US Stock MarketDetailed Quotes

CRYM CRYOMASS TECHNOLOGIES INC

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  • 0.022
  • -0.001-5.70%
15min DelayClose Sep 20 16:00 ET
5.06MMarket Cap-537P/E (TTM)

CRYOMASS TECHNOLOGIES INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
57.43%497.9K
-96.40%23.92K
-97.56%49.22K
-97.56%49.22K
-99.70%9.49K
-85.55%316.27K
-81.53%663.98K
-65.08%2.02M
-65.08%2.02M
1,217.50%3.13M
-Cash and cash equivalents
57.43%497.9K
-96.40%23.92K
-97.56%49.22K
-97.56%49.22K
-99.70%9.49K
-85.55%316.27K
-81.53%663.98K
-65.08%2.02M
-65.08%2.02M
1,217.50%3.13M
Receivables
--6.19K
--8.85K
--8.55K
--8.55K
----
----
----
--0
--0
----
-Accounts receivable
--6.19K
--8.85K
--8.55K
--8.55K
----
----
----
--0
--0
----
Prepaid assets
-79.26%29.11K
-18.83%75.3K
-26.35%94.75K
-26.35%94.75K
39.67%190.85K
109.98%140.35K
26.78%92.77K
-83.01%128.65K
-83.01%128.65K
16.18%136.64K
Current deferred assets
----
----
--0
--0
--21.79K
--21.79K
--21.79K
--21.79K
--21.79K
----
Total current assets
11.45%533.2K
-86.12%108.08K
-92.96%152.52K
-92.96%152.52K
-93.20%222.12K
-78.78%478.41K
-78.77%778.54K
-66.82%2.17M
-66.82%2.17M
-61.53%3.27M
Non current assets
Net PPE
-6.98%696.92K
-3.70%710K
37.50%723.07K
37.50%723.07K
110.58%736.15K
114.32%749.23K
215.57%737.3K
133.71%525.86K
133.71%525.86K
158.95%349.59K
-Gross PPE
0.00%777.83K
3.32%777.83K
46.41%777.83K
46.41%777.83K
122.50%777.83K
122.50%777.83K
222.22%752.83K
136.11%531.26K
136.11%531.26K
158.95%349.59K
-Accumulated depreciation
-182.85%-80.91K
-336.78%-67.84K
-914.09%-54.76K
-914.09%-54.76K
---41.68K
---28.61K
---15.53K
---5.4K
---5.4K
----
Goodwill and other intangible assets
-52.17%62.71K
-98.43%79.81K
-98.13%96.91K
-98.13%96.91K
-97.81%114.02K
-97.48%131.12K
-2.63%5.07M
-1.11%5.17M
-1.11%5.17M
-0.65%5.22M
-Goodwill
----
----
--0
--0
--0
--0
0.00%1.19M
0.00%1.19M
0.00%1.19M
0.00%1.19M
-Other intangible assets
-52.17%62.71K
-97.94%79.81K
-97.57%96.91K
-97.57%96.91K
-97.17%114.02K
-96.73%131.12K
-3.41%3.88M
-1.44%3.98M
-1.44%3.98M
-0.84%4.03M
Long-term notes receivables
----
----
----
----
----
----
----
----
----
--4.22M
Total non current assets
-13.71%759.63K
-86.40%789.81K
-85.61%819.98K
-85.61%819.98K
-91.31%850.16K
-90.99%880.34K
-39.88%5.81M
-37.08%5.7M
-37.08%5.7M
81.69%9.78M
Total assets
-4.85%1.29M
-86.37%897.88K
-87.63%972.51K
-87.63%972.51K
-91.78%1.07M
-88.70%1.36M
-50.58%6.59M
-49.54%7.86M
-49.54%7.86M
-5.95%13.05M
Liabilities
Current liabilities
Current debt and capital lease obligation
1,085.63%2.64M
--245.6K
--237.5K
--237.5K
--229.82K
--222.63K
----
----
----
----
-Current debt
1,085.63%2.64M
--245.6K
--237.5K
--237.5K
--229.82K
--222.63K
----
----
----
----
Current deferred liabilities
--561.25K
--321.25K
--20K
--20K
--20K
----
----
--0
--0
----
Current liabilities
260.04%6.53M
140.24%3.44M
93.56%2.49M
93.56%2.49M
60.30%1.98M
66.53%1.81M
4.86%1.43M
-31.55%1.29M
-31.55%1.29M
-77.73%1.24M
Non current liabilities
Long term debt and capital lease obligation
-75.42%565.24K
58.07%3.16M
53.39%3.07M
53.39%3.07M
21.52%2.43M
859.87%2.3M
860.00%2M
1,029.41%2M
1,029.41%2M
-59.86%2M
-Long term debt
