US Stock MarketDetailed Quotes

CSGS CSG International

Watchlist
  • 54.810
  • +0.220+0.40%
Close Nov 29 13:00 ET
  • 54.810
  • 0.0000.00%
Post 13:02 ET
1.59BMarket Cap24.04P/E (TTM)

CSG International 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
-19.28%118.44M
-24.47%110.44M
-27.95%120.81M
23.82%186.26M
23.82%186.26M
-0.36%146.73M
8.28%146.21M
-10.61%167.68M
-35.62%150.44M
-35.62%150.44M
-Cash and cash equivalents
-19.28%118.44M
-24.47%110.44M
-27.95%120.81M
23.87%186.26M
23.87%186.26M
0.03%146.73M
9.30%146.21M
-7.59%167.68M
-26.88%150.37M
-26.88%150.37M
-Short-term investments
----
----
----
--0
--0
--0
--0
--0
-99.75%71K
-99.75%71K
Receivables
4.22%376.51M
6.56%360.81M
9.30%362.07M
6.98%351.19M
6.98%351.19M
15.40%361.27M
11.90%338.59M
14.48%331.27M
14.57%328.29M
14.57%328.29M
-Accounts receivable
1.73%279.93M
3.86%266.21M
7.66%275.36M
-2.37%267.68M
-2.37%267.68M
15.21%275.16M
8.34%256.31M
7.30%255.77M
12.23%274.19M
12.23%274.19M
-Taxes receivable
461.48%13.99M
165.99%10.03M
5.72%2.36M
5.91%1.35M
5.91%1.35M
-89.20%2.49M
-80.73%3.77M
-74.05%2.24M
-80.20%1.27M
-80.20%1.27M
-Other receivables
-1.23%82.59M
7.72%84.57M
15.13%84.35M
55.52%82.16M
55.52%82.16M
63.50%83.61M
69.08%78.51M
72.87%73.26M
47.56%52.83M
47.56%52.83M
Other current assets
15.95%292.29M
19.61%287.79M
7.88%250.92M
13.07%324.77M
13.07%324.77M
8.92%252.07M
-11.10%240.61M
10.85%232.59M
25.98%287.23M
25.98%287.23M
Total current assets
3.58%787.24M
4.64%759.04M
0.31%733.8M
12.57%862.23M
12.57%862.23M
9.88%760.07M
2.42%725.42M
6.52%731.54M
2.37%765.96M
2.37%765.96M
Non current assets
Net PPE
-19.99%84.2M
-19.68%87.77M
-16.93%92.31M
-17.82%99.83M
-17.82%99.83M
-15.75%105.23M
-18.64%109.27M
-22.11%111.12M
-23.90%121.47M
-23.90%121.47M
-Gross PPE
-1.26%220.84M
-1.40%219.34M
-0.10%218.74M
-2.33%221.64M
-2.33%221.64M
-5.59%223.65M
-11.46%222.46M
-14.82%218.95M
-16.21%226.94M
-16.21%226.94M
-Accumulated depreciation
-15.38%-136.64M
-16.23%-131.57M
-17.25%-126.44M
-15.50%-121.82M
-15.50%-121.82M
-5.74%-118.42M
3.21%-113.2M
5.73%-107.84M
5.19%-105.47M
5.19%-105.47M
Goodwill and other intangible assets
9.41%449.68M
5.32%442.48M
-3.63%408M
-3.24%413.12M
-3.24%413.12M
-2.06%411.01M
-1.51%420.13M
-5.87%423.37M
-6.14%426.96M
-6.14%426.96M
-Goodwill
6.75%323.45M
3.42%317.13M
0.48%306.58M
1.50%308.6M
1.50%308.6M
2.64%303M
1.80%306.64M
-4.37%305.1M
-5.38%304.04M
-5.38%304.04M
-Other intangible assets
16.87%126.23M
10.45%125.35M
-14.24%101.42M
-14.97%104.52M
-14.97%104.52M
-13.21%108.01M
-9.46%113.49M
-9.54%118.26M
-7.98%122.93M
-7.98%122.93M
Non current deferred assets
24.98%57.83M
78.95%54.93M
123.44%49.55M
120.77%57.86M
120.77%57.86M
235.52%46.27M
272.05%30.7M
153.31%22.18M
205.29%26.21M
205.29%26.21M
Other non current assets
