CA Stock MarketDetailed Quotes

CTS Converge Technology Solutions Corp

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  • 4.445
  • +0.065+1.48%
15min DelayTrading Sep 11 14:53 ET
867.69MMarket Cap-5556P/E (TTM)

Converge Technology Solutions Corp 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
121.59%173.82M
13.69%158.06M
6.24%169.87M
6.24%169.87M
-38.91%105.22M
-57.41%78.44M
-35.83%139.03M
-35.58%159.89M
-35.58%159.89M
-18.12%172.23M
-Cash and cash equivalents
121.59%173.82M
13.69%158.06M
6.24%169.87M
6.24%169.87M
-38.91%105.22M
-57.41%78.44M
-35.83%139.03M
-35.58%159.89M
-35.58%159.89M
-18.12%172.23M
-Accounts receivable
12.93%882.39M
4.65%820.58M
-8.79%616.14M
-8.79%616.14M
26.01%803.67M
30.77%781.33M
67.36%784.1M
82.09%675.54M
82.09%675.54M
77.87%637.76M
Total current assets
12.07%1.17B
-1.72%1.09B
-3.89%1.08B
-3.89%1.08B
10.04%1.1B
13.32%1.05B
25.93%1.11B
44.52%1.13B
44.52%1.13B
48.01%999.62M
Non current assets
-Accumulated depreciation
----
----
-47.97%-58.73M
-47.97%-58.73M
----
----
----
0.57%-39.69M
0.57%-39.69M
----
-Long term equity investment
-25.67%319.54M
--272.52M
--378.01M
--378.01M
--412.64M
537,286.25%429.91M
----
----
----
----
-Goodwill
-30.85%678.12M
-7.86%934.24M
-8.53%939.95M
-8.53%939.95M
1.26%968.72M
26.09%980.69M
64.01%1.01B
84.53%1.03B
84.53%1.03B
69.44%956.69M
-Other intangible assets
----
----
----
----
----
----
----
-28.84%1.71M
-28.84%1.71M
-37.22%1.64M
Regulatory assets
12.93%882.39M
4.65%820.58M
4.16%814.23M
4.16%814.23M
26.01%803.67M
30.77%781.33M
67.36%784.1M
87.68%781.68M
87.68%781.68M
77.87%637.76M
Liabilities
Current liabilities
Current debt and capital lease obligation
2,950.50%12.14M
-96.46%16.3M
-99.61%1.66M
-99.61%1.66M
-99.97%109K
-99.79%398K
182.73%460.22M
51,582.35%421.73M
51,582.35%421.73M
43,679.74%371.69M
-Current debt
2,950.50%12.14M
-96.46%16.3M
-99.61%1.66M
-99.61%1.66M
-99.97%109K
-99.79%398K
182.73%460.22M
51,582.35%421.73M
51,582.35%421.73M
43,679.74%371.69M
-accounts payable
29.55%1.06B
22.65%1.02B
10.80%913.99M
10.80%913.99M
30.85%898.42M
25.85%814.86M
56.72%828M
58.81%824.92M
58.81%824.92M
53.76%686.63M
-Total tax payable
-9.77%514.21M
141.87%394.41M
179.11%502.84M
179.11%502.84M
172.39%536.88M
257.80%569.89M
26.66%163.06M
39.88%180.16M
39.88%180.16M
42.23%197.1M
-Other payable
542.86%115.35M
324.80%51.24M
1,053.23%53.58M
1,053.23%53.58M
2,533.48%17.46M
2,846.31%17.94M
1,689.47%12.06M
653.00%4.65M
653.00%4.65M
-47.88%663K
Current deferred liabilities
40.32%66.62M
0.95%61.06M
-1.47%59.33M
-1.47%59.33M
-29.89%48.63M
-9.38%47.48M
65.15%60.48M
118.30%60.21M
118.30%60.21M
100.40%69.37M
Current liabilities
24.97%1.17B
-17.43%1.17B
-27.79%1.04B
-27.79%1.04B
-14.70%1.01B
0.24%933.63M
84.18%1.42B
143.21%1.44B
143.21%1.44B
126.30%1.18B
Non current liabilities
