US Stock MarketDetailed Quotes

INTVD INTEGRATED VENTURES INC

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  • 1.850
  • 0.0000.00%
15min DelayTrading May 25 16:00 ET
5.29MMarket Cap-501P/E (TTM)

INTEGRATED VENTURES INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
(Q1)Sep 30, 2022
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(Q3)Mar 31, 2022
(Q2)Dec 31, 2021
(Q1)Sep 30, 2021
(FY)Jun 30, 2021
(Q4)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
633.66%298.81K
-44.20%86.89K
-79.47%141.09K
-76.63%490.28K
-76.63%490.28K
-59.26%40.73K
193.54%155.73K
571.00%687.34K
31,323.78%2.1M
31,323.78%2.1M
-Cash and cash equivalents
633.66%298.81K
-44.20%86.89K
-79.47%141.09K
-76.63%490.28K
-76.63%490.28K
-59.26%40.73K
193.54%155.73K
571.00%687.34K
31,323.78%2.1M
31,323.78%2.1M
Prepaid assets
----
----
-83.39%10.12K
-98.73%2.5K
-98.73%2.5K
-66.67%2.5K
351.57%14.68K
837.32%60.93K
5,980.62%197.62K
5,980.62%197.62K
Other current assets
--11.38K
--6.31K
----
----
----
----
----
----
----
----
Total current assets
617.55%310.19K
-45.31%93.2K
-79.79%151.21K
-78.53%492.78K
-78.53%492.78K
-98.36%43.23K
202.66%170.41K
586.89%748.26K
23,025.01%2.3M
23,025.01%2.3M
Non current assets
Net PPE
-18.59%12.87M
-4.70%14.8M
19.53%15.19M
44.48%15.64M
44.48%15.64M
1,489.78%15.81M
2,936.27%15.53M
3,401.52%12.71M
2,287.33%10.82M
2,287.33%10.82M
-Gross PPE
-9.44%15.79M
2.69%17.23M
27.32%17.23M
52.83%17.34M
52.83%17.34M
1,067.78%17.44M
1,766.84%16.78M
1,881.37%13.53M
801.22%11.34M
801.22%11.34M
-Accumulated depreciation
-79.30%-2.92M
-94.81%-2.43M
-147.85%-2.04M
-226.30%-1.7M
-226.30%-1.7M
-226.78%-1.63M
-221.89%-1.25M
-156.99%-822.27K
35.26%-521.42K
35.26%-521.42K
Investments and advances
11.02%333.5K
-74.53%117.27K
-97.64%29.78K
-70.29%72.89K
-70.29%72.89K
-80.17%300.4K
271.42%460.49K
1,306.36%1.26M
196.08%245.32K
196.08%245.32K
Non current prepaid assets
82,592.43%578.85K
82,592.43%578.85K
82,592.43%578.85K
11,163.86%78.85K
11,163.86%78.85K
0.00%700
0.00%700
0.00%700
0.00%700
0.00%700
Total non current assets
-14.45%13.78M
-3.10%15.5M
13.08%15.8M
42.64%15.79M
42.64%15.79M
541.66%16.11M
2,413.72%15.99M
2,981.56%13.97M
1,961.63%11.07M
1,961.63%11.07M
Total assets
-12.75%14.09M
-3.54%15.59M
8.36%15.95M
21.83%16.28M
21.83%16.28M
213.83%16.15M
2,233.95%16.16M
2,517.66%14.72M
2,343.93%13.36M
2,343.93%13.36M
Liabilities
Current liabilities
Payables
189.76%2.28M
283.16%2.24M
262.29%1.46M
366.66%1.17M
366.66%1.17M
190.80%785.88K
213.49%585.41K
88.87%403.39K
20.83%250.55K
20.83%250.55K
-accounts payable
65.02%176.69K
28.00%130.6K
225.70%87.11K
105.29%55.96K
105.29%55.96K
-27.05%107.07K
32.38%102.04K
-73.35%26.75K
-67.72%27.26K
-67.72%27.26K
-Dividends payable
139.71%1.44M
231.93%1.53M
175.85%897.74K
283.89%744.49K
283.89%744.49K
805.72%600.6K
--460.96K
--325.44K
--193.93K
--193.93K
-Due to related parties current
744.86%660.78K
2,498.13%582.4K
830.81%476.56K
1,156.12%368.76K
1,156.12%368.76K
36.81%78.21K
-79.56%22.42K
-54.78%51.2K
-76.11%29.36K
-76.11%29.36K
Current accrued expenses
6,797.27%98.49K
9,213.41%120.89K
2,093.72%65K
107.99%9.11K
107.99%9.11K
-79.18%1.43K
-94.72%1.3K
-87.47%2.96K
-82.67%4.38K
-82.67%4.38K
Current debt and capital lease obligation
--500K
--491.36K
5,681.35%438.4K
1,912.41%385.44K
1,912.41%385.44K
----
----
-96.58%7.58K
-92.60%19.15K
-92.60%19.15K
-Current debt
--500K
--491.36K
5,681.35%438.4K
