00%61.8K
0.00%61.8K
0.00%61.8K
0.00%61.8K
-common stock
0.00%61.7K
0.00%61.7K
0.00%61.7K
0.00%61.7K
0.00%61.7K
0.00%61.7K
0.00%61.7K
0.00%61.7K
0.00%61.7K
0.00%61.7K
-Preferred stock
0.00%100
0.00%100
0.00%100
0.00%100
0.00%100
0.00%100
0.00%100
0.00%100
0.00%100
0.00%100
Retained earnings
-0.78%-31.16M
-0.22%-30.63M
0.73%-31.3M
-1.05%-31.11M
-1.05%-31.11M
-15.12%-30.92M
-15.01%-30.57M
-17.54%-31.53M
-17.21%-30.78M
-17.21%-30.78M
Paid-in capital
0.00%24.99M
0.00%24.99M
0.00%24.99M
0.00%24.99M
0.00%24.99M
0.00%24.99M
0.00%24.99M
0.00%24.99M
0.00%24.99M
0.00%24.99M
Gains losses not affecting retained earnings
8.57%-1.06M
19.46%-985.64K
0.58%-995.06K
-8.96%-1.09M
-8.96%-1.09M
-1.09%-1.16M
-8.49%-1.22M
9.08%-1M
10.07%-998.83K
10.07%-998.83K
Other equity interest
0.03%175.44K
0.08%175.44K
0.11%175.44K
0.15%175.44K
0.15%175.44K
0.16%175.39K
0.17%175.29K
0.21%175.25K
0.26%175.18K
0.26%175.18K
Total stockholders'equity
-2.06%-7M
2.59%-6.4M
3.21%-7.07M
-6.29%-6.97M
-6.29%-6.97M
-146.36%-6.86M
-164.64%-6.57M
-170.47%-7.31M
-204.81%-6.56M
-204.81%-6.56M
Total equity
-2.06%-7M
2.59%-6.4M
3.21%-7.07M
-6.29%-6.97M
-6.29%-6.97M
-146.36%-6.86M
-164.64%-6.57M
-170.47%-7.31M
-204.81%-6.56M
-204.81%-6.56M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(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 188.38%1.28M65.46%1.73M1,411.26%745.58K228.95%736.32K228.95%736.32K125.29%445.42K817.48%1.05M-74.66%49.34K97.95%223.84K97.95%223.84K
-Cash and cash equivalents 188.38%1.28M65.46%1.73M1,411.26%745.58K228.95%736.32K228.95%736.32K125.29%445.42K817.48%1.05M-74.66%49.34K97.95%223.84K97.95%223.84K
Receivables 25.21%246.71K7,335.85%511.51K-75.69%159.4K62.80%1.04M62.80%1.04M-61.87%197.04K-98.58%6.88K114.46%655.82K99.66%635.94K99.66%635.94K
-Accounts receivable -63.95%46.23K22,761.03%472.77K4,189.12%88.7K49,780.56%1.03M49,780.56%1.03M6,101.35%128.24K0.00%2.07K0.00%2.07K0.00%2.07K0.00%2.07K
-Notes receivable --103.71K------------------------------------
-Accrued interest receivable --8.86K------------------------------------
-Taxes receivable 29.35%84.21K3,293.91%35.09K344.15%67.01K----------65.1K-97.08%1.03K--15.09K--------
-Related party accounts receivable --------------0--0--0--0111.85%634.97K116.66%630.18K116.66%630.18K
-Other receivables 0.16%3.7K-3.28%3.65K-0.14%3.69K2.41%3.78K2.41%3.78K1.37%3.7K-2.65%3.78K-7.67%3.7K-6.39%3.69K-6.39%3.69K
Inventory -46.62%1.01M-70.93%527.62K--738.12K--1.22M--1.22M1,811.86%1.89M1,733.23%1.81M--0--0--0
Prepaid assets 0.16%41.86K-3.27%41.28K-0.12%41.7K2.41%42.72K2.41%42.72K1.37%41.79K-2.67%42.67K-7.67%41.75K-6.40%41.71K-6.40%41.71K
