CA Stock MarketDetailed Quotes

POND Pond Technologies Holdings Inc

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  • 0.015
  • 0.0000.00%
15min DelayMarket Closed Dec 27 16:00 ET
1.17MMarket Cap-0.38P/E (TTM)

Pond Technologies Holdings Inc 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
55.71%109K
-14.29%102K
-51.57%123K
-57.14%84K
-57.14%84K
-84.98%70K
-81.26%119K
-72.78%254K
-81.63%196K
-81.63%196K
-Cash and cash equivalents
55.71%109K
-14.29%102K
-51.57%123K
-57.14%84K
-57.14%84K
-84.98%70K
-81.26%119K
-72.78%254K
-81.63%196K
-81.63%196K
Receivables
3.70%280K
7.01%397K
-84.91%155K
76.60%830K
76.60%830K
-72.02%270K
-21.40%371K
-16.77%1.03M
7.06%470K
7.06%470K
-Accounts receivable
-6.72%222K
3.89%347K
-85.89%140K
86.21%810K
86.21%810K
-74.60%238K
-22.69%334K
-14.92%992K
6.36%435K
6.36%435K
-Other receivables
81.25%58K
35.14%50K
-57.14%15K
-42.86%20K
-42.86%20K
14.29%32K
-7.50%37K
-48.53%35K
16.67%35K
16.67%35K
Inventory
-5.19%256K
0.70%289K
-34.81%264K
-21.56%302K
-21.56%302K
-28.19%270K
-27.53%287K
-1.70%405K
89.66%385K
89.66%385K
Current deferred assets
----
----
----
----
----
----
-24.82%612K
15.70%597K
----
----
Other current assets
38.83%143K
-8.39%142K
-27.86%101K
-41.98%94K
-41.98%94K
-52.09%103K
-49.01%155K
-70.02%140K
-8.47%162K
-8.47%162K
Total current assets
10.52%788K
-39.77%930K
-73.46%643K
8.00%1.31M
8.00%1.31M
-74.34%713K
-41.09%1.54M
-31.98%2.42M
-45.85%1.21M
-45.85%1.21M
Non current assets
Net PPE
-18.35%992K
-30.85%890K
-19.37%1.1M
-30.28%1M
-30.28%1M
-14.92%1.22M
6.36%1.29M
6.18%1.36M
6.90%1.44M
6.90%1.44M
-Gross PPE
2.19%3.59M
-2.18%3.46M
2.16%3.64M
-3.58%3.51M
-3.58%3.51M
-1.76%3.51M
6.76%3.54M
6.68%3.56M
8.25%3.64M
8.25%3.64M
-Accumulated depreciation
-13.05%-2.6M
-14.22%-2.57M
-15.45%-2.54M
-13.94%-2.5M
-13.94%-2.5M
-6.98%-2.3M
-6.99%-2.25M
-7.00%-2.2M
-9.15%-2.2M
-9.15%-2.2M
Goodwill and other intangible assets
-14.08%995K
-16.19%1.03M
-18.14%1.07M
-19.90%1.1M
-19.90%1.1M
-20.79%1.16M
-19.88%1.23M
-28.56%1.3M
-17.99%1.37M
-17.99%1.37M
-Other intangible assets
-14.08%995K
-16.19%1.03M
-18.14%1.07M
-19.90%1.1M
-19.90%1.1M
-20.79%1.16M
-19.88%1.23M
-28.56%1.3M
-17.99%1.37M
-17.99%1.37M
Non current deferred assets
0.00%597K
--597K
--597K
-7.73%597K
-7.73%597K
--597K
----
----
--647K
--647K
Total non current assets
-13.00%2.58M
0.04%2.52M
3.69%2.76M
-21.94%2.7M
-21.94%2.7M
2.77%2.97M
-8.31%2.52M
-14.23%2.66M
14.54%3.46M
14.54%3.46M
Total assets
-12.63%3.22M
-15.08%3.45M
-36.10%3.25M
-14.15%4.01M
-14.15%4.01M
-35.05%3.68M
-24.34%4.06M
-21.19%5.08M
-11.20%4.67M
-11.20%4.67M
Liabilities
Current liabilities
Current debt and capital lease obligation
216.16%5.93M
187.27%5.46M
161.66%4.79M
116.84%4.15M
116.84%4.15M
