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HWNI HIGH WIRE NETWORKS INC

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  • 0.047865
  • +0.005465+12.89%
15min DelayClose Sep 27 16:00 ET
11.52MMarket Cap-2393P/E (TTM)

HIGH WIRE NETWORKS 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
247.77%4.19M
-73.05%263.62K
-48.64%333.36K
-48.64%333.36K
-59.51%347.57K
-38.83%1.2M
-11.02%978.24K
27.66%649.03K
27.66%649.03K
-62.09%858.46K
-Cash and cash equivalents
247.77%4.19M
-73.05%263.62K
-48.64%333.36K
-48.64%333.36K
-59.51%347.57K
-38.83%1.2M
-11.02%978.24K
27.66%649.03K
27.66%649.03K
-62.09%858.46K
Receivables
-58.97%1.37M
-36.29%4.48M
-41.55%2.29M
-41.55%2.29M
-52.80%4.13M
-59.54%3.35M
-9.53%7.04M
-50.69%3.93M
-50.69%3.93M
7.32%8.74M
-Accounts receivable
-61.15%1.3M
-36.29%4.48M
-41.55%2.29M
-41.55%2.29M
-52.80%4.13M
-59.54%3.35M
-9.53%7.04M
-50.69%3.93M
-50.69%3.93M
17.12%8.74M
-Other receivables
--73K
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Prepaid assets
----
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----
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172.89%1.17M
Other current assets
-37.88%213.8K
-38.76%312.25K
-86.76%117.03K
-86.76%117.03K
--382.24K
--344.16K
--509.88K
70.36%883.86K
70.36%883.86K
----
Total current assets
17.89%5.77M
-40.66%5.06M
-74.28%2.74M
-74.28%2.74M
-54.93%4.86M
-55.99%4.9M
-12.22%8.53M
-3.63%10.67M
-3.63%10.67M
-0.62%10.77M
Non current assets
Net PPE
-14.59%1.14M
-19.69%1.23M
-18.84%1.3M
-18.84%1.3M
21.79%1.62M
-4.74%1.33M
4.06%1.53M
6.66%1.61M
6.66%1.61M
116.90%1.33M
-Gross PPE
2.10%1.74M
-4.77%1.77M
-6.30%1.78M
-6.30%1.78M
26.66%2.01M
4.99%1.71M
11.63%1.86M
14.06%1.9M
14.06%1.9M
44.46%1.59M
-Accumulated depreciation
-61.74%-604.06K
-65.01%-540.41K
-62.08%-477.76K
-62.08%-477.76K
-51.70%-392.18K
-65.36%-373.48K
-69.15%-327.51K
-83.45%-294.76K
-83.45%-294.76K
46.83%-258.52K
Goodwill and other intangible assets
-48.84%5.02M
-33.26%6.66M
-46.87%6.78M
-46.87%6.78M
-70.57%9.63M
-70.23%9.8M
-69.89%9.97M
-61.69%12.77M
-61.69%12.77M
30.79%32.74M
-Goodwill
-66.47%1.81M
-41.50%3.16M
-60.61%3.16M
-60.61%3.16M
-75.08%5.41M
-75.08%5.41M
-75.08%5.41M
-63.00%8.03M
-63.00%8.03M
15.95%21.7M
-Other intangible assets
-27.18%3.2M
-23.50%3.49M
-23.59%3.62M
-23.59%3.62M
-61.70%4.23M
-60.86%4.4M
-60.05%4.57M
-59.26%4.74M
-59.26%4.74M
74.72%11.04M
Other non current assets
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14,252.28%7.55M
14,252.28%7.55M
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Total non current assets
-44.74%6.16M
-31.45%7.89M
-63.12%8.09M
-63.12%8.09M
-66.97%11.25M
-67.56%11.14M
-66.75%11.51M
-37.15%21.93M
-37.15%21.93M
27.52%34.07M
Total assets
-25.61%11.93M
-35.37%12.95M
-66.77%10.83M
-66.77%10.83M
-64.07%16.11M
-64.73%16.04M
-54.80%20.03M
-29.08%32.59M
-29.08%32.59M
19.40%44.84M
Liabilities
Current liabilities
Current debt and capital lease obligation
-49.02%2.28M