1,912.41%385.44K
1,912.41%385.44K
----
----
-96.58%7.58K
-92.60%19.15K
-92.60%19.15K
Current liabilities
265.25%2.88M
386.66%2.86M
374.67%1.96M
470.54%1.56M
470.54%1.56M
153.17%787.3K
5.09%586.71K
-38.05%413.93K
-58.25%274.08K
-58.25%274.08K
Non current liabilities
Preferred securities outside stock equity
----
----
0.00%4.13M
0.00%4.13M
0.00%4.13M
0.00%4.13M
--4.13M
--4.13M
--4.13M
--4.13M
Total non current liabilities
--0
--0
0.00%4.13M
0.00%4.13M
0.00%4.13M
0.00%4.13M
1,157.69%4.13M
2,719.05%4.13M
--4.13M
--4.13M
Total liabilities
-41.46%2.88M
-39.40%2.86M
34.17%6.09M
29.32%5.69M
29.32%5.69M
10.74%4.91M
431.63%4.71M
457.24%4.54M
570.16%4.4M
570.16%4.4M
Shareholders'equity
Share capital
1,900.21%4.13M
2,020.63%4.38M
20.30%248.02K
6.61%208.65K
6.61%208.65K
24.60%206.4K
54.03%206.4K
75.55%206.17K
88.02%195.72K
88.02%195.72K
-common stock
-98.64%2.78K
22.19%250.67K
20.39%246.76K
6.56%207.25K
6.56%207.25K
24.77%205.15K
54.17%205.15K
75.92%204.96K
88.52%194.49K
88.52%194.49K
-Preferred stock
329,161.77%4.13M
329,214.68%4.13M
4.99%1.26K
14.34%1.4K
14.34%1.4K
2.12%1.25K
34.73%1.25K
29.35%1.2K
31.94%1.23K
31.94%1.23K
Retained earnings
-13.48%-50.75M
-9.39%-48.69M
-7.83%-47.29M
-2.48%-46.19M
-2.48%-46.19M
-12.68%-44.72M
-96.48%-44.51M
-95.34%-43.86M
-104.29%-45.08M
-104.29%-45.08M
Paid-in capital
3.74%57.84M
2.32%57.05M
5.70%56.91M
16.98%56.58M
16.98%56.58M
38.57%55.76M
149.73%55.76M
143.77%53.83M
121.34%48.37M
121.34%48.37M
Other equity interest
----
----
----
----
----
----
----
----
--5.48M
--5.48M
Total stockholders'equity
-0.21%11.21M
11.21%12.73M
-3.15%9.86M
18.15%10.59M
18.15%10.59M
1,482.78%11.24M
6,009.20%11.45M
4,136.52%10.18M
8,279.41%8.96M
8,279.41%8.96M
Total equity
-0.21%11.21M
11.21%12.73M
-3.15%9.86M
18.15%10.59M
18.15%10.59M
1,482.78%11.24M
6,009.20%11.45M
4,136.52%10.18M
8,279.41%8.96M
8,279.41%8.96M
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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(Q3)Mar 31, 2023(Q2)Dec 31, 2022(Q1)Sep 30, 2022(FY)Jun 30, 2022(Q4)Jun 30, 2022(Q3)Mar 31, 2022(Q2)Dec 31, 2021(Q1)Sep 30, 2021(FY)Jun 30, 2021(Q4)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 633.66%298.81K-44.20%86.89K-79.47%141.09K-76.63%490.28K-76.63%490.28K-59.26%40.73K193.54%155.73K571.00%687.34K31,323.78%2.1M31,323.78%2.1M
-Cash and cash equivalents 633.66%298.81K-44.20%86.89K-79.47%141.09K-76.63%490.28K-76.63%490.28K-59.26%40.73K193.54%155.73K571.00%687.34K31,323.78%2.1M31,323.78%2.1M
Prepaid assets ---------83.39%10.12K-98.73%2.5K-98.73%2.5K-66.67%2.5K351.57%14.68K837.32%60.93K5,980.62%197.62K5,980.62%197.62K
Other current assets --11.38K--6.31K--------------------------------
Total current assets 617.55%310.19K-45.31%93.2K-79.79%151.21K-78.53%492.78K-78.53%492.78K-98.36%43.23K202.66%170.41K586.89%748.26K23,025.01%2.3M23,025.01%2.3M
Non current assets
Net PPE -18.59%12.87M-4.70%14.8M19.53%15.19M44.48%15.64M44.48%15.64M1,489.78%15.81M2,936.27%15.53M3,401.52%12.71M2,287.33%10.82M2,287.33%10.82M
-Gross PPE -9.44%15.79M2.69%17.23M27.32%17.23M52.83%17.34M52.83%17.34M1,067.78%17.44M1,766.84%16.78M1,881.37%13.53M801.22%11.34M801.22%11.34M
-Accumulated depreciation -79.30%-2.92M-94.81%-2.43M-147.85%-2.04M-226.30%-1.7M-226.30%-1.7M-226.78%-1.63M-221.89%-1.25M-156.99%-822.27K35.26%-521.42K35.26%-521.42K
