US Stock MarketDetailed Quotes

HCVIU Hennessy Capital Investment Corp. VI

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  • 10.570
  • 0.0000.00%
Close Dec 31 16:00 ET
0Market Cap0.00P/E (TTM)

Hennessy Capital Investment Corp. VI 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
29,566.67%890K
501.23%980K
-98.24%6K
-36.89%462K
-36.89%462K
-99.72%3K
-88.01%163K
-78.83%340K
-62.77%732K
--732K
-Cash and cash equivalents
29,566.67%890K
501.23%980K
-98.24%6K
-36.89%462K
-36.89%462K
-99.72%3K
-88.01%163K
-78.83%340K
-62.77%732K
--732K
Prepaid assets
-56.52%20K
0.00%176K
-66.78%102K
-88.83%41K
-88.83%41K
-90.73%46K
-71.93%176K
-59.71%307K
-55.46%367K
--367K
Restricted cash
-75.17%21.4M
----
----
----
----
--86.17M
----
----
----
----
Total current assets
-74.12%22.31M
241.00%1.16M
-83.31%108K
-54.23%503K
-54.23%503K
5,395.22%86.22M
-82.93%339K
-72.68%647K
-60.61%1.1M
--1.1M
Non current assets
Other non current assets
-86.83%35.41M
-83.98%56.17M
-83.92%55.96M
-21.34%270.95M
-21.34%270.95M
-21.51%268.87M
2.69%350.53M
2.08%348.07M
1.03%344.46M
--344.46M
Total non current assets
-86.83%35.41M
-83.98%56.17M
-83.92%55.96M
-21.34%270.95M
-21.34%270.95M
-21.51%268.87M
2.69%350.53M
2.08%348.07M
1.03%344.46M
--344.46M
Total assets
-83.75%57.72M
-83.66%57.33M
-83.92%56.07M
-21.45%271.46M
-21.45%271.46M
3.18%355.09M
2.19%350.87M
1.57%348.72M
0.53%345.56M
--345.56M
Liabilities
Current liabilities
Payables
-74.23%22.74M
653.62%1.04M
58.56%1.34M
2,336.23%1.68M
2,336.23%1.68M
18,838.84%88.26M
-67.30%138K
159.02%847K
-76.92%69K
--69K
-accounts payable
26.46%239K
28.28%127K
1,518.18%178K
2,375.00%99K
2,375.00%99K
170.00%189K
-1.00%99K
-87.36%11K
-95.96%4K
--4K
-Total tax payable
-41.74%1.1M
2,241.03%913K
39.35%1.17M
2,333.85%1.58M
2,333.85%1.58M
378.54%1.9M
-87.89%39K
248.33%836K
-67.50%65K
--65K
-Other payable
-75.17%21.4M
----
----
----
----
--86.17M
----
----
----
----
Current accrued expenses
175.21%6.26M
187.33%5.4M
466.81%2.68M
3,905.08%2.36M
3,905.08%2.36M
3,569.35%2.28M
4,267.44%1.88M
1,213.89%473K
63.89%59K
--59K
Current debt and capital lease obligation
4,894.00%9.99M
2,901.00%6M
--3.02M
--1.1M
--1.1M
--200K
--200K
----
----
----
-Current debt
4,894.00%9.99M
2,901.00%6M
--3.02M
--1.1M
--1.1M
--200K
--200K
----
----
----
Current deferred liabilities
28.91%1.19M
42.56%1.16M
56.30%1.08M
75.44%1M
75.44%1M
104.90%920K
148.62%813K
237.07%691K
578.57%570K
--570K
Current liabilities
-56.16%40.18M
348.89%13.6M
303.78%8.12M
780.23%6.14M
780.23%6.14M
9,280.76%91.65M
282.45%3.03M
254.05%2.01M
66.59%698K
--698K
Non current liabilities
Non current deferred liabilities
----
----
----
--0
--0
-53.00%5.61M
0.00%11.93M
0.00%11.93M
0.00%11.93M
--11.93M
Derivative product liabilities
-41.68%1.3M
66.69%2.79M
-37.52%1.86M
-40.04%1.11M
-40.04%1.11M
-20.02%2.23M
-65.38%1.67M
-66.67%2.97M
-88.09%1.86M
--1.86M
Total non current liabilities
-83.41%1.3M
-79.51%2.79M
-87.54%1.86M
-91.92%1.11M
-91.92%1.11M
-46.76%7.84M
-18.84%13.61M
-28.51%14.91M
-49.92%13.79M
--13.79M
Total liabilities
-58.31%41.48M
-1.50%16.38M
-41.02%9.98M
-49.91%7.26M
-49.91%7.26M
533.80%99.49M
-5.25%16.63M
-21.02%16.92M
-48.17%14.49M
--14.49M
Shareholders'equity
Share capital
-86.87%35.17M
-83.99%56.12M
-83.97%55.66M
-21.53%270.23M
-21.53%270.23M
-21.73%267.83M
2.80%350.49M
1.85%347.23M
1.02%344.4M
--344.4M
-common stock
-86.87%35.17M
-83.99%56.12M
-83.97%55.66M
-21.53%270.23M
-21.53%270.23M
-21.73%267.83M
2.80%350.49M
1.85%347.23M
1.02%344.4M
--344.4M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-105.68%-28.92M
-13.82%-18.5M
16.47%-12.89M
41.02%-7.86M
41.02%-7.86M
-2.39%-14.06M
-7.30%-16.26M
18.86%-15.43M
47.04%-13.33M
---13.33M
Paid-in capital
447.67%10M
--3.33M
--3.33M
--1.83M
--1.83M
--1.83M
--0
--0
--0
--0
Total stockholders'equity
-93.65%16.24M
-87.75%40.94M
-86.11%46.09M
-20.20%264.2M
-20.20%264.2M
-22.18%255.6M
2.59%334.23M
3.07%331.8M
4.85%331.07M
--331.07M
Total equity