20.87%8.5M
19.91%9.06M
19.02%9.29M
25.90%10.02M
25.90%10.02M
-22.63%7.03M
-43.14%7.56M
-49.23%7.81M
-49.77%7.96M
-49.77%7.96M
Total non current assets
5.39%600.21M
4.68%594.25M
-0.94%559.15M
-0.31%580.82M
-0.31%580.82M
0.37%569.54M
-2.54%567.65M
-8.45%564.47M
-8.82%582.6M
-8.82%582.6M
Total assets
4.35%1.39B
4.66%1.35B
-0.24%1.29B
7.01%1.44B
7.01%1.44B
5.60%1.33B
0.19%1.29B
-0.56%1.3B
-2.78%1.35B
-2.78%1.35B
Liabilities
Current liabilities
Payables
17.87%52.84M
39.12%53.51M
3.58%45.65M
-5.01%50.51M
-5.01%50.51M
3.55%44.83M
10.41%38.46M
22.46%44.08M
48.55%53.18M
48.55%53.18M
-accounts payable
21.78%51.91M
39.25%52.86M
21.17%43.77M
-2.75%46.41M
-2.75%46.41M
30.40%42.62M
11.06%37.96M
2.64%36.12M
34.81%47.72M
34.81%47.72M
-Total tax payable
-57.62%937K
29.00%645K
-76.29%1.89M
-24.77%4.1M
-24.77%4.1M
-79.17%2.21M
-23.43%500K
894.50%7.96M
1,270.60%5.46M
1,270.60%5.46M
Current debt and capital lease obligation
-45.45%21.5M
-42.90%22.34M
-59.63%22.9M
-59.93%23.45M
-59.93%23.45M
-46.90%39.42M
-85.72%39.12M
-79.40%56.72M
-77.56%58.51M
-77.56%58.51M
-Current debt
-66.67%7.5M
-66.67%7.5M
-80.00%7.5M
-80.00%7.5M
-80.00%7.5M
-57.14%22.5M
-91.09%22.5M
-85.15%37.5M
-84.21%37.5M
-84.21%37.5M
-Current capital lease obligation
-17.22%14M
-10.73%14.84M
-19.88%15.4M
-24.11%15.95M
-24.11%15.95M
-22.14%16.92M
-22.27%16.62M
-15.82%19.22M
-9.70%21.01M
-9.70%21.01M
Current deferred liabilities
6.36%100.51M
3.32%92.14M
4.65%93.37M
10.09%95.23M
10.09%95.23M
13.17%94.5M
4.38%89.18M
-3.35%89.22M
-11.09%86.51M
-11.09%86.51M
Other current liabilities
22.19%266.95M
28.35%258.69M
6.62%215.24M
17.86%307.27M
17.86%307.27M
13.30%218.47M
-14.89%201.55M
11.09%201.88M
24.07%260.7M
24.07%260.7M
Current liabilities
8.23%499.51M
10.52%476.44M
-4.66%421.17M
6.38%560.84M
6.38%560.84M
3.63%461.53M
-36.92%431.1M
-31.71%441.74M
-24.15%527.21M
-24.15%527.21M
Non current liabilities
Long term debt and capital lease obligation
-2.99%556.41M
27.24%560.7M
25.89%565.09M
32.82%569.36M
32.82%569.36M
31.72%573.57M
128.30%440.65M
124.12%448.88M
106.80%428.68M
106.80%428.68M
-Long term debt
-0.75%531.99M
32.55%532.98M
32.25%533.99M
42.49%535M
42.49%535M
42.12%536M
200.42%402.09M
197.92%403.78M
173.63%375.47M
173.63%375.47M
-Long term capital lease obligation
-34.99%24.43M
-28.11%27.72M
-31.04%31.1M
-35.42%34.36M
-35.42%34.36M
-35.53%37.57M
-34.83%38.56M
-30.35%45.1M
-24.06%53.21M
-24.06%53.21M
Non current deferred liabilities
10.17%23.09M
7.52%22.5M
7.45%23.51M
6.61%23.57M
6.61%23.57M
11.18%20.96M
6.87%20.92M
-8.41%21.88M
-19.17%22.11M
-19.17%22.11M
Other non current liabilities
76.82%17.34M
26.69%17.07M
-8.90%10.74M
8.53%12.92M
8.53%12.92M
-16.22%9.81M
-1.01%13.48M
-15.63%11.79M
-9.20%11.9M
-9.20%11.9M
Total non current liabilities
-1.33%599.53M
