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CBMJ CONSERVATIVE BRODAST MEDIA & JOU IN

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  • 0.129
  • 0.0000.00%
15min DelayTrading Dec 24 13:00 ET
6.37MMarket Cap-0.22P/E (TTM)

CONSERVATIVE BRODAST MEDIA & JOU IN Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2011
(Q1)Mar 31, 2011
(FY)Dec 31, 2010
(Q4)Dec 31, 2010
(Q3)Sep 30, 2010
(Q2)Jun 30, 2010
(Q1)Mar 31, 2010
(FY)Dec 31, 2009
(Q4)Dec 31, 2009
(Q3)Sep 30, 2009
Assets
Current assets
Cash, cash equivalents and short term investments
2,958.78%25.08K
-98.32%109
-99.90%18
-99.90%18
-97.94%112
--820
--6.47K
-96.21%17.32K
-96.21%17.32K
--5.43K
-Cash and cash equivalents
2,958.78%25.08K
-98.32%109
-99.90%18
-99.90%18
-97.94%112
--820
--6.47K
-96.21%17.32K
-96.21%17.32K
--5.43K
Other current assets
-97.29%300
-98.36%300
-83.54%650
-83.54%650
-78.07%5.08K
--11.06K
--18.35K
-82.91%3.95K
-82.91%3.95K
--23.17K
Total current assets
113.64%25.38K
-98.35%409
-96.86%668
-96.86%668
-81.84%5.19K
--11.88K
--24.82K
-95.57%21.27K
-95.57%21.27K
--28.6K
Non current assets
Net PPE
-19.32%104.42K
-18.43%110.67K
-29.61%116.92K
-29.61%116.92K
-32.62%123.17K
--129.42K
--135.68K
-29.13%166.09K
-29.13%166.09K
--182.8K
-Gross PPE
0.00%188.06K
0.00%188.06K
-14.36%188.06K
-14.36%188.06K
-19.63%188.06K
--188.06K
--188.06K
-18.30%219.6K
-18.30%219.6K
--233.99K
-Accumulated depreciation
-42.64%-83.64K
-47.74%-77.39K
-32.95%-71.14K
-32.95%-71.14K
-26.76%-64.89K
---58.64K
---52.38K
-55.43%-53.51K
-55.43%-53.51K
---51.19K
Investments and advances
-26.92%168.31K
-40.22%170.78K
109.47%191.95K
109.47%191.95K
--217.92K
--230.33K
--285.7K
-18.43%91.64K
-18.43%91.64K
----
Other non current assets
----
----
----
----
----
----
----
----
----
--99.82K
Total non current assets
-24.19%272.73K
-33.21%281.45K
19.84%308.87K
19.84%308.87K
20.69%341.09K
--359.75K
--421.37K
-25.66%257.73K
-25.66%257.73K
--282.62K
Total assets
-19.78%298.11K
-36.83%281.86K
10.95%309.54K
10.95%309.54K
11.27%346.29K
--371.63K
--446.19K
-66.25%279K
-66.25%279K
--311.22K
Liabilities
Current liabilities
Payables
53.66%713.69K
39.56%567.17K
64.90%715.14K
64.90%715.14K
23.16%490.96K
--464.45K
--406.39K
237.01%433.68K
237.01%433.68K
--398.62K
-accounts payable
-36.21%277.52K
43.95%540.54K
28.24%476.15K
28.24%476.15K
15.39%459.97K
--435.07K
--375.51K
188.54%371.3K
188.54%371.3K
--398.62K
-Due to related parties current
--436.17K
----
----
----
----
----
----
----
----
----
-Other payable
----
-13.77%26.63K
283.12%238.99K
283.12%238.99K
--30.99K
--29.38K
--30.88K
--62.38K
--62.38K
----
Current accrued expenses
18.94%461.95K
37.53%427.92K
125.05%539.86K
125.05%539.86K
237.64%460.16K
--388.38K
--311.15K
370.75%239.89K
370.75%239.89K
--136.29K
Current debt and capital lease obligation
0.00%205K
294.23%205K
----
----
--209.96K
--205K
--52K
----
----
----
-Current debt
0.00%205K
294.23%205K
----
----
--209.96K
--205K
--52K
----
----
----
Other current liabilities
--2.36M
----
----
----
----
----
----
----
----
----
Current liabilities
253.36%3.74M
55.95%1.2M
86.32%1.26M
86.32%1.26M
117.06%1.16M
--1.06M
--769.54K
274.95%673.56K
274.95%673.56K
--534.91K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
253.36%3.74M
55.95%1.2M
86.32%1.26M
86.32%1.26M
117.06%1.16M
--1.06M
--769.54K
274.95%673.56K
274.95%673.56K
--534.91K
Shareholders'equity
Share capital
16.76%38.11K
11.07%35.86K
10.73%34.66K
10.73%34.66K
15.04%34.66K
--32.64K
--32.29K
19.47%31.3K
19.47%31.3K
--30.13K
-common stock
16.76%38.11K
11.07%35.86K
10.73%34.66K
10.73%34.66K
15.04%34.66K
--32.64K
--32.29K
19.47%31.3K
19.47%31.3K
--30.13K
-Preferred stock
--0
--0
--0
--0
----
--0
--0
--0
--0
--0
Retained earnings
-16.90%-8.67M
-34.56%-7.94M
-41.16%-7.82M
-41.16%-7.82M
-41.76%-7.55M
---7.42M
---5.9M
-49.06%-5.54M
-49.06%-5.54M
---5.33M
Paid-in capital
-22.47%5.19M
25.99%6.99M
33.75%6.84M
33.75%6.84M
32.11%6.7M
--6.7M
--5.54M
17.91%5.11M
17.91%5.11M
--5.07M
Total stockholders'equity
-401.28%-3.44M
-183.98%-918.23K
-139.62%-945.46K
-139.62%-945.46K
-264.25%-814.79K
---686.21K
---323.35K