3.59%1.88M
195.19%1.9M
255.53%1.83M
179.12%1.91M
179.12%1.91M
-Current debt
225.70%5.83M
193.92%5.36M
166.27%4.67M
120.43%4.06M
120.43%4.06M
2.87%1.79M
204.17%1.83M
290.00%1.76M
206.67%1.84M
206.67%1.84M
-Current capital lease obligation
15.29%98K
27.63%97K
55.26%118K
25.00%90K
25.00%90K
21.43%85K
72.73%76K
16.92%76K
-15.29%72K
-15.29%72K
Payables
-21.25%982K
-4.35%1.14M
-35.64%1.06M
86.19%1.52M
86.19%1.52M
27.64%1.25M
139.48%1.2M
79.22%1.65M
40.79%818K
40.79%818K
-accounts payable
-21.33%981K
-4.43%1.14M
-35.64%1.06M
86.19%1.52M
86.19%1.52M
27.77%1.25M
140.16%1.2M
79.41%1.65M
40.79%818K
40.79%818K
Current accrued expenses
13.77%1.79M
24.98%1.44M
55.73%1.18M
72.29%1.18M
72.29%1.18M
128.38%1.57M
166.59%1.15M
42.13%759K
26.77%682K
26.77%682K
Current deferred liabilities
0.00%1.57M
0.00%1.57M
0.00%1.57M
-2.36%1.57M
-2.36%1.57M
-2.30%1.57M
-10.63%1.57M
83.64%1.57M
180.49%1.61M
180.49%1.61M
Other current liabilities
--1K
--1K
---1K
----
----
----
----
----
----
----
Current liabilities
63.95%10.27M
65.26%9.61M
48.11%8.6M
67.58%8.42M
67.58%8.42M
23.21%6.26M
74.53%5.82M
105.70%5.81M
111.19%5.02M
111.19%5.02M
Non current liabilities
Long term debt and capital lease obligation
-87.09%230K
-85.55%254K
-86.20%255K
-80.70%369K
-80.70%369K
-19.07%1.78M
-50.71%1.76M
-48.38%1.85M
-46.80%1.91M
-46.80%1.91M
-Long term debt
----
----
----
-95.71%65K
-95.71%65K
-18.86%1.45M
-58.77%1.4M
-56.79%1.47M
-55.71%1.51M
-55.71%1.51M
-Long term capital lease obligation
-30.72%230K
-29.44%254K
-32.36%255K
-23.62%304K
-23.62%304K
-20.00%332K
104.55%360K
114.20%377K
126.14%398K
126.14%398K
Other non current liabilities
0.00%-1K
----
----
----
----
-200.00%-1K
100.33%1K
----
----
----
Total non current liabilities
-87.14%229K
-85.56%254K
-86.20%255K
-80.70%369K
-80.70%369K
-19.16%1.78M
-46.18%1.76M
-48.37%1.85M
-46.80%1.91M
-46.80%1.91M
Total liabilities
30.49%10.5M
30.24%9.87M
15.70%8.86M
26.69%8.79M
26.69%8.79M
10.40%8.04M
14.77%7.58M
19.58%7.66M
16.11%6.93M
16.11%6.93M
Shareholders'equity
Share capital
0.57%44.61M
9.02%44.61M
8.64%44.4M
13.45%44.4M
13.45%44.4M
14.62%44.35M
6.53%40.91M
6.59%40.87M
6.83%39.13M
6.83%39.13M
-common stock
0.57%44.61M
9.02%44.61M
8.64%44.4M
13.45%44.4M
13.45%44.4M
14.62%44.35M
6.53%40.91M
6.59%40.87M
6.83%39.13M
6.83%39.13M
Retained earnings
-5.72%-55.9M
-5.85%-55.02M
-6.84%-54.2M
-6.97%-53.34M
-6.97%-53.34M
-8.56%-52.88M
-8.48%-51.98M
-9.02%-50.73M
-9.81%-49.87M
-9.81%-49.87M
Other equity interest
-3.58%4.02M
-47.09%4M
-42.54%4.18M
-50.81%4.17M
-50.81%4.17M
-50.38%4.17M
-8.76%7.55M
-11.54%7.28M
4.98%8.47M
4.98%8.47M
Total stockholders'equity
-66.90%-7.28M
-82.54%-6.42M
-117.81%-5.61M
-111.00%-4.78M
-111.00%-4.78M
-169.76%-4.36M
-184.55%-3.52M