26.09%603.52M
23.95%602.45M
30.64%608.88M
30.64%608.88M
29.42%607.58M
107.91%478.66M
100.61%486.05M
85.10%466.1M
85.10%466.1M
Total liabilities
2.80%1.1B
18.71%1.08B
10.33%1.02B
17.76%1.17B
17.76%1.17B
16.86%1.07B
-0.43%909.76M
4.34%927.79M
4.90%993.3M
4.90%993.3M
Shareholders'equity
Share capital
0.56%717K
0.56%717K
0.70%717K
0.71%713K
0.71%713K
0.71%713K
0.56%713K
0.42%712K
0.43%708K
0.43%708K
-common stock
0.56%717K
0.56%717K
0.70%717K
0.71%713K
0.71%713K
0.71%713K
0.56%713K
0.42%712K
0.43%708K
0.43%708K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
3.19%994.08M
3.18%983.79M
3.21%978.74M
3.41%968.13M
3.41%968.13M
4.22%963.38M
3.61%953.42M
2.70%948.35M
2.20%936.22M
2.20%936.22M
Paid-in capital
5.43%509.29M
-0.30%500M
-0.44%491.01M
-0.86%490.95M
-0.86%490.95M
-1.07%483.06M
4.64%501.49M
4.47%493.18M
1.41%495.19M
1.41%495.19M
Less: Treasury stock
3.93%1.17B
13.51%1.16B
12.54%1.15B
11.59%1.14B
11.59%1.14B
13.09%1.13B
5.21%1.02B
7.60%1.02B
9.45%1.02B
9.45%1.02B
Gains losses not affecting retained earnings
25.03%-45.56M
-2.49%-55.63M
1.07%-55.39M
14.31%-50.41M
14.31%-50.41M
17.26%-60.77M
2.26%-54.28M
-41.60%-55.99M
-53.39%-58.83M
-53.39%-58.83M
Total stockholders'equity
10.72%288.41M
-28.69%273.33M
-26.85%269.34M
-23.06%273.33M
-23.06%273.33M
-24.34%260.49M
1.67%383.31M
-10.31%368.22M
-18.63%355.25M
-18.63%355.25M
Noncontrolling interests
----
----
----
--0
--0
----
----
----
--0
--0
Total equity
10.72%288.41M
-28.69%273.33M
-26.85%269.34M
-23.06%273.33M
-23.06%273.33M
-24.34%260.49M
1.67%383.31M
-11.09%368.22M
-19.31%355.25M
-19.31%355.25M
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
--
--
--
--
--
--
(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 -19.28%118.44M-24.47%110.44M-27.95%120.81M23.82%186.26M23.82%186.26M-0.36%146.73M8.28%146.21M-10.61%167.68M-35.62%150.44M-35.62%150.44M
-Cash and cash equivalents -19.28%118.44M-24.47%110.44M-27.95%120.81M23.87%186.26M23.87%186.26M0.03%146.73M9.30%146.21M-7.59%167.68M-26.88%150.37M-26.88%150.37M
-Short-term investments --------------0--0--0--0--0-99.75%71K-99.75%71K
Receivables 4.22%376.51M6.56%360.81M9.30%362.07M6.98%351.19M6.98%351.19M15.40%361.27M11.90%338.59M14.48%331.27M14.57%328.29M14.57%328.29M
-Accounts receivable 1.73%279.93M3.86%266.21M7.66%275.36M-2.37%267.68M-2.37%267.68M15.21%275.16M8.34%256.31M7.30%255.77M12.23%274.19M12.23%274.19M
-Taxes receivable 461.48%13.99M165.99%10.03M5.72%2.36M5.91%1.35M5.91%1.35M-89.20%2.49M-80.73%3.77M-74.05%2.24M-80.20%1.27M-80.20%1.27M
-Other receivables -1.23%82.59M7.72%84.57M15.13%84.35M55.52%82.16M55.52%82.16M63.50%83.61M69.08%78.51M72.87%73.26M47.56%52.83M47.56%52.83M
Other current assets 15.95%292.29M19.61%287.79M7.88%250.92M13.07%324.77M13.07%324.77M8.92%252.07M-11.10%240.61M10.85%232.59M25.98%287.23M25.98%287.23M
