US Stock MarketDetailed Quotes

VPLM VOIP PAL COM INC

Watchlist
  • 0.012
  • 0.0000.00%
15min DelayTrading Sep 6 16:00 ET
40.87MMarket Cap-3833P/E (TTM)

VOIP PAL COM INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Jun 30, 2024
(Q2)Mar 31, 2024
(Q1)Dec 31, 2023
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q3)Jun 30, 2023
(Q2)Mar 31, 2023
(Q1)Dec 31, 2022
(FY)Sep 30, 2022
(Q4)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
44.79%2.77M
92.44%2.24M
9,708.15%1.91M
625.92%2.22M
625.92%2.22M
724.69%1.91M
1,246.92%1.17M
-57.77%19.5K
73.08%305.49K
73.08%305.49K
-Cash and cash equivalents
44.79%2.77M
92.44%2.24M
9,708.15%1.91M
625.92%2.22M
625.92%2.22M
724.69%1.91M
1,246.92%1.17M
-57.77%19.5K
73.08%305.49K
73.08%305.49K
Prepaid assets
113.13%57.04K
-5.34%20.26K
2,166.17%27.26K
3,471.80%42.18K
3,471.80%42.18K
137.52%26.76K
89.35%21.41K
-89.35%1.2K
-91.81%1.18K
-91.81%1.18K
Total current assets
45.73%2.82M
90.68%2.27M
9,269.88%1.94M
636.88%2.26M
636.88%2.26M
697.47%1.94M
1,113.27%1.19M
-63.98%20.7K
60.62%306.67K
60.62%306.67K
Non current assets
Net PPE
-83.75%438
-69.27%1K
-59.03%1.57K
-51.44%2.13K
-51.44%2.13K
-45.59%2.7K
-40.92%3.26K
-37.13%3.83K
-33.97%4.39K
-33.97%4.39K
-Gross PPE
0.00%11.92K
0.00%11.92K
0.00%11.92K
0.00%11.92K
0.00%11.92K
0.00%11.92K
0.00%11.92K
0.00%11.92K
0.00%11.92K
0.00%11.92K
-Accumulated depreciation
-24.49%-11.48K
-26.10%-10.92K
-27.90%-10.35K
-30.00%-9.79K
-30.00%-9.79K
-32.45%-9.22K
-35.31%-8.66K
-38.73%-8.09K
-42.85%-7.53K
-42.85%-7.53K
Goodwill and other intangible assets
--0
--0
-41.85%192K
-37.89%226.55K
-37.89%226.55K
-34.61%261.1K
-31.85%295.65K
-29.50%330.2K
-27.48%364.75K
-27.48%364.75K
-Other intangible assets
----
----
-41.85%192K
-37.89%226.55K
-37.89%226.55K
-34.61%261.1K
-31.85%295.65K
-29.50%330.2K
-27.48%364.75K
-27.48%364.75K
Total non current assets
-99.83%438
-99.66%1K
-42.05%193.57K
-38.05%228.68K
-38.05%228.68K
-34.75%263.8K
-31.97%298.91K
-29.60%334.03K
-27.56%369.14K
-27.56%369.14K
Total assets
28.29%2.82M
52.42%2.27M
501.40%2.13M
268.22%2.49M
268.22%2.49M
240.18%2.2M
176.74%1.49M
-33.32%354.73K
-3.53%675.81K
-3.53%675.81K
Liabilities
Current liabilities
Current debt and capital lease obligation
----
--125K
----
----
----
----
----
----
----
----
-Current debt
----
--125K
----
----
----
----
----
----
----
----
Current liabilities
-35.97%103.32K
20.40%334.84K
-83.45%47.64K
-61.06%61.76K
-61.06%61.76K
-13.86%161.37K
53.41%278.12K
63.97%287.89K
-12.66%158.61K