-93.65%16.24M
-87.75%40.94M
-86.11%46.09M
-20.20%264.2M
-20.20%264.2M
-22.18%255.6M
2.59%334.23M
3.07%331.8M
4.85%331.07M
--331.07M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
--
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(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 29,566.67%890K501.23%980K-98.24%6K-36.89%462K-36.89%462K-99.72%3K-88.01%163K-78.83%340K-62.77%732K--732K
-Cash and cash equivalents 29,566.67%890K501.23%980K-98.24%6K-36.89%462K-36.89%462K-99.72%3K-88.01%163K-78.83%340K-62.77%732K--732K
Prepaid assets -56.52%20K0.00%176K-66.78%102K-88.83%41K-88.83%41K-90.73%46K-71.93%176K-59.71%307K-55.46%367K--367K
Restricted cash -75.17%21.4M------------------86.17M----------------
Total current assets -74.12%22.31M241.00%1.16M-83.31%108K-54.23%503K-54.23%503K5,395.22%86.22M-82.93%339K-72.68%647K-60.61%1.1M--1.1M
Non current assets
Other non current assets -86.83%35.41M-83.98%56.17M-83.92%55.96M-21.34%270.95M-21.34%270.95M-21.51%268.87M2.69%350.53M2.08%348.07M1.03%344.46M--344.46M
Total non current assets -86.83%35.41M-83.98%56.17M-83.92%55.96M-21.34%270.95M-21.34%270.95M-21.51%268.87M2.69%350.53M2.08%348.07M1.03%344.46M--344.46M
Total assets -83.75%57.72M-83.66%57.33M-83.92%56.07M-21.45%271.46M-21.45%271.46M3.18%355.09M2.19%350.87M1.57%348.72M0.53%345.56M--345.56M
Liabilities
Current liabilities
Payables -74.23%22.74M653.62%1.04M58.56%1.34M2,336.23%1.68M2,336.23%1.68M18,838.84%88.26M-67.30%138K159.02%847K-76.92%69K--69K
-accounts payable 26.46%239K28.28%127K1,518.18%178K2,375.00%99K2,375.00%99K170.00%189K-1.00%99K-87.36%11K-95.96%4K--4K
-Total tax payable -41.74%1.1M2,241.03%913K39.35%1.17M2,333.85%1.58M2,333.85%1.58M378.54%1.9M-87.89%39K248.33%836K-67.50%65K--65K
-Other payable -75.17%21.4M------------------86.17M----------------
Current accrued expenses 175.21%6.26M187.33%5.4M466.81%2.68M3,905.08%2.36M3,905.08%2.36M3,569.35%2.28M4,267.44%1.88M1,213.89%473K63.89%59K--59K
Current debt and capital lease obligation 4,894.00%9.99M2,901.00%6M--3.02M--1.1M--1.1M--200K--200K------------
-Current debt 4,894.00%9.99M2,901.00%6M--3.02M--1.1M--1.1M--200K--200K------------
Current deferred liabilities 28.91%1.19M42.56%1.16M56.30%1.08M75.44%1M75.44%1M104.90%920K148.62%813K237.07%691K578.57%570K--570K
Current liabilities -56.16%40.18M348.89%13.6M303.78%8.12M780.23%6.14M780.23%6.14M9,280.76%91.65M282.45%3.03M254.05%2.01M66.59%698K--698K
Non current liabilities
Non current deferred liabilities --------------0--0-53.00%5.61M0.00%11.93M0.00%11.93M0.00%11.93M--11.93M
Derivative product liabilities -41.68%1.3M66.69%2.79M-37.52%1.86M-40.04%1.11M-40.04%1.11M-20.02%2.23M-65.38%1.67M-66.67%2.97M-88.09%1.86M--1.86M
Total non current liabilities -83.41%1.3M-79.51%2.79M-87.54%1.86M-91.92%1.11M-91.92%1.11M-46.76%7.84M-18.84%13.61M-28.51%14.91M-49.92%13.79M--13.79M
Total liabilities -58.31%41.48M-1.50%16.38M-41.02%9.98M-49.91%7.26M-49.91%7.26M533.80%99.49M-5.25%16.63M-21.02%16.92M-48.17%14.49M--14.49M
Shareholders'equity
Share capital -86.87%35.17M-83.99%56.12M-83.97%55.66M-21.53%270.23M-21.53%270.23M-21.73%267.83M2.80%350.49M1.85%347.23M1.02%344.4M--344.4M
-common stock -86.87%35.17M-83.99%56.12M-83.97%55.66M-21.53%270.23M-21.53%270.23M-21.73%267.83M2.80%350.49M1.85%347.23M1.02%344.4M--344.4M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -105.68%-28.92M-13.82%-18.5M16.47%-12.89M41.02%-7.86M41.02%-7.86M-2.39%-14.06M-7.30%-16.26M18.86%-15.43M47.04%-13.33M---13.33M
Paid-in capital 447.67%10M--3.33M--3.33M--1.83M--1.83M--1.83M--0--0--0--0
Total stockholders'equity -93.65%16.24M-87.75%40.94M-86.11%46.09M-20.20%264.2M-20.20%264.2M-22.18%255.6M2.59%334.23M3.07%331.8M4.85%331.07M--331.07M
Total equity -93.65%16.24M-87.75%40.94M-86.11%46.09M-20.20%264.2M-20.20%264.2M-22.18%255.6M2.59%334.23M3.07%331.8M4.85%331.07M--331.07M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes------------
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