Restricted cash 0.16%8.52K-3.27%8.4K-0.12%8.49K2.43%8.7K2.43%8.7K1.38%8.51K-2.67%8.69K-7.67%8.5K-6.42%8.49K-6.42%8.49K
Other current assets --------------55.27K--55.27K--------------------
Total current assets 0.25%2.59M-3.37%2.82M124.16%1.69M240.03%3.09M240.03%3.09M199.59%2.59M288.65%2.92M15.52%755.4K55.76%909.99K55.76%909.99K
Non current assets
Net PPE -13.67%4.73M-16.70%4.86M-5.37%5.11M-2.49%5.48M-2.49%5.48M-4.97%5.48M-8.34%5.83M-20.43%5.4M-18.91%5.62M-18.91%5.62M
-Gross PPE 0.96%9.09M-2.55%8.94M8.56%9M63.81%9.2M63.81%9.2M9.72%9M5.63%9.17M-7.20%8.29M-18.91%5.62M-18.91%5.62M
-Accumulated depreciation -23.69%-4.36M-22.12%-4.08M-34.64%-3.89M---3.72M---3.72M-44.44%-3.53M-43.83%-3.34M-34.72%-2.89M--------
Goodwill and other intangible assets 0.16%264.01K-3.27%260.37K-0.12%263.01K2.41%269.46K2.41%269.46K-92.26%263.58K-92.57%269.18K-92.95%263.33K-92.85%263.12K-92.85%263.12K
-Goodwill 0.16%264.01K-3.27%260.37K-0.12%263.01K2.41%269.46K2.41%269.46K-92.26%263.58K-92.57%269.18K-92.95%263.33K-92.85%263.12K-92.85%263.12K
Investments and advances --------------0--0--0--0-39.04%1.27M-58.53%775.58K-58.53%775.58K
Related parties assets --------------0--0--0--0111.85%634.97K116.66%630.18K116.66%630.18K
Total non current assets -13.04%4.99M-16.11%5.12M-22.50%5.38M-13.66%5.75M-13.66%5.75M-41.05%5.74M-42.73%6.1M-44.99%6.94M-46.66%6.66M-46.66%6.66M
Total assets -8.91%7.59M-11.98%7.94M-8.10%7.07M16.86%8.84M16.86%8.84M-21.46%8.33M-20.88%9.02M-42.01%7.69M-42.08%7.57M-42.08%7.57M
Liabilities
Current liabilities
Payables 60.86%13.3M65.23%13.03M68.86%12.8M111.88%14.41M111.88%14.41M32.03%8.27M87.22%7.88M51.19%7.58M72.91%6.8M72.91%6.8M
-accounts payable 6.16%2.84M-3.94%2.71M-9.52%2.36M28.24%2.95M28.24%2.95M37.63%2.67M68.24%2.82M-21.45%2.61M-20.41%2.3M-20.41%2.3M
-Total tax payable --0--0--037.80%48.58K37.80%48.58K--0--0--0--35.25K--35.25K
-Due to related parties current 86.98%10.46M103.82%10.32M110.08%10.44M155.47%11.42M155.47%11.42M29.84%5.6M99.78%5.06M201.89%4.97M330.87%4.47M330.87%4.47M
Current debt and capital lease obligation 19.80%143.93K14.08%135.8K15.14%131.17K15.14%128.46K15.14%128.46K11.26%120.14K-38.19%119.03K4.72%113.93K9.02%111.57K9.02%111.57K
-Current debt 0.00%9860.00%9860.00%9860.00%9860.00%9860.00%986-98.81%9860.00%9860.00%9860.00%986
-Current capital lease obligation 19.97%142.94K14.20%134.81K15.27%130.19K15.27%127.48K15.27%127.48K11.37%119.15K7.76%118.05K4.76%112.94K9.11%110.59K9.11%110.59K
Current deferred liabilities --42.23K--41.64K--42.07K--43.1K--43.1K--------------0--0