-6,093.02%-2.58M
-217.84%-2.26M
-217.84%-2.26M
Total equity
-66.90%-7.28M
-82.54%-6.42M
-117.81%-5.61M
-111.00%-4.78M
-111.00%-4.78M
-169.76%-4.36M
-184.55%-3.52M
-6,093.02%-2.58M
-217.84%-2.26M
-217.84%-2.26M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(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 55.71%109K-14.29%102K-51.57%123K-57.14%84K-57.14%84K-84.98%70K-81.26%119K-72.78%254K-81.63%196K-81.63%196K
-Cash and cash equivalents 55.71%109K-14.29%102K-51.57%123K-57.14%84K-57.14%84K-84.98%70K-81.26%119K-72.78%254K-81.63%196K-81.63%196K
Receivables 3.70%280K7.01%397K-84.91%155K76.60%830K76.60%830K-72.02%270K-21.40%371K-16.77%1.03M7.06%470K7.06%470K
-Accounts receivable -6.72%222K3.89%347K-85.89%140K86.21%810K86.21%810K-74.60%238K-22.69%334K-14.92%992K6.36%435K6.36%435K
-Other receivables 81.25%58K35.14%50K-57.14%15K-42.86%20K-42.86%20K14.29%32K-7.50%37K-48.53%35K16.67%35K16.67%35K
Inventory -5.19%256K0.70%289K-34.81%264K-21.56%302K-21.56%302K-28.19%270K-27.53%287K-1.70%405K89.66%385K89.66%385K
Current deferred assets -------------------------24.82%612K15.70%597K--------
Other current assets 38.83%143K-8.39%142K-27.86%101K-41.98%94K-41.98%94K-52.09%103K-49.01%155K-70.02%140K-8.47%162K-8.47%162K
Total current assets 10.52%788K-39.77%930K-73.46%643K8.00%1.31M8.00%1.31M-74.34%713K-41.09%1.54M-31.98%2.42M-45.85%1.21M-45.85%1.21M
Non current assets
Net PPE -18.35%992K-30.85%890K-19.37%1.1M-30.28%1M-30.28%1M-14.92%1.22M6.36%1.29M6.18%1.36M6.90%1.44M6.90%1.44M
-Gross PPE 2.19%3.59M-2.18%3.46M2.16%3.64M-3.58%3.51M-3.58%3.51M-1.76%3.51M6.76%3.54M6.68%3.56M8.25%3.64M8.25%3.64M
-Accumulated depreciation -13.05%-2.6M-14.22%-2.57M-15.45%-2.54M-13.94%-2.5M-13.94%-2.5M-6.98%-2.3M-6.99%-2.25M-7.00%-2.2M-9.15%-2.2M-9.15%-2.2M
Goodwill and other intangible assets -14.08%995K-16.19%1.03M-18.14%1.07M-19.90%1.1M-19.90%1.1M-20.79%1.16M-19.88%1.23M-28.56%1.3M-17.99%1.37M-17.99%1.37M
-Other intangible assets -14.08%995K-16.19%1.03M-18.14%1.07M-19.90%1.1M-19.90%1.1M-20.79%1.16M-19.88%1.23M-28.56%1.3M-17.99%1.37M-17.99%1.37M
Non current deferred assets 0.00%597K--597K--597K-7.73%597K-7.73%597K--597K----------647K--647K
Total non current assets -13.00%2.58M0.04%2.52M3.69%2.76M-21.94%2.7M-21.94%2.7M2.77%2.97M-8.31%2.52M-14.23%2.66M14.54%3.46M14.54%3.46M
Total assets -12.63%3.22M-15.08%3.45M-36.10%3.25M-14.15%4.01M-14.15%4.01M-35.05%3.68M-24.34%4.06M-21.19%5.08M-11.20%4.67M-11.20%4.67M
Liabilities
Current liabilities
Current debt and capital lease obligation 216.16%5.93M187.27%5.46M161.66%4.79M116.84%4.15M116.84%4.15M3.59%1.88M195.19%1.9M255.53%1.83M179.12%1.91M179.12%1.91M
-Current debt 225.70%5.83M193.92%5.36M166.27%4.67M120.43%4.06M120.43%4.06M2.87%1.79M204.17%1.83M290.00%1.76M206.67%1.84M206.67%1.84M