-75.42%565.24K
58.07%3.16M
53.39%3.07M
53.39%3.07M
21.52%2.43M
859.87%2.3M
860.00%2M
1,029.41%2M
1,029.41%2M
-59.86%2M
Non current deferred liabilities
--65K
--70K
--75K
--75K
--80K
----
----
--0
--0
----
Other non current liabilities
--2.59M
--2.55M
--1.19M
--1.19M
----
----
----
----
----
----
Total non current liabilities
40.03%3.22M
188.87%5.78M
116.39%4.33M
116.39%4.33M
25.52%2.51M
859.87%2.3M
860.00%2M
1,029.41%2M
1,029.41%2M
-59.98%2M
Total liabilities
137.04%9.75M
168.59%9.22M
107.44%6.82M
107.44%6.82M
38.80%4.49M
209.59%4.11M
118.10%3.43M
59.67%3.29M
59.67%3.29M
-69.32%3.24M
Shareholders'equity
Share capital
14.34%235.29K
3.06%211.04K
3.64%210.03K
3.64%210.03K
3.71%210.03K
2.35%205.77K
2.83%204.78K
2.90%202.65K
2.90%202.65K
68.69%202.53K
-common stock
14.34%235.29K
3.06%211.04K
3.64%210.03K
3.64%210.03K
3.71%210.03K
2.35%205.77K
2.83%204.78K
2.90%202.65K
2.90%202.65K
68.69%202.53K
-Preferred stock
--0
--0
----
----
--0
--0
--0
----
----
--0
Retained earnings
-19.52%-56.14M
-34.26%-54.52M
-33.21%-51.97M
-33.21%-51.97M
-44.99%-48.43M
-46.00%-46.97M
-32.10%-40.61M
-36.46%-39.01M
-36.46%-39.01M
-56.00%-33.4M
Paid-in capital
7.81%47.45M
5.59%45.99M
6.36%45.91M
6.36%45.91M
4.15%44.8M
3.34%44.01M
3.19%43.56M
2.98%43.16M
2.98%43.16M
74.69%43.01M
Other equity interest
----
----
----
----
----
----
----
--219.77K
--219.77K
----
Total stockholders'equity
-207.03%-8.46M
-363.68%-8.32M
-227.87%-5.85M
-227.87%-5.85M
-134.82%-3.42M
-125.75%-2.75M
-73.16%3.15M
-66.18%4.57M
-66.18%4.57M
194.63%9.82M
Total equity
-207.03%-8.46M
-363.68%-8.32M
-227.87%-5.85M
-227.87%-5.85M
-134.82%-3.42M
-125.75%-2.75M
-73.16%3.15M
-66.18%4.57M
-66.18%4.57M
194.63%9.82M
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, 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(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 57.43%497.9K-96.40%23.92K-97.56%49.22K-97.56%49.22K-99.70%9.49K-85.55%316.27K-81.53%663.98K-65.08%2.02M-65.08%2.02M1,217.50%3.13M
-Cash and cash equivalents 57.43%497.9K-96.40%23.92K-97.56%49.22K-97.56%49.22K-99.70%9.49K-85.55%316.27K-81.53%663.98K-65.08%2.02M-65.08%2.02M1,217.50%3.13M
Receivables --6.19K--8.85K--8.55K--8.55K--------------0--0----
-Accounts receivable --6.19K--8.85K--8.55K--8.55K--------------0--0----
Prepaid assets -79.26%29.11K-18.83%75.3K-26.35%94.75K-26.35%94.75K39.67%190.85K109.98%140.35K26.78%92.77K-83.01%128.65K-83.01%128.65K16.18%136.64K
Current deferred assets ----------0--0--21.79K--21.79K--21.79K--21.79K--21.79K----
Total current assets 11.45%533.2K-86.12%108.08K-92.96%152.52K-92.96%152.52K-93.20%222.12K-78.78%478.41K-78.77%778.54K-66.82%2.17M-66.82%2.17M-61.53%3.27M
Non current assets
Net PPE -6.98%696.92K-3.70%710K37.50%723.07K37.50%723.07K110.58%736.15K114.32%749.23K215.57%737.3K133.71%525.86K133.71%525.86K158.95%349.59K
-Gross PPE 0.00%777.83K3.32%777.83K46.41%777.83K46.41%777.83K122.50%777.83K122.50%777.83K222.22%752.83K136.11%531.26K136.11%531.26K158.95%349.59K
-Accumulated depreciation -182.85%-80.91K-336.78%-67.84K-914.09%-54.76K-914.09%-54.76K---41.68K---28.61K---15.53K---5.4K---5.4K----
