US Stock MarketDetailed Quotes

GCEH GLOBAL CLEAN ENERGY HOLDINGS INC

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  • 0.280
  • +0.009+3.14%
15min DelayClose Sep 5 16:00 ET
14.03MMarket Cap0.14P/E (TTM)

GLOBAL CLEAN ENERGY HOLDINGS 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
-14.21%1.9M
-63.03%1.27M
-66.64%1.93M
-66.64%1.93M
-58.61%2.82M
-59.64%2.21M
-88.13%3.44M
95.35%5.78M
95.35%5.78M
-57.89%6.82M
-Cash and cash equivalents
-14.21%1.9M
-63.03%1.27M
-66.64%1.93M
-66.64%1.93M
-58.61%2.82M
-59.64%2.21M
-88.13%3.44M
95.35%5.78M
95.35%5.78M
-57.89%6.82M
Receivables
166.37%1.96M
25.35%1.88M
151.50%1.84M
151.50%1.84M
-28.59%766.55K
16.05%736.58K
225.92%1.5M
-46.74%732K
-46.74%732K
--1.07M
-Accounts receivable
166.37%1.96M
25.35%1.88M
151.50%1.84M
151.50%1.84M
-28.59%766.55K
16.05%736.58K
225.92%1.5M
-46.74%732K
-46.74%732K
--1.07M
Inventory
250.49%18.86M
42.34%8.5M
-38.32%4.55M
-38.32%4.55M
-8.84%5.78M
-10.69%5.38M
35.55%5.97M
105.29%7.38M
105.29%7.38M
155.78%6.34M
Prepaid assets
--1.18M
--2.3M
----
----
----
----
----
----
----
----
Restricted cash
546.41%6.61M
--2.62M
14.13%1.81M
14.13%1.81M
15,274.88%1.94M
73,678.50%1.02M
--0
-80.12%1.59M
-80.12%1.59M
-99.46%12.64K
Other current assets
-82.13%546K
0.38%402K
22.29%1.73M
22.29%1.73M
84.81%2.7M
176.19%3.05M
-48.59%400.48K
-50.77%1.41M
-50.77%1.41M
-56.78%1.46M
Total current assets
150.28%31.05M
49.99%16.97M
-29.79%11.86M
-29.79%11.86M
-10.79%14.01M
-6.36%12.41M
-78.02%11.31M
-10.02%16.89M
-10.02%16.89M
-35.58%15.7M
Non current assets
Net PPE
102.58%1.45B
100.48%1.37B
94.74%1.27B
94.74%1.27B
23.27%756.28M
42.72%714.4M
62.62%684.39M
84.53%653.87M
84.53%653.87M
122.03%613.5M
-Gross PPE
102.44%1.45B
100.40%1.37B
94.75%1.28B
94.75%1.28B
23.33%758.24M
42.76%716.25M
62.77%685.92M
84.66%654.98M
84.66%654.98M
122.28%614.79M
-Accumulated depreciation
-48.71%-2.75M
-61.13%-2.47M
-100.36%-2.23M
-100.36%-2.23M
-52.40%-1.95M
-60.28%-1.85M
-169.74%-1.53M
-208.34%-1.11M
-208.34%-1.11M
-377.88%-1.28M
Goodwill and other intangible assets
-5.29%19.4M
-7.34%19.71M
-4.39%20.07M
-4.39%20.07M
-9.16%19.86M
-9.07%20.48M
-6.56%21.28M
-2.57%21M
-2.57%21M
155.66%21.87M
-Goodwill
5.09%10.03M
0.01%10.07M
7.48%10.18M
7.48%10.18M
-0.99%9.97M
-8.20%9.55M
-2.46%10.07M
7.90%9.47M
7.90%9.47M
643.19%10.07M
-Other intangible assets
-14.35%9.36M
-13.95%9.64M
-14.14%9.89M
-14.14%9.89M
-16.13%9.89M
-9.83%10.93M
-9.96%11.21M
-9.77%11.52M
-9.77%11.52M
63.88%11.8M
Non current accounts receivable
----
----
----
----
0.00%15.62M
--15.62M
--15.62M
--15.62M
--15.62M
--15.62M
Non current prepaid assets
----
----
----
----
----
-6.74%601.61K
-81.79%972.76K
----
----
-96.38%611.97K
Other non current assets
1,718.77%12.54M
--4.63M
618.43%5.03M
618.43%5.03M
34,051.32%4.73M
-77.54%689.48K
----
-95.75%700K
-95.75%700K
-99.95%13.86K
Total non current assets
96.76%1.48B
93.34%1.4B
87.86%1.3B
87.86%1.3B