-Current capital lease obligation 15.29%98K27.63%97K55.26%118K25.00%90K25.00%90K21.43%85K72.73%76K16.92%76K-15.29%72K-15.29%72K
Payables -21.25%982K-4.35%1.14M-35.64%1.06M86.19%1.52M86.19%1.52M27.64%1.25M139.48%1.2M79.22%1.65M40.79%818K40.79%818K
-accounts payable -21.33%981K-4.43%1.14M-35.64%1.06M86.19%1.52M86.19%1.52M27.77%1.25M140.16%1.2M79.41%1.65M40.79%818K40.79%818K
Current accrued expenses 13.77%1.79M24.98%1.44M55.73%1.18M72.29%1.18M72.29%1.18M128.38%1.57M166.59%1.15M42.13%759K26.77%682K26.77%682K
Current deferred liabilities 0.00%1.57M0.00%1.57M0.00%1.57M-2.36%1.57M-2.36%1.57M-2.30%1.57M-10.63%1.57M83.64%1.57M180.49%1.61M180.49%1.61M
Other current liabilities --1K--1K---1K----------------------------
Current liabilities 63.95%10.27M65.26%9.61M48.11%8.6M67.58%8.42M67.58%8.42M23.21%6.26M74.53%5.82M105.70%5.81M111.19%5.02M111.19%5.02M
Non current liabilities
Long term debt and capital lease obligation -87.09%230K-85.55%254K-86.20%255K-80.70%369K-80.70%369K-19.07%1.78M-50.71%1.76M-48.38%1.85M-46.80%1.91M-46.80%1.91M
-Long term debt -------------95.71%65K-95.71%65K-18.86%1.45M-58.77%1.4M-56.79%1.47M-55.71%1.51M-55.71%1.51M
-Long term capital lease obligation -30.72%230K-29.44%254K-32.36%255K-23.62%304K-23.62%304K-20.00%332K104.55%360K114.20%377K126.14%398K126.14%398K
Other non current liabilities 0.00%-1K-----------------200.00%-1K100.33%1K------------
Total non current liabilities -87.14%229K-85.56%254K-86.20%255K-80.70%369K-80.70%369K-19.16%1.78M-46.18%1.76M-48.37%1.85M-46.80%1.91M-46.80%1.91M
Total liabilities 30.49%10.5M30.24%9.87M15.70%8.86M26.69%8.79M26.69%8.79M10.40%8.04M14.77%7.58M19.58%7.66M16.11%6.93M16.11%6.93M
Shareholders'equity
Share capital 0.57%44.61M9.02%44.61M8.64%44.4M13.45%44.4M13.45%44.4M14.62%44.35M6.53%40.91M6.59%40.87M6.83%39.13M6.83%39.13M
-common stock 0.57%44.61M9.02%44.61M8.64%44.4M13.45%44.4M13.45%44.4M14.62%44.35M6.53%40.91M6.59%40.87M6.83%39.13M6.83%39.13M
Retained earnings -5.72%-55.9M-5.85%-55.02M-6.84%-54.2M-6.97%-53.34M-6.97%-53.34M-8.56%-52.88M-8.48%-51.98M-9.02%-50.73M-9.81%-49.87M-9.81%-49.87M
Other equity interest -3.58%4.02M-47.09%4M-42.54%4.18M-50.81%4.17M-50.81%4.17M-50.38%4.17M-8.76%7.55M-11.54%7.28M4.98%8.47M4.98%8.47M
Total stockholders'equity -66.90%-7.28M-82.54%-6.42M-117.81%-5.61M-111.00%-4.78M-111.00%-4.78M-169.76%-4.36M-184.55%-3.52M-6,093.02%-2.58M-217.84%-2.26M-217.84%-2.26M
Total equity -66.90%-7.28M-82.54%-6.42M-117.81%-5.61M-111.00%-4.78M-111.00%-4.78M-169.76%-4.36M-184.55%-3.52M-6,093.02%-2.58M-217.84%-2.26M-217.84%-2.26M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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