Goodwill and other intangible assets -52.17%62.71K-98.43%79.81K-98.13%96.91K-98.13%96.91K-97.81%114.02K-97.48%131.12K-2.63%5.07M-1.11%5.17M-1.11%5.17M-0.65%5.22M
-Goodwill ----------0--0--0--00.00%1.19M0.00%1.19M0.00%1.19M0.00%1.19M
-Other intangible assets -52.17%62.71K-97.94%79.81K-97.57%96.91K-97.57%96.91K-97.17%114.02K-96.73%131.12K-3.41%3.88M-1.44%3.98M-1.44%3.98M-0.84%4.03M
Long-term notes receivables --------------------------------------4.22M
Total non current assets -13.71%759.63K-86.40%789.81K-85.61%819.98K-85.61%819.98K-91.31%850.16K-90.99%880.34K-39.88%5.81M-37.08%5.7M-37.08%5.7M81.69%9.78M
Total assets -4.85%1.29M-86.37%897.88K-87.63%972.51K-87.63%972.51K-91.78%1.07M-88.70%1.36M-50.58%6.59M-49.54%7.86M-49.54%7.86M-5.95%13.05M
Liabilities
Current liabilities
Current debt and capital lease obligation 1,085.63%2.64M--245.6K--237.5K--237.5K--229.82K--222.63K----------------
-Current debt 1,085.63%2.64M--245.6K--237.5K--237.5K--229.82K--222.63K----------------
Current deferred liabilities --561.25K--321.25K--20K--20K--20K----------0--0----
Current liabilities 260.04%6.53M140.24%3.44M93.56%2.49M93.56%2.49M60.30%1.98M66.53%1.81M4.86%1.43M-31.55%1.29M-31.55%1.29M-77.73%1.24M
Non current liabilities
Long term debt and capital lease obligation -75.42%565.24K58.07%3.16M53.39%3.07M53.39%3.07M21.52%2.43M859.87%2.3M860.00%2M1,029.41%2M1,029.41%2M-59.86%2M
-Long term debt -75.42%565.24K58.07%3.16M53.39%3.07M53.39%3.07M21.52%2.43M859.87%2.3M860.00%2M1,029.41%2M1,029.41%2M-59.86%2M
Non current deferred liabilities --65K--70K--75K--75K--80K----------0--0----
Other non current liabilities --2.59M--2.55M--1.19M--1.19M------------------------
Total non current liabilities 40.03%3.22M188.87%5.78M116.39%4.33M116.39%4.33M25.52%2.51M859.87%2.3M860.00%2M1,029.41%2M1,029.41%2M-59.98%2M
Total liabilities 137.04%9.75M168.59%9.22M107.44%6.82M107.44%6.82M38.80%4.49M209.59%4.11M118.10%3.43M59.67%3.29M59.67%3.29M-69.32%3.24M
Shareholders'equity
Share capital 14.34%235.29K3.06%211.04K3.64%210.03K3.64%210.03K3.71%210.03K2.35%205.77K2.83%204.78K2.90%202.65K2.90%202.65K68.69%202.53K
-common stock 14.34%235.29K3.06%211.04K3.64%210.03K3.64%210.03K3.71%210.03K2.35%205.77K2.83%204.78K2.90%202.65K2.90%202.65K68.69%202.53K
-Preferred stock --0--0----------0--0--0----------0
Retained earnings -19.52%-56.14M-34.26%-54.52M-33.21%-51.97M-33.21%-51.97M-44.99%-48.43M-46.00%-46.97M-32.10%-40.61M-36.46%-39.01M-36.46%-39.01M-56.00%-33.4M
Paid-in capital 7.81%47.45M5.59%45.99M6.36%45.91M6.36%45.91M4.15%44.8M3.34%44.01M3.19%43.56M2.98%43.16M2.98%43.16M74.69%43.01M
Other equity interest ------------------------------219.77K--219.77K----
Total stockholders'equity -207.03%-8.46M-363.68%-8.32M-227.87%-5.85M-227.87%-5.85M-134.82%-3.42M-125.75%-2.75M-73.16%3.15M-66.18%4.57M-66.18%4.57M194.63%9.82M
Total equity -207.03%-8.46M-363.68%-8.32M-227.87%-5.85M-227.87%-5.85M-134.82%-3.42M-125.75%-2.75M-73.16%3.15M-66.18%4.57M-66.18%4.57M194.63%9.82M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

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Price Target

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