Total current assets 3.58%787.24M4.64%759.04M0.31%733.8M12.57%862.23M12.57%862.23M9.88%760.07M2.42%725.42M6.52%731.54M2.37%765.96M2.37%765.96M
Non current assets
Net PPE -19.99%84.2M-19.68%87.77M-16.93%92.31M-17.82%99.83M-17.82%99.83M-15.75%105.23M-18.64%109.27M-22.11%111.12M-23.90%121.47M-23.90%121.47M
-Gross PPE -1.26%220.84M-1.40%219.34M-0.10%218.74M-2.33%221.64M-2.33%221.64M-5.59%223.65M-11.46%222.46M-14.82%218.95M-16.21%226.94M-16.21%226.94M
-Accumulated depreciation -15.38%-136.64M-16.23%-131.57M-17.25%-126.44M-15.50%-121.82M-15.50%-121.82M-5.74%-118.42M3.21%-113.2M5.73%-107.84M5.19%-105.47M5.19%-105.47M
Goodwill and other intangible assets 9.41%449.68M5.32%442.48M-3.63%408M-3.24%413.12M-3.24%413.12M-2.06%411.01M-1.51%420.13M-5.87%423.37M-6.14%426.96M-6.14%426.96M
-Goodwill 6.75%323.45M3.42%317.13M0.48%306.58M1.50%308.6M1.50%308.6M2.64%303M1.80%306.64M-4.37%305.1M-5.38%304.04M-5.38%304.04M
-Other intangible assets 16.87%126.23M10.45%125.35M-14.24%101.42M-14.97%104.52M-14.97%104.52M-13.21%108.01M-9.46%113.49M-9.54%118.26M-7.98%122.93M-7.98%122.93M
Non current deferred assets 24.98%57.83M78.95%54.93M123.44%49.55M120.77%57.86M120.77%57.86M235.52%46.27M272.05%30.7M153.31%22.18M205.29%26.21M205.29%26.21M
Other non current assets 20.87%8.5M19.91%9.06M19.02%9.29M25.90%10.02M25.90%10.02M-22.63%7.03M-43.14%7.56M-49.23%7.81M-49.77%7.96M-49.77%7.96M
Total non current assets 5.39%600.21M4.68%594.25M-0.94%559.15M-0.31%580.82M-0.31%580.82M0.37%569.54M-2.54%567.65M-8.45%564.47M-8.82%582.6M-8.82%582.6M
Total assets 4.35%1.39B4.66%1.35B-0.24%1.29B7.01%1.44B7.01%1.44B5.60%1.33B0.19%1.29B-0.56%1.3B-2.78%1.35B-2.78%1.35B
Liabilities
Current liabilities
Payables 17.87%52.84M39.12%53.51M3.58%45.65M-5.01%50.51M-5.01%50.51M3.55%44.83M10.41%38.46M22.46%44.08M48.55%53.18M48.55%53.18M
-accounts payable 21.78%51.91M39.25%52.86M21.17%43.77M-2.75%46.41M-2.75%46.41M30.40%42.62M11.06%37.96M2.64%36.12M34.81%47.72M34.81%47.72M
-Total tax payable -57.62%937K29.00%645K-76.29%1.89M-24.77%4.1M-24.77%4.1M-79.17%2.21M-23.43%500K894.50%7.96M1,270.60%5.46M1,270.60%5.46M
Current debt and capital lease obligation -45.45%21.5M-42.90%22.34M-59.63%22.9M-59.93%23.45M-59.93%23.45M-46.90%39.42M-85.72%39.12M-79.40%56.72M-77.56%58.51M-77.56%58.51M
-Current debt -66.67%7.5M-66.67%7.5M-80.00%7.5M-80.00%7.5M-80.00%7.5M-57.14%22.5M-91.09%22.5M-85.15%37.5M-84.21%37.5M-84.21%37.5M
-Current capital lease obligation -17.22%14M-10.73%14.84M-19.88%15.4M-24.11%15.95M-24.11%15.95M-22.14%16.92M-22.27%16.62M-15.82%19.22M-9.70%21.01M-9.70%21.01M
Current deferred liabilities 6.36%100.51M3.32%92.14M4.65%93.37M10.09%95.23M10.09%95.23M13.17%94.5M4.38%89.18M-3.35%89.22M-11.09%86.51M-11.09%86.51M