Non current accrued expenses
-6.49%68.88M
-3.83%76.84M
-14.56%75.49M
-14.56%75.49M
13.73%73.59M
50.03%73.66M
99.26%79.9M
188.34%88.35M
188.34%88.35M
124.64%64.71M
Long term provisions
-25.67%319.54M
--272.52M
--378.01M
--378.01M
--412.64M
537,286.25%429.91M
----
----
----
----
Total non current liabilities
11.80%1.68B
-1.03%1.57B
-4.75%1.54B
-4.75%1.54B
11.98%1.55B
37.86%1.5B
75.96%1.58B
124.73%1.62B
124.73%1.62B
108.71%1.38B
Shareholders'equity
Share capital
-4.96%574.16M
-3.96%575.51M
0.74%599.43M
0.74%599.43M
-1.02%603.72M
-4.68%604.14M
-5.46%599.23M
-6.07%595.02M
-6.07%595.02M
-3.69%609.92M
-common stock
-4.96%574.16M
-3.96%575.51M
0.74%599.43M
0.74%599.43M
-1.02%603.72M
-4.68%604.14M
-5.46%599.23M
-6.07%595.02M
-6.07%595.02M
-3.69%609.92M
Additional paid-in capital
36.17%12.59M
33.93%11.74M
38.53%10.97M
38.53%10.97M
54.16%10.02M
77.00%9.24M
147.87%8.77M
240.60%7.92M
240.60%7.92M
444.59%6.5M
Retained earnings
-89.77%267K
-89.05%559K
-89.54%547K
-89.54%547K
-28.63%3.1M
-40.32%2.61M
-91.96%5.11M
--5.23M
--5.23M
-62.08%4.35M
Gains losses not affecting retained earnings
10,154.49%16M
-23.80%12.1M
-71.09%3.96M
-71.09%3.96M
674.91%3.05M
122.13%156K
353.73%15.88M
4,066.57%13.71M
4,066.57%13.71M
-166.75%-530K
Other equity interest
42.54%33.27M
5.84%26.61M
15.11%26.53M
15.11%26.53M
3.36%22.22M
30.70%23.34M
88.04%25.14M
95.94%23.05M
95.94%23.05M
39.03%21.5M
Noncontrolling interests
--29.88M
----
----
----
----
----
----
----
----
----
Total equity
-2.54%2.06B
-2.83%2.15B
-4.25%2.15B
-4.25%2.15B
6.83%2.16B
21.01%2.12B
43.84%2.22B
64.29%2.25B
64.29%2.25B
59.18%2.02B
(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 121.59%173.82M13.69%158.06M6.24%169.87M6.24%169.87M-38.91%105.22M-57.41%78.44M-35.83%139.03M-35.58%159.89M-35.58%159.89M-18.12%172.23M
-Cash and cash equivalents 121.59%173.82M13.69%158.06M6.24%169.87M6.24%169.87M-38.91%105.22M-57.41%78.44M-35.83%139.03M-35.58%159.89M-35.58%159.89M-18.12%172.23M
-Accounts receivable 12.93%882.39M4.65%820.58M-8.79%616.14M-8.79%616.14M26.01%803.67M30.77%781.33M67.36%784.1M82.09%675.54M82.09%675.54M77.87%637.76M
Total current assets 12.07%1.17B-1.72%1.09B-3.89%1.08B-3.89%1.08B10.04%1.1B13.32%1.05B25.93%1.11B44.52%1.13B44.52%1.13B48.01%999.62M
Non current assets
-Accumulated depreciation ---------47.97%-58.73M-47.97%-58.73M------------0.57%-39.69M0.57%-39.69M----
-Long term equity investment -25.67%319.54M--272.52M--378.01M--378.01M--412.64M537,286.25%429.91M----------------
-Goodwill -30.85%678.12M-7.86%934.24M-8.53%939.95M-8.53%939.95M1.26%968.72M26.09%980.69M64.01%1.01B84.53%1.03B84.53%1.03B69.44%956.69M
-Other intangible assets -----------------------------28.84%1.71M-28.84%1.71M-37.22%1.64M
Regulatory assets 12.93%882.39M4.65%820.58M4.16%814.23M4.16%814.23M26.01%803.67M30.77%781.33M67.36%784.1M87.68%781.68M87.68%781.68M77.87%637.76M