22.23%796.5M
42.71%751.78M
47.99%722.25M
71.51%691.18M
71.51%691.18M
98.37%651.62M
Total assets
97.62%1.51B
92.68%1.41B
85.05%1.31B
85.05%1.31B
21.46%810.5M
41.50%764.19M
35.97%733.57M
67.88%708.07M
67.88%708.07M
89.12%667.31M
Liabilities
Current liabilities
Payables
164.91%25.84M
93.66%16.31M
65.26%12.24M
65.26%12.24M
163.70%19.34M
-39.95%9.75M
-67.07%8.42M
62.25%7.4M
62.25%7.4M
-50.60%7.33M
-accounts payable
164.91%25.84M
75.73%14.8M
65.26%12.24M
65.26%12.24M
163.70%19.34M
-39.95%9.75M
-67.07%8.42M
62.25%7.4M
62.25%7.4M
-50.60%7.33M
-Total tax payable
----
--1.51M
----
----
----
----
----
----
----
----
Current accrued expenses
-40.69%10.68M
-69.53%5.81M
-82.15%2.52M
-82.15%2.52M
-86.23%17.45M
-52.75%18M
-5.95%19.07M
-56.61%14.14M
-56.61%14.14M
298.98%126.68M
Current provisions
-69.49%2.94M
7.36%7.83M
-5.44%6.81M
-5.44%6.81M
45.54%12.59M
36.67%9.63M
32.36%7.3M
86.15%7.2M
86.15%7.2M
44.16%8.65M
Current debt and capital lease obligation
1,499.92%498.33M
825.37%260.5M
1,261.82%200.04M
1,261.82%200.04M
581.78%183.37M
23.40%31.15M
7.98%28.15M
-59.67%14.69M
-59.67%14.69M
45.11%26.9M
-Current debt
1,620.93%496.78M
900.15%258.92M
1,449.66%198.23M
1,449.66%198.23M
618.76%181.42M
17.95%28.87M
-0.15%25.89M
-64.69%12.79M
-64.69%12.79M
37.62%25.24M
-Current capital lease obligation
-32.07%1.55M
-30.21%1.58M
-4.80%1.81M
-4.80%1.81M
17.94%1.95M
196.87%2.28M
1,454.67%2.26M
855.96%1.9M
855.96%1.9M
757.86%1.66M
Current deferred liabilities
388.08%138.31M
-30.93%24.69M
-96.50%1.25M
-96.50%1.25M
--50.72M
--28.34M
--35.75M
--35.75M
--35.75M
----
Current liabilities
557.96%682.4M
207.60%323.69M
168.07%229.36M
168.07%229.36M
66.14%289.87M
13.46%103.72M
29.73%105.23M
-14.84%85.56M
-14.84%85.56M
134.23%174.48M
Non current liabilities
Long term provisions
21.12%38.68M
-1.16%33.79M
1.82%34.9M
1.82%34.9M
-10.38%29.07M
-6.09%31.94M
-3.91%34.19M
-7.74%34.27M
-7.74%34.27M
-5.99%32.44M
Long term debt and capital lease obligation
-66.02%161.77M
-2.91%423.66M
1.55%423.06M
1.55%423.06M
5.34%379.28M
43.15%476.05M
34.34%436.37M
29.57%416.58M
29.57%416.58M
28.97%360.05M
-Long term debt
-66.00%161.17M
-2.59%422.69M
2.03%421.9M
2.03%421.9M
5.84%377.3M
43.89%474.01M
33.71%433.93M
28.72%413.49M
28.72%413.49M
27.84%356.47M
-Long term capital lease obligation
-70.69%598K
-60.17%973K
-62.65%1.15M
-62.65%1.15M
-44.85%1.98M
-34.80%2.04M
762.51%2.44M
991.11%3.09M
991.11%3.09M
993.02%3.58M
Non current deferred liabilities
429.76%533.53M
569.84%629.22M
540.78%603.69M
540.78%603.69M
4,811.60%75.97M
6,437.48%100.71M
5,976.43%93.94M
5,702.66%94.21M
5,702.66%94.21M
--1.55M
Preferred securities outside stock equity
--0
48.57%152.32M
47.94%138.54M
47.94%138.54M
47.45%125.88M
46.96%114.38M
44.36%102.52M
--93.65M
--93.65M
--85.37M
Other non current liabilities
-53.91%5.35M
0.73%13.92M
-17.19%9.94M
-17.19%9.94M
-57.50%6.31M
36.14%11.6M
-38.86%13.82M
-44.49%12.01M