75.64%7.52M
31.90%5.03M
31.90%5.03M
-43.99%5.45M
-55.57%4.47M
-63.24%4.28M
-67.35%3.81M
-67.35%3.81M
9.72%9.73M
-Current debt
-51.07%2.18M
75.22%7.43M
32.13%4.94M
32.13%4.94M
-44.08%5.37M
-54.91%4.46M
-63.04%4.24M
-67.58%3.74M
-67.58%3.74M
12.07%9.6M
-Current capital lease obligation
801.63%96.85K
117.92%93.06K
20.27%89.32K
20.27%89.32K
-37.69%85.64K
-93.79%10.74K
-76.25%42.7K
-48.04%74.27K
-48.04%74.27K
-55.41%137.45K
Current deferred liabilities
-42.02%364.93K
-52.45%384.25K
-77.03%382.58K
-77.03%382.58K
-78.48%504.71K
-54.77%629.42K
-36.15%808.05K
162.84%1.67M
162.84%1.67M
73.87%2.35M
Other current liabilities
-61.02%627.78K
-42.46%1.03M
-91.28%833.62K
-91.28%833.62K
-96.43%100K
-26.60%1.61M
-80.63%1.79M
-39.77%9.56M
-39.77%9.56M
-79.66%2.8M
Current liabilities
-19.56%8.96M
23.04%15.75M
-41.28%12.66M
-41.28%12.66M
-46.09%11.47M
-41.73%11.14M
-51.60%12.8M
-32.33%21.56M
-32.33%21.56M
-24.54%21.27M
Non current liabilities
Long term debt and capital lease obligation
--504.06K
--163.16K
-49.14%920.85K
-49.14%920.85K
-66.13%840.9K
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-33.86%1.81M
-33.86%1.81M
-2.56%2.48M
-Long term debt
--369.07K
----
-59.69%729.86K
-59.69%729.86K
-74.93%622.43K
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-30.67%1.81M
-30.67%1.81M
-2.56%2.48M
-Long term capital lease obligation
--135K
--163.16K
--190.99K
--190.99K
--218.47K
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--0
--0
--0
Derivative product liabilities
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--0
--0
--0
--0
--0
1,765.18%3.32M
1,765.18%3.32M
-51.26%1.25M
Preferred securities outside stock equity
--0
--0
--0
--0
--0
85.72%12.88M
106.98%14.35M
151.95%17.47M
151.95%17.47M
1,019.63%6.93M
Total non current liabilities
-96.09%504.06K
-98.86%163.16K
-95.95%920.85K
-95.95%920.85K
-92.11%840.9K
12.13%12.88M
50.70%14.35M
130.26%22.75M
130.26%22.75M
86.16%10.66M
Total liabilities
-60.59%9.46M
-41.38%15.92M
-69.35%13.58M
-69.35%13.58M
-61.46%12.31M
-21.52%24.01M
-24.52%27.15M
6.16%44.31M
6.16%44.31M
-5.84%31.93M
Shareholders'equity
Share capital
530,269.19%12.62M
553,784.24%12.62M
766,919.82%12.62M
766,919.82%12.62M
97.12%12.62M
-99.96%2.38K
-99.96%2.28K
-99.98%1.65K
-99.98%1.65K
403.48%6.4M
-common stock
1.13%2.41K
5.62%2.41K
45.84%2.4K
45.84%2.4K
281.86%2.38K
315.18%2.38K
343.19%2.28K
256.06%1.65K
256.06%1.65K
75.49%623
-Preferred stock
--12.62M
--12.62M
--12.62M
--12.62M
97.10%12.62M
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--0
--0
403.57%6.4M
Retained earnings
-12.33%-42.17M
-39.83%-46.96M
-45.18%-46.55M
-45.18%-46.55M
-624.51%-39.58M
-1,289.59%-37.54M
-316.31%-33.58M
-146.15%-32.06M
-146.15%-32.06M
38.99%-5.46M
Paid-in capital
8.32%32.02M
18.57%31.37M
53.30%31.18M
53.30%31.18M
157.06%30.77M
164.80%29.56M
164.49%26.46M
135.65%20.34M
135.65%20.34M
25.61%11.97M
Total stockholders'equity
130.91%2.47M
58.28%-2.97M
76.54%-2.75M
76.54%-2.75M
