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PRIAF PRIME IMPACT ACQUISITION I

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  • 11.000
  • 0.0000.00%
15min DelayClose Oct 19 16:00 ET
140.16MMarket Cap-275.00P/E (TTM)

PRIME IMPACT ACQUISITION I Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-77.47%106.45K
-29.01%444.72K
-82.66%115.48K
-82.66%115.48K
-64.75%248.12K
-33.16%472.53K
-59.62%626.43K
-58.39%665.94K
--665.94K
-72.54%703.95K
-Cash and cash equivalents
-77.47%106.45K
-29.01%444.72K
-82.66%115.48K
-82.66%115.48K
-64.75%248.12K
-33.16%472.53K
-59.62%626.43K
-58.39%665.94K
--665.94K
-72.54%703.95K
Prepaid assets
-60.92%14.41K
-75.78%17.86K
-75.10%27.55K
-75.10%27.55K
-80.51%28.74K
-81.03%36.88K
-71.77%73.75K
-66.91%110.63K
--110.63K
-64.06%147.5K
Total current assets
-76.27%120.86K
-33.93%462.58K
-81.58%143.02K
-81.58%143.02K
-67.48%276.86K
-43.48%509.4K
-61.37%700.18K
-59.86%776.57K
--776.57K
-71.37%851.45K
Non current assets
Non current deferred assets
----
----
----
----
----
0.15%324.67M
0.02%324.24M
----
----
8.07%324.2M
Other non current assets
--49.48M
--48.55M
-78.48%69.78M
-78.48%69.78M
--69.41M
----
----
--324.21M
--324.21M
----
Total non current assets
-84.76%49.48M
-85.03%48.55M
-78.48%69.78M
-78.48%69.78M
-78.59%69.41M
0.15%324.67M
0.02%324.24M
0.01%324.21M
--324.21M
8.07%324.2M
Total assets
-84.75%49.6M
-84.92%49.01M
-78.48%69.92M
-78.48%69.92M
-78.56%69.68M
0.02%325.18M
-0.32%324.94M
-0.34%324.99M
--324.99M
7.29%325.06M
Liabilities
Current liabilities
Payables
65.71%684.17K
92.30%938.61K
131.84%759.22K
131.84%759.22K
10.45%346.13K
78.81%412.86K
-46.14%488.1K
-38.99%327.48K
--327.48K
-40.52%313.39K
-accounts payable
65.71%684.17K
92.30%938.61K
131.84%759.22K
131.84%759.22K
10.45%346.13K
78.81%412.86K
0.27%488.1K
179.29%327.48K
--327.48K
-40.52%313.39K
-Due to related parties current
----
----
----
----
----
----
----
----
----
--0
Current accrued expenses
1,022.59%2.38M
868.37%2.09M
687.14%1.26M
687.14%1.26M
570.88%874.22K
62.64%212K
31.80%215.94K
19.20%159.54K
--159.54K
68.57%130.31K
Current debt and capital lease obligation
--3.51M
--2.97M
--1.46M
--1.46M
--1.09M
----
----
----
----
----
-Current debt
--3.51M
--2.97M
--1.46M
--1.46M
--1.09M
----
----
----
----
----
Current liabilities
951.71%6.57M
752.25%6M
613.68%3.48M
613.68%3.48M
420.04%2.31M
72.98%624.86K
-34.21%704.04K
-27.37%487.01K
--487.01K
-70.50%443.7K
Non current liabilities
Non current deferred liabilities
----
----
--0
--0
0.00%11.34M
0.00%11.34M
0.00%11.34M
0.00%11.34M
--11.34M
8.03%11.34M
Derivative product liabilities
-33.33%660.96K
-83.33%660.96K
-96.30%330.48K
-96.30%330.48K
-91.43%991.44K
-94.00%991.44K
-70.85%3.97M
-65.18%8.92M
--8.92M
--11.57M
Total non current liabilities
-94.64%660.96K
-95.68%660.96K
-98.37%330.48K
-98.37%330.48K
-46.16%12.33M
-55.74%12.33M
-38.64%15.31M
-45.18%20.27M
--20.27M
118.19%22.91M
Total liabilities
-44.19%7.23M
-58.40%6.66M
-81.66%3.81M
-81.66%3.81M
-37.30%14.64M
-54.09%12.96M
-38.46%16.01M
-44.86%20.75M
--20.75M
94.54%23.35M
Shareholders'equity
Share capital
-84.79%49.38M
-85.05%48.45M
-78.50%69.68M
-78.50%69.68M
-78.61%69.31M
11.20%324.57M
9.89%324.14M
0.00%324.08M
--324.08M
13.33%324.08M
-common stock
-84.79%49.38M
-85.05%48.45M
-78.50%69.68M
-78.50%69.68M
-78.61%69.31M
11.20%324.57M
9.89%324.14M
0.00%324.08M
--324.08M
13.33%324.08M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
43.22%-7.01M
59.91%-6.1M
82.05%-3.56M
82.05%-3.56M
36.26%-14.27M
-735.85%-12.35M
-404.33%-15.21M
44.27%-19.85M
---19.85M
-36,321.65%-22.38M
Paid-in capital
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total stockholders'equity
-86.43%42.37M
-86.29%42.35M
-78.27%66.12M
-78.27%66.12M
-81.76%55.04M
5.17%312.22M