Investments and advances 11.02%333.5K-74.53%117.27K-97.64%29.78K-70.29%72.89K-70.29%72.89K-80.17%300.4K271.42%460.49K1,306.36%1.26M196.08%245.32K196.08%245.32K
Non current prepaid assets 82,592.43%578.85K82,592.43%578.85K82,592.43%578.85K11,163.86%78.85K11,163.86%78.85K0.00%7000.00%7000.00%7000.00%7000.00%700
Total non current assets -14.45%13.78M-3.10%15.5M13.08%15.8M42.64%15.79M42.64%15.79M541.66%16.11M2,413.72%15.99M2,981.56%13.97M1,961.63%11.07M1,961.63%11.07M
Total assets -12.75%14.09M-3.54%15.59M8.36%15.95M21.83%16.28M21.83%16.28M213.83%16.15M2,233.95%16.16M2,517.66%14.72M2,343.93%13.36M2,343.93%13.36M
Liabilities
Current liabilities
Payables 189.76%2.28M283.16%2.24M262.29%1.46M366.66%1.17M366.66%1.17M190.80%785.88K213.49%585.41K88.87%403.39K20.83%250.55K20.83%250.55K
-accounts payable 65.02%176.69K28.00%130.6K225.70%87.11K105.29%55.96K105.29%55.96K-27.05%107.07K32.38%102.04K-73.35%26.75K-67.72%27.26K-67.72%27.26K
-Dividends payable 139.71%1.44M231.93%1.53M175.85%897.74K283.89%744.49K283.89%744.49K805.72%600.6K--460.96K--325.44K--193.93K--193.93K
-Due to related parties current 744.86%660.78K2,498.13%582.4K830.81%476.56K1,156.12%368.76K1,156.12%368.76K36.81%78.21K-79.56%22.42K-54.78%51.2K-76.11%29.36K-76.11%29.36K
Current accrued expenses 6,797.27%98.49K9,213.41%120.89K2,093.72%65K107.99%9.11K107.99%9.11K-79.18%1.43K-94.72%1.3K-87.47%2.96K-82.67%4.38K-82.67%4.38K
Current debt and capital lease obligation --500K--491.36K5,681.35%438.4K1,912.41%385.44K1,912.41%385.44K---------96.58%7.58K-92.60%19.15K-92.60%19.15K
-Current debt --500K--491.36K5,681.35%438.4K1,912.41%385.44K1,912.41%385.44K---------96.58%7.58K-92.60%19.15K-92.60%19.15K
Current liabilities 265.25%2.88M386.66%2.86M374.67%1.96M470.54%1.56M470.54%1.56M153.17%787.3K5.09%586.71K-38.05%413.93K-58.25%274.08K-58.25%274.08K
Non current liabilities
Preferred securities outside stock equity --------0.00%4.13M0.00%4.13M0.00%4.13M0.00%4.13M--4.13M--4.13M--4.13M--4.13M
Total non current liabilities --0--00.00%4.13M0.00%4.13M0.00%4.13M0.00%4.13M1,157.69%4.13M2,719.05%4.13M--4.13M--4.13M
Total liabilities -41.46%2.88M-39.40%2.86M34.17%6.09M29.32%5.69M29.32%5.69M10.74%4.91M431.63%4.71M457.24%4.54M570.16%4.4M570.16%4.4M
Shareholders'equity
Share capital 1,900.21%4.13M2,020.63%4.38M20.30%248.02K6.61%208.65K6.61%208.65K24.60%206.4K54.03%206.4K75.55%206.17K88.02%195.72K88.02%195.72K
-common stock -98.64%2.78K22.19%250.67K20.39%246.76K6.56%207.25K6.56%207.25K24.77%205.15K54.17%205.15K75.92%204.96K88.52%194.49K88.52%194.49K
-Preferred stock 329,161.77%4.13M329,214.68%4.13M4.99%1.26K14.34%1.4K14.34%1.4K2.12%1.25K34.73%1.25K29.35%1.2K31.94%1.23K31.94%1.23K
Retained earnings -13.48%-50.75M-9.39%-48.69M-7.83%-47.29M-2.48%-46.19M-2.48%-46.19M-12.68%-44.72M-96.48%-44.51M-95.34%-43.86M-104.29%-45.08M-104.29%-45.08M
Paid-in capital 3.74%57.84M2.32%57.05M5.70%56.91M16.98%56.58M16.98%56.58M38.57%55.76M149.73%55.76M143.77%53.83M121.34%48.37M121.34%48.37M
Other equity interest ----------------------------------5.48M--5.48M
Total stockholders'equity -0.21%11.21M11.21%12.73M-3.15%9.86M18.15%10.59M18.15%10.59M1,482.78%11.24M6,009.20%11.45M4,136.52%10.18M8,279.41%8.96M8,279.41%8.96M
Total equity -0.21%11.21M11.21%12.73M-3.15%9.86M18.15%10.59M18.15%10.59M1,482.78%11.24M6,009.20%11.45M4,136.52%10.18M8,279.41%8.96M8,279.41%8.96M
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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