-70.54%3.8M
-153.67%-7.98M
-185.44%-7.12M
-617.31%-11.72M
-617.31%-11.72M
599.28%12.91M
Noncontrolling interests
----
----
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--0
--0
--0
--0
--0
--0
Total equity
130.91%2.47M
58.28%-2.97M
76.54%-2.75M
76.54%-2.75M
-70.54%3.8M
-153.67%-7.98M
-185.44%-7.12M
-378.03%-11.72M
-378.03%-11.72M
254.46%12.91M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
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(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 247.77%4.19M-73.05%263.62K-48.64%333.36K-48.64%333.36K-59.51%347.57K-38.83%1.2M-11.02%978.24K27.66%649.03K27.66%649.03K-62.09%858.46K
-Cash and cash equivalents 247.77%4.19M-73.05%263.62K-48.64%333.36K-48.64%333.36K-59.51%347.57K-38.83%1.2M-11.02%978.24K27.66%649.03K27.66%649.03K-62.09%858.46K
Receivables -58.97%1.37M-36.29%4.48M-41.55%2.29M-41.55%2.29M-52.80%4.13M-59.54%3.35M-9.53%7.04M-50.69%3.93M-50.69%3.93M7.32%8.74M
-Accounts receivable -61.15%1.3M-36.29%4.48M-41.55%2.29M-41.55%2.29M-52.80%4.13M-59.54%3.35M-9.53%7.04M-50.69%3.93M-50.69%3.93M17.12%8.74M
-Other receivables --73K------------------------------------
Prepaid assets ------------------------------------172.89%1.17M
Other current assets -37.88%213.8K-38.76%312.25K-86.76%117.03K-86.76%117.03K--382.24K--344.16K--509.88K70.36%883.86K70.36%883.86K----
Total current assets 17.89%5.77M-40.66%5.06M-74.28%2.74M-74.28%2.74M-54.93%4.86M-55.99%4.9M-12.22%8.53M-3.63%10.67M-3.63%10.67M-0.62%10.77M
Non current assets
Net PPE -14.59%1.14M-19.69%1.23M-18.84%1.3M-18.84%1.3M21.79%1.62M-4.74%1.33M4.06%1.53M6.66%1.61M6.66%1.61M116.90%1.33M
-Gross PPE 2.10%1.74M-4.77%1.77M-6.30%1.78M-6.30%1.78M26.66%2.01M4.99%1.71M11.63%1.86M14.06%1.9M14.06%1.9M44.46%1.59M
-Accumulated depreciation -61.74%-604.06K-65.01%-540.41K-62.08%-477.76K-62.08%-477.76K-51.70%-392.18K-65.36%-373.48K-69.15%-327.51K-83.45%-294.76K-83.45%-294.76K46.83%-258.52K
Goodwill and other intangible assets -48.84%5.02M-33.26%6.66M-46.87%6.78M-46.87%6.78M-70.57%9.63M-70.23%9.8M-69.89%9.97M-61.69%12.77M-61.69%12.77M30.79%32.74M
-Goodwill -66.47%1.81M-41.50%3.16M-60.61%3.16M-60.61%3.16M-75.08%5.41M-75.08%5.41M-75.08%5.41M-63.00%8.03M-63.00%8.03M15.95%21.7M
-Other intangible assets -27.18%3.2M-23.50%3.49M-23.59%3.62M-23.59%3.62M-61.70%4.23M-60.86%4.4M-60.05%4.57M-59.26%4.74M-59.26%4.74M74.72%11.04M
Other non current assets ----------------------------14,252.28%7.55M14,252.28%7.55M----
Total non current assets -44.74%6.16M-31.45%7.89M-63.12%8.09M-63.12%8.09M-66.97%11.25M-67.56%11.14M-66.75%11.51M-37.15%21.93M-37.15%21.93M27.52%34.07M
Total assets -25.61%11.93M-35.37%12.95M-66.77%10.83M-66.77%10.83M-64.07%16.11M-64.73%16.04M-54.80%20.03M-29.08%32.59M-29.08%32.59M19.40%44.84M
Liabilities
Current liabilities
Current debt and capital lease obligation -49.02%2.28M75.64%7.52M31.90%5.03M31.90%5.03M-43.99%5.45M-55.57%4.47M-63.24%4.28M-67.35%3.81M-67.35%3.81M9.72%9.73M