-44.49%12.01M
-17.70%14.86M
Total non current liabilities
0.63%739.32M
84.03%1.25B
85.97%1.21B
85.97%1.21B
24.73%616.51M
61.66%734.67M
49.45%680.83M
70.38%650.72M
70.38%650.72M
48.99%494.26M
Total liabilities
69.58%1.42B
100.57%1.58B
95.51%1.44B
95.51%1.44B
35.54%906.39M
53.59%838.39M
46.47%786.06M
52.63%736.28M
52.63%736.28M
64.62%668.74M
Shareholders'equity
Share capital
17.92%500K
18.06%500K
18.20%500K
18.20%500K
18.09%499.82K
0.19%424.03K
0.31%423.53K
0.68%423K
0.68%423K
5.64%423.24K
-common stock
17.92%500K
18.06%500K
18.20%500K
18.20%500K
18.09%499.82K
0.19%424.03K
0.31%423.53K
0.68%423K
0.68%423K
5.64%423.24K
Retained earnings
90.95%-19.62M
-47.48%-289.65M
-52.36%-261.69M
-52.36%-261.69M
-51.92%-231.71M
-58.04%-216.85M
-45.69%-196.4M
-45.99%-171.76M
-45.99%-171.76M
-52.20%-152.52M
Paid-in capital
-15.50%102.88M
-13.70%106.13M
-8.69%111.98M
-8.69%111.98M
-11.06%115.68M
0.67%121.75M
-3.32%122.98M
139.79%122.63M
139.79%122.63M
180.05%130.07M
Less: Treasury stock
----
----
--0
--0
--0
--15.94K
--15.94K
--16K
--16K
----
Gains losses not affecting retained earnings
-1,336.03%-722K
-832.02%-614K
-663.01%-411K
-663.01%-411K
-559.88%-780.95K
308.74%58.41K
3,704.56%83.88K
--73K
--73K
--169.82K
Total stockholders'equity
187.75%83.04M
-151.79%-183.63M
-207.58%-149.62M
-207.58%-149.62M
-432.07%-116.32M
-497.70%-94.63M
-915.13%-72.93M
26.39%-48.64M
26.39%-48.64M
59.04%-21.86M
Noncontrolling interests
-73.24%5.47M
-0.00%20.44M
0.00%20.44M
0.00%20.44M
0.00%20.44M
103.92%20.44M
103.92%20.44M
273.68%20.44M
273.68%20.44M
--20.44M
Total equity
219.29%88.51M
-210.88%-163.19M
-357.97%-129.18M
-357.97%-129.18M
-6,626.85%-95.88M
-1,176.84%-74.2M
-1,949.98%-52.49M
53.46%-28.21M
53.46%-28.21M
97.33%-1.43M
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 -14.21%1.9M-63.03%1.27M-66.64%1.93M-66.64%1.93M-58.61%2.82M-59.64%2.21M-88.13%3.44M95.35%5.78M95.35%5.78M-57.89%6.82M
-Cash and cash equivalents -14.21%1.9M-63.03%1.27M-66.64%1.93M-66.64%1.93M-58.61%2.82M-59.64%2.21M-88.13%3.44M95.35%5.78M95.35%5.78M-57.89%6.82M
Receivables 166.37%1.96M25.35%1.88M151.50%1.84M151.50%1.84M-28.59%766.55K16.05%736.58K225.92%1.5M-46.74%732K-46.74%732K--1.07M
-Accounts receivable 166.37%1.96M25.35%1.88M151.50%1.84M151.50%1.84M-28.59%766.55K16.05%736.58K225.92%1.5M-46.74%732K-46.74%732K--1.07M
Inventory 250.49%18.86M42.34%8.5M-38.32%4.55M-38.32%4.55M-8.84%5.78M-10.69%5.38M35.55%5.97M105.29%7.38M105.29%7.38M155.78%6.34M
Prepaid assets --1.18M--2.3M--------------------------------
Restricted cash 546.41%6.61M--2.62M14.13%1.81M14.13%1.81M15,274.88%1.94M73,678.50%1.02M--0-80.12%1.59M-80.12%1.59M-99.46%12.64K
Other current assets -82.13%546K0.38%402K22.29%1.73M22.29%1.73M84.81%2.7M176.19%3.05M-48.59%400.48K-50.77%1.41M-50.77%1.41M-56.78%1.46M
Total current assets 150.28%31.05M49.99%16.97M-29.79%11.86M-29.79%11.86M-10.79%14.01M-6.36%12.41M-78.02%11.31M-10.02%16.89M-10.02%16.89M-35.58%15.7M
