(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 | ||||||||||
Cash cash equivalents and federal funds sold | -57.44%105.93K | 430.17%398.64K | 1,534.15%1.69M | 1,534.15%1.69M | -75.48%133.15K | 111.59%248.87K | -48.27%75.19K | -27.36%103.54K | -27.36%103.54K | 395.00%542.98K |
-Cash and cash equivalents | -57.44%105.93K | 15.83%87.1K | 0.66%104.22K | 0.66%104.22K | 21.36%133.15K | 111.59%248.87K | -48.27%75.19K | -27.36%103.54K | -27.36%103.54K | 0.01%109.71K |
-Restricted cash and investments | --0 | --311.55K | --1.59M | --1.59M | ---- | ---- | ---- | --0 | --0 | --433.27K |
Receivables | 16.83%1.49M | 20.32%1.51M | 2.38%1.4M | 2.38%1.4M | 19.18%1.35M | 21.09%1.27M | 22.37%1.26M | 42.71%1.36M | 42.71%1.36M | 13.74%1.13M |
-Accounts receivable | 16.83%1.49M | 20.32%1.51M | 2.38%1.4M | 2.38%1.4M | 19.18%1.35M | 21.09%1.27M | 22.37%1.26M | 42.71%1.36M | 42.71%1.36M | 13.74%1.13M |
Net loan | -4.23%66.86M | 0.90%72.6M | -1.93%73.05M | -1.93%73.05M | -2.64%70.78M | 0.73%69.81M | 5.13%71.95M | 13.34%74.48M | 13.34%74.48M | 35.70%72.7M |
-Gross loan | -4.23%66.86M | 0.90%72.6M | -1.93%73.05M | -1.93%73.05M | -2.64%70.78M | 0.73%69.81M | 5.13%71.95M | 13.34%74.48M | 13.34%74.48M | 35.70%72.7M |
Net PPE | -23.15%180.45K | -22.07%193.65K | -20.92%207.36K | -20.92%207.36K | -19.88%221.08K | -18.94%234.79K | -18.08%248.51K | -17.30%262.22K | -17.30%262.22K | -16.58%275.94K |
-Gross PPE | -23.15%180.45K | -22.07%193.65K | -20.92%207.36K | -20.92%207.36K | -19.88%221.08K | -18.94%234.79K | -18.08%248.51K | -17.30%262.22K | -17.30%262.22K | -16.58%275.94K |
Other assets | -0.37%134.32K | -1.23%97.73K | 6.83%63.64K | 6.83%63.64K | 6.19%100.03K | 4.08%134.82K | 8.07%98.95K | -8.00%59.57K | -8.00%59.57K | 0.87%94.2K |
Total assets | -4.11%68.79M | 1.57%74.83M | 0.20%76.43M | 0.20%76.43M | -2.88%72.62M | 1.15%71.74M | 5.17%73.67M | 13.50%76.28M | 13.50%76.28M | 35.65%74.77M |
Liabilities | ||||||||||
Payables | 2.40%1.56M | 1.55%1.58M | -8.36%1.58M | -8.36%1.58M | -6.96%1.52M | -6.23%1.52M | -1.90%1.56M | 8.53%1.73M | 8.53%1.73M | 2,057.68%1.64M |
-Accounts payable | 4.54%242.25K | 0.71%263.69K | 1.87%295.29K | 1.87%295.29K | 16.89%236.19K | 25.05%231.74K | 76.66%261.83K | 88.02%289.87K | 88.02%289.87K | 166.01%202.06K |
-Dividends payable | 2.02%1.32M | 1.72%1.32M | -10.43%1.29M | -10.43%1.29M | -10.31%1.29M | -10.26%1.29M | -10.00%1.29M | 0.00%1.44M | 0.00%1.44M | --1.44M |
Current debt and capital lease obligation | -16.09%17.35M | 3.85%23.45M | 0.63%25.15M | 0.63%25.15M | -8.26%21.43M | 7.25%20.67M | 22.79%22.58M | 59.75%24.99M | 59.75%24.99M | 570.51%23.36M |