Liabilities
Current liabilities
Current debt and capital lease obligation 2,950.50%12.14M-96.46%16.3M-99.61%1.66M-99.61%1.66M-99.97%109K-99.79%398K182.73%460.22M51,582.35%421.73M51,582.35%421.73M43,679.74%371.69M
-Current debt 2,950.50%12.14M-96.46%16.3M-99.61%1.66M-99.61%1.66M-99.97%109K-99.79%398K182.73%460.22M51,582.35%421.73M51,582.35%421.73M43,679.74%371.69M
-accounts payable 29.55%1.06B22.65%1.02B10.80%913.99M10.80%913.99M30.85%898.42M25.85%814.86M56.72%828M58.81%824.92M58.81%824.92M53.76%686.63M
-Total tax payable -9.77%514.21M141.87%394.41M179.11%502.84M179.11%502.84M172.39%536.88M257.80%569.89M26.66%163.06M39.88%180.16M39.88%180.16M42.23%197.1M
-Other payable 542.86%115.35M324.80%51.24M1,053.23%53.58M1,053.23%53.58M2,533.48%17.46M2,846.31%17.94M1,689.47%12.06M653.00%4.65M653.00%4.65M-47.88%663K
Current deferred liabilities 40.32%66.62M0.95%61.06M-1.47%59.33M-1.47%59.33M-29.89%48.63M-9.38%47.48M65.15%60.48M118.30%60.21M118.30%60.21M100.40%69.37M
Current liabilities 24.97%1.17B-17.43%1.17B-27.79%1.04B-27.79%1.04B-14.70%1.01B0.24%933.63M84.18%1.42B143.21%1.44B143.21%1.44B126.30%1.18B
Non current liabilities
Non current accrued expenses -6.49%68.88M-3.83%76.84M-14.56%75.49M-14.56%75.49M13.73%73.59M50.03%73.66M99.26%79.9M188.34%88.35M188.34%88.35M124.64%64.71M
Long term provisions -25.67%319.54M--272.52M--378.01M--378.01M--412.64M537,286.25%429.91M----------------
Total non current liabilities 11.80%1.68B-1.03%1.57B-4.75%1.54B-4.75%1.54B11.98%1.55B37.86%1.5B75.96%1.58B124.73%1.62B124.73%1.62B108.71%1.38B
Shareholders'equity
Share capital -4.96%574.16M-3.96%575.51M0.74%599.43M0.74%599.43M-1.02%603.72M-4.68%604.14M-5.46%599.23M-6.07%595.02M-6.07%595.02M-3.69%609.92M
-common stock -4.96%574.16M-3.96%575.51M0.74%599.43M0.74%599.43M-1.02%603.72M-4.68%604.14M-5.46%599.23M-6.07%595.02M-6.07%595.02M-3.69%609.92M
Additional paid-in capital 36.17%12.59M33.93%11.74M38.53%10.97M38.53%10.97M54.16%10.02M77.00%9.24M147.87%8.77M240.60%7.92M240.60%7.92M444.59%6.5M
Retained earnings -89.77%267K-89.05%559K-89.54%547K-89.54%547K-28.63%3.1M-40.32%2.61M-91.96%5.11M--5.23M--5.23M-62.08%4.35M
Gains losses not affecting retained earnings 10,154.49%16M-23.80%12.1M-71.09%3.96M-71.09%3.96M674.91%3.05M122.13%156K353.73%15.88M4,066.57%13.71M4,066.57%13.71M-166.75%-530K
Other equity interest 42.54%33.27M5.84%26.61M15.11%26.53M15.11%26.53M3.36%22.22M30.70%23.34M88.04%25.14M95.94%23.05M95.94%23.05M39.03%21.5M
Noncontrolling interests --29.88M------------------------------------
Total equity -2.54%2.06B-2.83%2.15B-4.25%2.15B-4.25%2.15B6.83%2.16B21.01%2.12B43.84%2.22B64.29%2.25B64.29%2.25B59.18%2.02B

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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