-160.99%-394.57K
-160.99%-394.57K
---223.69K
Total equity
-401.28%-3.44M
-183.98%-918.23K
-139.62%-945.46K
-139.62%-945.46K
-264.25%-814.79K
---686.21K
---323.35K
-160.99%-394.57K
-160.99%-394.57K
---223.69K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(Q2)Jun 30, 2011(Q1)Mar 31, 2011(FY)Dec 31, 2010(Q4)Dec 31, 2010(Q3)Sep 30, 2010(Q2)Jun 30, 2010(Q1)Mar 31, 2010(FY)Dec 31, 2009(Q4)Dec 31, 2009(Q3)Sep 30, 2009
Assets
Current assets
Cash, cash equivalents and short term investments 2,958.78%25.08K-98.32%109-99.90%18-99.90%18-97.94%112--820--6.47K-96.21%17.32K-96.21%17.32K--5.43K
-Cash and cash equivalents 2,958.78%25.08K-98.32%109-99.90%18-99.90%18-97.94%112--820--6.47K-96.21%17.32K-96.21%17.32K--5.43K
Other current assets -97.29%300-98.36%300-83.54%650-83.54%650-78.07%5.08K--11.06K--18.35K-82.91%3.95K-82.91%3.95K--23.17K
Total current assets 113.64%25.38K-98.35%409-96.86%668-96.86%668-81.84%5.19K--11.88K--24.82K-95.57%21.27K-95.57%21.27K--28.6K
Non current assets
Net PPE -19.32%104.42K-18.43%110.67K-29.61%116.92K-29.61%116.92K-32.62%123.17K--129.42K--135.68K-29.13%166.09K-29.13%166.09K--182.8K
-Gross PPE 0.00%188.06K0.00%188.06K-14.36%188.06K-14.36%188.06K-19.63%188.06K--188.06K--188.06K-18.30%219.6K-18.30%219.6K--233.99K
-Accumulated depreciation -42.64%-83.64K-47.74%-77.39K-32.95%-71.14K-32.95%-71.14K-26.76%-64.89K---58.64K---52.38K-55.43%-53.51K-55.43%-53.51K---51.19K
Investments and advances -26.92%168.31K-40.22%170.78K109.47%191.95K109.47%191.95K--217.92K--230.33K--285.7K-18.43%91.64K-18.43%91.64K----
Other non current assets --------------------------------------99.82K
Total non current assets -24.19%272.73K-33.21%281.45K19.84%308.87K19.84%308.87K20.69%341.09K--359.75K--421.37K-25.66%257.73K-25.66%257.73K--282.62K
Total assets -19.78%298.11K-36.83%281.86K10.95%309.54K10.95%309.54K11.27%346.29K--371.63K--446.19K-66.25%279K-66.25%279K--311.22K
Liabilities
Current liabilities
Payables 53.66%713.69K39.56%567.17K64.90%715.14K64.90%715.14K23.16%490.96K--464.45K--406.39K237.01%433.68K237.01%433.68K--398.62K
-accounts payable -36.21%277.52K43.95%540.54K28.24%476.15K28.24%476.15K15.39%459.97K--435.07K--375.51K188.54%371.3K188.54%371.3K--398.62K
-Due to related parties current --436.17K------------------------------------
-Other payable -----13.77%26.63K283.12%238.99K283.12%238.99K--30.99K--29.38K--30.88K--62.38K--62.38K----
Current accrued expenses 18.94%461.95K37.53%427.92K125.05%539.86K125.05%539.86K237.64%460.16K--388.38K--311.15K370.75%239.89K370.75%239.89K--136.29K
Current debt and capital lease obligation 0.00%205K294.23%205K----------209.96K--205K--52K------------
-Current debt 0.00%205K294.23%205K----------209.96K--205K--52K------------
Other current liabilities --2.36M------------------------------------
Current liabilities 253.36%3.74M55.95%1.2M86.32%1.26M86.32%1.26M117.06%1.16M--1.06M--769.54K274.95%673.56K274.95%673.56K--534.91K
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities 253.36%3.74M55.95%1.2M86.32%1.26M86.32%1.26M117.06%1.16M--1.06M--769.54K274.95%673.56K274.95%673.56K--534.91K
Shareholders'equity
Share capital 16.76%38.11K11.07%35.86K10.73%34.66K10.73%34.66K15.04%34.66K--32.64K--32.29K19.47%31.3K19.47%31.3K--30.13K
-common stock 16.76%38.11K11.07%35.86K10.73%34.66K10.73%34.66K15.04%34.66K--32.64K--32.29K19.47%31.3K19.47%31.3K--30.13K
-Preferred stock --0--0--0--0------0--0--0--0--0
Retained earnings -16.90%-8.67M-34.56%-7.94M-41.16%-7.82M-41.16%-7.82M-41.76%-7.55M---7.42M---5.9M-49.06%-5.54M-49.06%-5.54M---5.33M
Paid-in capital -22.47%5.19M25.99%6.99M33.75%6.84M33.75%6.84M32.11%6.7M--6.7M--5.54M17.91%5.11M17.91%5.11M--5.07M
Total stockholders'equity -401.28%-3.44M-183.98%-918.23K-139.62%-945.46K-139.62%-945.46K-264.25%-814.79K---686.21K---323.35K-160.99%-394.57K-160.99%-394.57K---223.69K
Total equity -401.28%-3.44M-183.98%-918.23K-139.62%-945.46K-139.62%-945.46K-264.25%-814.79K---686.21K---323.35K-160.99%-394.57K-160.99%-394.57K---223.69K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----
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