Non current assets
Net PPE 102.58%1.45B100.48%1.37B94.74%1.27B94.74%1.27B23.27%756.28M42.72%714.4M62.62%684.39M84.53%653.87M84.53%653.87M122.03%613.5M
-Gross PPE 102.44%1.45B100.40%1.37B94.75%1.28B94.75%1.28B23.33%758.24M42.76%716.25M62.77%685.92M84.66%654.98M84.66%654.98M122.28%614.79M
-Accumulated depreciation -48.71%-2.75M-61.13%-2.47M-100.36%-2.23M-100.36%-2.23M-52.40%-1.95M-60.28%-1.85M-169.74%-1.53M-208.34%-1.11M-208.34%-1.11M-377.88%-1.28M
Goodwill and other intangible assets -5.29%19.4M-7.34%19.71M-4.39%20.07M-4.39%20.07M-9.16%19.86M-9.07%20.48M-6.56%21.28M-2.57%21M-2.57%21M155.66%21.87M
-Goodwill 5.09%10.03M0.01%10.07M7.48%10.18M7.48%10.18M-0.99%9.97M-8.20%9.55M-2.46%10.07M7.90%9.47M7.90%9.47M643.19%10.07M
-Other intangible assets -14.35%9.36M-13.95%9.64M-14.14%9.89M-14.14%9.89M-16.13%9.89M-9.83%10.93M-9.96%11.21M-9.77%11.52M-9.77%11.52M63.88%11.8M
Non current accounts receivable ----------------0.00%15.62M--15.62M--15.62M--15.62M--15.62M--15.62M
Non current prepaid assets ---------------------6.74%601.61K-81.79%972.76K---------96.38%611.97K
Other non current assets 1,718.77%12.54M--4.63M618.43%5.03M618.43%5.03M34,051.32%4.73M-77.54%689.48K-----95.75%700K-95.75%700K-99.95%13.86K
Total non current assets 96.76%1.48B93.34%1.4B87.86%1.3B87.86%1.3B22.23%796.5M42.71%751.78M47.99%722.25M71.51%691.18M71.51%691.18M98.37%651.62M
Total assets 97.62%1.51B92.68%1.41B85.05%1.31B85.05%1.31B21.46%810.5M41.50%764.19M35.97%733.57M67.88%708.07M67.88%708.07M89.12%667.31M
Liabilities
Current liabilities
Payables 164.91%25.84M93.66%16.31M65.26%12.24M65.26%12.24M163.70%19.34M-39.95%9.75M-67.07%8.42M62.25%7.4M62.25%7.4M-50.60%7.33M
-accounts payable 164.91%25.84M75.73%14.8M65.26%12.24M65.26%12.24M163.70%19.34M-39.95%9.75M-67.07%8.42M62.25%7.4M62.25%7.4M-50.60%7.33M
-Total tax payable ------1.51M--------------------------------
Current accrued expenses -40.69%10.68M-69.53%5.81M-82.15%2.52M-82.15%2.52M-86.23%17.45M-52.75%18M-5.95%19.07M-56.61%14.14M-56.61%14.14M298.98%126.68M
Current provisions -69.49%2.94M7.36%7.83M-5.44%6.81M-5.44%6.81M45.54%12.59M36.67%9.63M32.36%7.3M86.15%7.2M86.15%7.2M44.16%8.65M
Current debt and capital lease obligation 1,499.92%498.33M825.37%260.5M1,261.82%200.04M1,261.82%200.04M581.78%183.37M23.40%31.15M7.98%28.15M-59.67%14.69M-59.67%14.69M45.11%26.9M
-Current debt 1,620.93%496.78M900.15%258.92M1,449.66%198.23M1,449.66%198.23M618.76%181.42M17.95%28.87M-0.15%25.89M-64.69%12.79M-64.69%12.79M37.62%25.24M
-Current capital lease obligation -32.07%1.55M-30.21%1.58M-4.80%1.81M-4.80%1.81M17.94%1.95M196.87%2.28M1,454.67%2.26M855.96%1.9M855.96%1.9M757.86%1.66M
Current deferred liabilities 388.08%138.31M-30.93%24.69M-96.50%1.25M-96.50%1.25M--50.72M--28.34M--35.75M--35.75M--35.75M----
Current liabilities 557.96%682.4M207.60%323.69M168.07%229.36M168.07%229.36M66.14%289.87M13.46%103.72M29.73%105.23M-14.84%85.56M-14.84%85.56M134.23%174.48M