-Current debt -51.07%2.18M75.22%7.43M32.13%4.94M32.13%4.94M-44.08%5.37M-54.91%4.46M-63.04%4.24M-67.58%3.74M-67.58%3.74M12.07%9.6M
-Current capital lease obligation 801.63%96.85K117.92%93.06K20.27%89.32K20.27%89.32K-37.69%85.64K-93.79%10.74K-76.25%42.7K-48.04%74.27K-48.04%74.27K-55.41%137.45K
Current deferred liabilities -42.02%364.93K-52.45%384.25K-77.03%382.58K-77.03%382.58K-78.48%504.71K-54.77%629.42K-36.15%808.05K162.84%1.67M162.84%1.67M73.87%2.35M
Other current liabilities -61.02%627.78K-42.46%1.03M-91.28%833.62K-91.28%833.62K-96.43%100K-26.60%1.61M-80.63%1.79M-39.77%9.56M-39.77%9.56M-79.66%2.8M
Current liabilities -19.56%8.96M23.04%15.75M-41.28%12.66M-41.28%12.66M-46.09%11.47M-41.73%11.14M-51.60%12.8M-32.33%21.56M-32.33%21.56M-24.54%21.27M
Non current liabilities
Long term debt and capital lease obligation --504.06K--163.16K-49.14%920.85K-49.14%920.85K-66.13%840.9K---------33.86%1.81M-33.86%1.81M-2.56%2.48M
-Long term debt --369.07K-----59.69%729.86K-59.69%729.86K-74.93%622.43K---------30.67%1.81M-30.67%1.81M-2.56%2.48M
-Long term capital lease obligation --135K--163.16K--190.99K--190.99K--218.47K----------0--0--0
Derivative product liabilities ----------0--0--0--0--01,765.18%3.32M1,765.18%3.32M-51.26%1.25M
Preferred securities outside stock equity --0--0--0--0--085.72%12.88M106.98%14.35M151.95%17.47M151.95%17.47M1,019.63%6.93M
Total non current liabilities -96.09%504.06K-98.86%163.16K-95.95%920.85K-95.95%920.85K-92.11%840.9K12.13%12.88M50.70%14.35M130.26%22.75M130.26%22.75M86.16%10.66M
Total liabilities -60.59%9.46M-41.38%15.92M-69.35%13.58M-69.35%13.58M-61.46%12.31M-21.52%24.01M-24.52%27.15M6.16%44.31M6.16%44.31M-5.84%31.93M
Shareholders'equity
Share capital 530,269.19%12.62M553,784.24%12.62M766,919.82%12.62M766,919.82%12.62M97.12%12.62M-99.96%2.38K-99.96%2.28K-99.98%1.65K-99.98%1.65K403.48%6.4M
-common stock 1.13%2.41K5.62%2.41K45.84%2.4K45.84%2.4K281.86%2.38K315.18%2.38K343.19%2.28K256.06%1.65K256.06%1.65K75.49%623
-Preferred stock --12.62M--12.62M--12.62M--12.62M97.10%12.62M----------0--0403.57%6.4M
Retained earnings -12.33%-42.17M-39.83%-46.96M-45.18%-46.55M-45.18%-46.55M-624.51%-39.58M-1,289.59%-37.54M-316.31%-33.58M-146.15%-32.06M-146.15%-32.06M38.99%-5.46M
Paid-in capital 8.32%32.02M18.57%31.37M53.30%31.18M53.30%31.18M157.06%30.77M164.80%29.56M164.49%26.46M135.65%20.34M135.65%20.34M25.61%11.97M
Total stockholders'equity 130.91%2.47M58.28%-2.97M76.54%-2.75M76.54%-2.75M-70.54%3.8M-153.67%-7.98M-185.44%-7.12M-617.31%-11.72M-617.31%-11.72M599.28%12.91M
Noncontrolling interests ------------------0--0--0--0--0--0
Total equity 130.91%2.47M58.28%-2.97M76.54%-2.75M76.54%-2.75M-70.54%3.8M-153.67%-7.98M-185.44%-7.12M-378.03%-11.72M-378.03%-11.72M254.46%12.91M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

No Data

Price Target

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Heat List
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