2.98%308.93M
5.47%304.23M
--304.23M
3.69%301.7M
Total equity
-86.43%42.37M
-86.29%42.35M
-78.27%66.12M
-78.27%66.12M
-81.76%55.04M
5.17%312.22M
2.98%308.93M
5.47%304.23M
--304.23M
3.69%301.7M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -77.47%106.45K-29.01%444.72K-82.66%115.48K-82.66%115.48K-64.75%248.12K-33.16%472.53K-59.62%626.43K-58.39%665.94K--665.94K-72.54%703.95K
-Cash and cash equivalents -77.47%106.45K-29.01%444.72K-82.66%115.48K-82.66%115.48K-64.75%248.12K-33.16%472.53K-59.62%626.43K-58.39%665.94K--665.94K-72.54%703.95K
Prepaid assets -60.92%14.41K-75.78%17.86K-75.10%27.55K-75.10%27.55K-80.51%28.74K-81.03%36.88K-71.77%73.75K-66.91%110.63K--110.63K-64.06%147.5K
Total current assets -76.27%120.86K-33.93%462.58K-81.58%143.02K-81.58%143.02K-67.48%276.86K-43.48%509.4K-61.37%700.18K-59.86%776.57K--776.57K-71.37%851.45K
Non current assets
Non current deferred assets --------------------0.15%324.67M0.02%324.24M--------8.07%324.2M
Other non current assets --49.48M--48.55M-78.48%69.78M-78.48%69.78M--69.41M----------324.21M--324.21M----
Total non current assets -84.76%49.48M-85.03%48.55M-78.48%69.78M-78.48%69.78M-78.59%69.41M0.15%324.67M0.02%324.24M0.01%324.21M--324.21M8.07%324.2M
Total assets -84.75%49.6M-84.92%49.01M-78.48%69.92M-78.48%69.92M-78.56%69.68M0.02%325.18M-0.32%324.94M-0.34%324.99M--324.99M7.29%325.06M
Liabilities
Current liabilities
Payables 65.71%684.17K92.30%938.61K131.84%759.22K131.84%759.22K10.45%346.13K78.81%412.86K-46.14%488.1K-38.99%327.48K--327.48K-40.52%313.39K
-accounts payable 65.71%684.17K92.30%938.61K131.84%759.22K131.84%759.22K10.45%346.13K78.81%412.86K0.27%488.1K179.29%327.48K--327.48K-40.52%313.39K
-Due to related parties current --------------------------------------0
Current accrued expenses 1,022.59%2.38M868.37%2.09M687.14%1.26M687.14%1.26M570.88%874.22K62.64%212K31.80%215.94K19.20%159.54K--159.54K68.57%130.31K
Current debt and capital lease obligation --3.51M--2.97M--1.46M--1.46M--1.09M--------------------
-Current debt --3.51M--2.97M--1.46M--1.46M--1.09M--------------------
Current liabilities 951.71%6.57M752.25%6M613.68%3.48M613.68%3.48M420.04%2.31M72.98%624.86K-34.21%704.04K-27.37%487.01K--487.01K-70.50%443.7K
Non current liabilities
Non current deferred liabilities ----------0--00.00%11.34M0.00%11.34M0.00%11.34M0.00%11.34M--11.34M8.03%11.34M
Derivative product liabilities -33.33%660.96K-83.33%660.96K-96.30%330.48K-96.30%330.48K-91.43%991.44K-94.00%991.44K-70.85%3.97M-65.18%8.92M--8.92M--11.57M
Total non current liabilities -94.64%660.96K-95.68%660.96K-98.37%330.48K-98.37%330.48K-46.16%12.33M-55.74%12.33M-38.64%15.31M-45.18%20.27M--20.27M118.19%22.91M
Total liabilities -44.19%7.23M-58.40%6.66M-81.66%3.81M-81.66%3.81M-37.30%14.64M-54.09%12.96M-38.46%16.01M-44.86%20.75M--20.75M94.54%23.35M
Shareholders'equity
Share capital -84.79%49.38M-85.05%48.45M-78.50%69.68M-78.50%69.68M-78.61%69.31M11.20%324.57M9.89%324.14M0.00%324.08M--324.08M13.33%324.08M
-common stock -84.79%49.38M-85.05%48.45M-78.50%69.68M-78.50%69.68M-78.61%69.31M11.20%324.57M9.89%324.14M0.00%324.08M--324.08M13.33%324.08M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 43.22%-7.01M59.91%-6.1M82.05%-3.56M82.05%-3.56M36.26%-14.27M-735.85%-12.35M-404.33%-15.21M44.27%-19.85M---19.85M-36,321.65%-22.38M
Paid-in capital --0--0--0--0--0--0--0--0--0--0
Total stockholders'equity -86.43%42.37M-86.29%42.35M-78.27%66.12M-78.27%66.12M-81.76%55.04M5.17%312.22M2.98%308.93M5.47%304.23M--304.23M3.69%301.7M
Total equity -86.43%42.37M-86.29%42.35M-78.27%66.12M-78.27%66.12M-81.76%55.04M5.17%312.22M2.98%308.93M5.47%304.23M--304.23M3.69%301.7M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----
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