Other current liabilities 22.19%266.95M28.35%258.69M6.62%215.24M17.86%307.27M17.86%307.27M13.30%218.47M-14.89%201.55M11.09%201.88M24.07%260.7M24.07%260.7M
Current liabilities 8.23%499.51M10.52%476.44M-4.66%421.17M6.38%560.84M6.38%560.84M3.63%461.53M-36.92%431.1M-31.71%441.74M-24.15%527.21M-24.15%527.21M
Non current liabilities
Long term debt and capital lease obligation -2.99%556.41M27.24%560.7M25.89%565.09M32.82%569.36M32.82%569.36M31.72%573.57M128.30%440.65M124.12%448.88M106.80%428.68M106.80%428.68M
-Long term debt -0.75%531.99M32.55%532.98M32.25%533.99M42.49%535M42.49%535M42.12%536M200.42%402.09M197.92%403.78M173.63%375.47M173.63%375.47M
-Long term capital lease obligation -34.99%24.43M-28.11%27.72M-31.04%31.1M-35.42%34.36M-35.42%34.36M-35.53%37.57M-34.83%38.56M-30.35%45.1M-24.06%53.21M-24.06%53.21M
Non current deferred liabilities 10.17%23.09M7.52%22.5M7.45%23.51M6.61%23.57M6.61%23.57M11.18%20.96M6.87%20.92M-8.41%21.88M-19.17%22.11M-19.17%22.11M
Other non current liabilities 76.82%17.34M26.69%17.07M-8.90%10.74M8.53%12.92M8.53%12.92M-16.22%9.81M-1.01%13.48M-15.63%11.79M-9.20%11.9M-9.20%11.9M
Total non current liabilities -1.33%599.53M26.09%603.52M23.95%602.45M30.64%608.88M30.64%608.88M29.42%607.58M107.91%478.66M100.61%486.05M85.10%466.1M85.10%466.1M
Total liabilities 2.80%1.1B18.71%1.08B10.33%1.02B17.76%1.17B17.76%1.17B16.86%1.07B-0.43%909.76M4.34%927.79M4.90%993.3M4.90%993.3M
Shareholders'equity
Share capital 0.56%717K0.56%717K0.70%717K0.71%713K0.71%713K0.71%713K0.56%713K0.42%712K0.43%708K0.43%708K
-common stock 0.56%717K0.56%717K0.70%717K0.71%713K0.71%713K0.71%713K0.56%713K0.42%712K0.43%708K0.43%708K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 3.19%994.08M3.18%983.79M3.21%978.74M3.41%968.13M3.41%968.13M4.22%963.38M3.61%953.42M2.70%948.35M2.20%936.22M2.20%936.22M
Paid-in capital 5.43%509.29M-0.30%500M-0.44%491.01M-0.86%490.95M-0.86%490.95M-1.07%483.06M4.64%501.49M4.47%493.18M1.41%495.19M1.41%495.19M
Less: Treasury stock 3.93%1.17B13.51%1.16B12.54%1.15B11.59%1.14B11.59%1.14B13.09%1.13B5.21%1.02B7.60%1.02B9.45%1.02B9.45%1.02B
Gains losses not affecting retained earnings 25.03%-45.56M-2.49%-55.63M1.07%-55.39M14.31%-50.41M14.31%-50.41M17.26%-60.77M2.26%-54.28M-41.60%-55.99M-53.39%-58.83M-53.39%-58.83M
Total stockholders'equity 10.72%288.41M-28.69%273.33M-26.85%269.34M-23.06%273.33M-23.06%273.33M-24.34%260.49M1.67%383.31M-10.31%368.22M-18.63%355.25M-18.63%355.25M
Noncontrolling interests --------------0--0--------------0--0
Total equity 10.72%288.41M-28.69%273.33M-26.85%269.34M-23.06%273.33M-23.06%273.33M-24.34%260.49M1.67%383.31M-11.09%368.22M-19.31%355.25M-19.31%355.25M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------

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