-Current debt | -16.09%17.35M | 3.85%23.45M | 0.63%25.15M | 0.63%25.15M | -8.26%21.43M | 7.25%20.67M | 22.79%22.58M | 59.75%24.99M | 59.75%24.99M | 570.51%23.36M |
Long term debt and capital lease obligation | 0.07%6.06M | 0.07%6.05M | 0.37%6.05M | 0.37%6.05M | 0.38%6.04M | 0.68%6.06M | 0.69%6.05M | 0.41%6.03M | 0.41%6.03M | 0.41%6.02M |
-Long term debt | 0.99%5.87M | 0.99%5.85M | 1.31%5.83M | 1.31%5.83M | 1.31%5.81M | 1.62%5.81M | 1.63%5.79M | 1.32%5.75M | 1.32%5.75M | 1.33%5.73M |
-Long term capital lease obligation | -21.63%193.8K | -20.55%206.93K | -19.36%220.53K | -19.36%220.53K | -18.30%233.98K | -17.33%247.29K | -16.46%260.46K | -15.66%273.49K | -15.66%273.49K | -14.92%286.38K |
Other liabilities | -5.96%646.03K | 0.64%655.02K | 7.46%719.02K | 7.46%719.02K | 4.39%670.3K | -3.60%686.98K | -5.43%650.86K | 15.28%669.13K | 15.28%669.13K | 41.56%642.11K |
Total liabilities | -11.49%25.61M | 2.93%31.74M | 0.26%33.5M | 0.26%33.5M | -6.29%29.67M | 4.75%28.93M | 15.61%30.84M | 40.29%33.42M | 40.29%33.42M | 216.34%31.66M |
Shareholders'equity | ||||||||||
Share capital | 0.00%11.76K | 0.00%11.76K | 0.00%11.76K | 0.00%11.76K | 0.00%11.76K | 0.00%11.76K | 0.00%11.76K | 0.00%11.76K | 0.00%11.76K | 0.00%11.76K |
-common stock | 0.00%11.76K | 0.00%11.76K | 0.00%11.76K | 0.00%11.76K | 0.00%11.76K | 0.00%11.76K | 0.00%11.76K | 0.00%11.76K | 0.00%11.76K | 0.00%11.76K |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Paid-in capital | 0.03%45.56M | 0.03%45.55M | 0.03%45.55M | 0.03%45.55M | 0.03%45.55M | 0.03%45.54M | 0.03%45.54M | 0.03%45.54M | 0.03%45.54M | 0.03%45.53M |
Retained earnings | 26.50%-1.31M | 26.69%-1.41M | 16.86%-1.57M | 16.86%-1.57M | 0.82%-1.63M | -23.86%-1.79M | -40.94%-1.92M | -39.70%-1.89M | -39.70%-1.89M | -538.30%-1.64M |
Less: Treasury stock | 11.07%1.07M | 33.98%1.07M | 32.75%1.06M | 32.75%1.06M | 23.24%984.63K | 20.63%963.75K | 0.00%798.94K | 0.00%798.94K | 0.00%798.94K | 0.00%798.94K |
Total stockholders'equity | 0.89%43.18M | 0.59%43.09M | 0.16%42.93M | 0.16%42.93M | -0.37%42.94M | -1.15%42.8M | -1.25%42.83M | -1.20%42.86M | -1.20%42.86M | -4.44%43.1M |
Total equity | 0.89%43.18M | 0.59%43.09M | 0.16%42.93M | 0.16%42.93M | -0.37%42.94M | -1.15%42.8M | -1.25%42.83M | -1.20%42.86M | -1.20%42.86M | -4.44%43.1M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Audit Opinions | -- | -- | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- | -- |
No Data