Other current liabilities -66.99%7.97K-0.91%16.17K-36.32%7.93K-46.97%8.02K-46.97%8.02K126.25%24.16K31.37%16.32K10.51%12.45K91.41%15.13K91.41%15.13K
Current liabilities 60.41%13.49M64.86%13.22M68.44%12.98M110.60%14.59M110.60%14.59M31.83%8.41M81.59%8.02M50.11%7.71M71.33%6.93M71.33%6.93M
Non current liabilities
Long term debt and capital lease obligation -11.47%1.09M-13.74%1.11M-10.22%1.16M-7.25%1.22M-7.25%1.22M-7.58%1.23M-10.83%1.29M-15.10%1.29M-13.64%1.32M-13.64%1.32M
-Long term capital lease obligation -11.47%1.09M-13.74%1.11M-10.22%1.16M-7.25%1.22M-7.25%1.22M-7.58%1.23M-10.83%1.29M-15.10%1.29M-13.64%1.32M-13.64%1.32M
Due to related parties non current --------------0--0-2.37%5.54M-21.73%6.28M-35.55%6M-38.91%5.88M-38.91%5.88M
Derivative product liabilities -76.61%414-30.50%647101.74%696-27.40%355-27.40%355278.21%1.77K21.86%931-68.06%345-97.79%489-97.79%489
Total non current liabilities -83.91%1.09M-85.30%1.11M-84.09%1.16M-82.99%1.22M-82.99%1.22M-3.34%6.77M-20.06%7.56M-32.68%7.29M-35.57%7.2M-35.57%7.2M
Total liabilities -3.96%14.58M-8.03%14.33M-5.72%14.14M11.95%15.81M11.95%15.81M13.42%15.18M12.29%15.59M-6.06%15M-7.16%14.13M-7.16%14.13M
Shareholders'equity
Share capital 0.00%61.8K0.00%61.8K0.00%61.8K0.00%61.8K0.00%61.8K0.00%61.8K0.00%61.8K0.00%61.8K0.00%61.8K0.00%61.8K
-common stock 0.00%61.7K0.00%61.7K0.00%61.7K0.00%61.7K0.00%61.7K0.00%61.7K0.00%61.7K0.00%61.7K0.00%61.7K0.00%61.7K
-Preferred stock 0.00%1000.00%1000.00%1000.00%1000.00%1000.00%1000.00%1000.00%1000.00%1000.00%100
Retained earnings -0.78%-31.16M-0.22%-30.63M0.73%-31.3M-1.05%-31.11M-1.05%-31.11M-15.12%-30.92M-15.01%-30.57M-17.54%-31.53M-17.21%-30.78M-17.21%-30.78M
Paid-in capital 0.00%24.99M0.00%24.99M0.00%24.99M0.00%24.99M0.00%24.99M0.00%24.99M0.00%24.99M0.00%24.99M0.00%24.99M0.00%24.99M
Gains losses not affecting retained earnings 8.57%-1.06M19.46%-985.64K0.58%-995.06K-8.96%-1.09M-8.96%-1.09M-1.09%-1.16M-8.49%-1.22M9.08%-1M10.07%-998.83K10.07%-998.83K
Other equity interest 0.03%175.44K0.08%175.44K0.11%175.44K0.15%175.44K0.15%175.44K0.16%175.39K0.17%175.29K0.21%175.25K0.26%175.18K0.26%175.18K
Total stockholders'equity -2.06%-7M2.59%-6.4M3.21%-7.07M-6.29%-6.97M-6.29%-6.97M-146.36%-6.86M-164.64%-6.57M-170.47%-7.31M-204.81%-6.56M-204.81%-6.56M
Total equity -2.06%-7M2.59%-6.4M3.21%-7.07M-6.29%-6.97M-6.29%-6.97M-146.36%-6.86M-164.64%-6.57M-170.47%-7.31M-204.81%-6.56M-204.81%-6.56M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--

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