Non current liabilities
Long term provisions 21.12%38.68M-1.16%33.79M1.82%34.9M1.82%34.9M-10.38%29.07M-6.09%31.94M-3.91%34.19M-7.74%34.27M-7.74%34.27M-5.99%32.44M
Long term debt and capital lease obligation -66.02%161.77M-2.91%423.66M1.55%423.06M1.55%423.06M5.34%379.28M43.15%476.05M34.34%436.37M29.57%416.58M29.57%416.58M28.97%360.05M
-Long term debt -66.00%161.17M-2.59%422.69M2.03%421.9M2.03%421.9M5.84%377.3M43.89%474.01M33.71%433.93M28.72%413.49M28.72%413.49M27.84%356.47M
-Long term capital lease obligation -70.69%598K-60.17%973K-62.65%1.15M-62.65%1.15M-44.85%1.98M-34.80%2.04M762.51%2.44M991.11%3.09M991.11%3.09M993.02%3.58M
Non current deferred liabilities 429.76%533.53M569.84%629.22M540.78%603.69M540.78%603.69M4,811.60%75.97M6,437.48%100.71M5,976.43%93.94M5,702.66%94.21M5,702.66%94.21M--1.55M
Preferred securities outside stock equity --048.57%152.32M47.94%138.54M47.94%138.54M47.45%125.88M46.96%114.38M44.36%102.52M--93.65M--93.65M--85.37M
Other non current liabilities -53.91%5.35M0.73%13.92M-17.19%9.94M-17.19%9.94M-57.50%6.31M36.14%11.6M-38.86%13.82M-44.49%12.01M-44.49%12.01M-17.70%14.86M
Total non current liabilities 0.63%739.32M84.03%1.25B85.97%1.21B85.97%1.21B24.73%616.51M61.66%734.67M49.45%680.83M70.38%650.72M70.38%650.72M48.99%494.26M
Total liabilities 69.58%1.42B100.57%1.58B95.51%1.44B95.51%1.44B35.54%906.39M53.59%838.39M46.47%786.06M52.63%736.28M52.63%736.28M64.62%668.74M
Shareholders'equity
Share capital 17.92%500K18.06%500K18.20%500K18.20%500K18.09%499.82K0.19%424.03K0.31%423.53K0.68%423K0.68%423K5.64%423.24K
-common stock 17.92%500K18.06%500K18.20%500K18.20%500K18.09%499.82K0.19%424.03K0.31%423.53K0.68%423K0.68%423K5.64%423.24K
Retained earnings 90.95%-19.62M-47.48%-289.65M-52.36%-261.69M-52.36%-261.69M-51.92%-231.71M-58.04%-216.85M-45.69%-196.4M-45.99%-171.76M-45.99%-171.76M-52.20%-152.52M
Paid-in capital -15.50%102.88M-13.70%106.13M-8.69%111.98M-8.69%111.98M-11.06%115.68M0.67%121.75M-3.32%122.98M139.79%122.63M139.79%122.63M180.05%130.07M
Less: Treasury stock ----------0--0--0--15.94K--15.94K--16K--16K----
Gains losses not affecting retained earnings -1,336.03%-722K-832.02%-614K-663.01%-411K-663.01%-411K-559.88%-780.95K308.74%58.41K3,704.56%83.88K--73K--73K--169.82K
Total stockholders'equity 187.75%83.04M-151.79%-183.63M-207.58%-149.62M-207.58%-149.62M-432.07%-116.32M-497.70%-94.63M-915.13%-72.93M26.39%-48.64M26.39%-48.64M59.04%-21.86M
Noncontrolling interests -73.24%5.47M-0.00%20.44M0.00%20.44M0.00%20.44M0.00%20.44M103.92%20.44M103.92%20.44M273.68%20.44M273.68%20.44M--20.44M
Total equity 219.29%88.51M-210.88%-163.19M-357.97%-129.18M-357.97%-129.18M-6,626.85%-95.88M-1,176.84%-74.2M-1,949.98%-52.49M53.46%-28.21M53.46%-28.21M97.33%-1.43M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

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