-12.66%158.61K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
-35.97%103.32K
20.40%334.84K
-83.45%47.64K
-61.06%61.76K
-61.06%61.76K
-13.86%161.37K
53.41%278.12K
63.97%287.89K
-12.66%158.61K
-12.66%158.61K
Shareholders'equity
Share capital
28.12%2.99M
42.39%2.65M
70.72%2.54M
70.23%2.5M
70.23%2.5M
67.25%2.33M
42.76%1.86M
20.26%1.49M
21.55%1.47M
21.55%1.47M
-common stock
28.19%2.98M
42.42%2.65M
70.78%2.53M
70.28%2.49M
70.28%2.49M
67.29%2.32M
42.31%1.86M
19.87%1.48M
21.16%1.46M
21.16%1.46M
-Preferred stock
7.20%7.88K
32.07%7.88K
54.74%7.35K
54.74%7.35K
54.74%7.35K
54.74%7.35K
--5.97K
--4.75K
--4.75K
--4.75K
Retained earnings
-7.90%-100.02M
-34.91%-96.42M
-32.62%-93.75M
-32.98%-93.19M
-32.98%-93.19M
-32.91%-92.7M
-6.44%-71.47M
-6.01%-70.69M
-5.56%-70.08M
-5.56%-70.08M
Paid-in capital
7.87%99.65M
35.16%95.7M
34.81%93.3M
34.82%93.11M
34.82%93.11M
34.40%92.39M
7.06%70.8M
5.27%69.21M
5.23%69.06M
5.23%69.06M
Other equity interest
415.00%103K
----
----
----
----
-71.96%20K
-83.69%10K
0.00%61.32K
0.00%61.32K
0.00%61.32K
Total stockholders'equity
33.37%2.72M
59.78%1.93M
3,020.37%2.09M
369.20%2.43M
369.20%2.43M
343.64%2.04M
239.54%1.21M
-81.24%66.84K
-0.33%517.19K
-0.33%517.19K
Total equity
33.37%2.72M
59.78%1.93M
3,020.37%2.09M
369.20%2.43M
369.20%2.43M
343.64%2.04M
239.54%1.21M
-81.24%66.84K
-0.33%517.19K
-0.33%517.19K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Jun 30, 2024(Q2)Mar 31, 2024(Q1)Dec 31, 2023(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q3)Jun 30, 2023(Q2)Mar 31, 2023(Q1)Dec 31, 2022(FY)Sep 30, 2022(Q4)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 44.79%2.77M92.44%2.24M9,708.15%1.91M625.92%2.22M625.92%2.22M724.69%1.91M1,246.92%1.17M-57.77%19.5K73.08%305.49K73.08%305.49K
-Cash and cash equivalents 44.79%2.77M92.44%2.24M9,708.15%1.91M625.92%2.22M625.92%2.22M724.69%1.91M1,246.92%1.17M-57.77%19.5K73.08%305.49K73.08%305.49K
Prepaid assets 113.13%57.04K-5.34%20.26K2,166.17%27.26K3,471.80%42.18K3,471.80%42.18K137.52%26.76K89.35%21.41K-89.35%1.2K-91.81%1.18K-91.81%1.18K
Total current assets 45.73%2.82M90.68%2.27M9,269.88%1.94M636.88%2.26M636.88%2.26M697.47%1.94M1,113.27%1.19M-63.98%20.7K60.62%306.67K60.62%306.67K
Non current assets
Net PPE -83.75%438-69.27%1K-59.03%1.57K-51.44%2.13K-51.44%2.13K-45.59%2.7K-40.92%3.26K-37.13%3.83K-33.97%4.39K-33.97%4.39K
-Gross PPE 0.00%11.92K0.00%11.92K0.00%11.92K0.00%11.92K0.00%11.92K0.00%11.92K0.00%11.92K0.00%11.92K0.00%11.92K0.00%11.92K
-Accumulated depreciation -24.49%-11.48K-26.10%-10.92K-27.90%-10.35K-30.00%-9.79K-30.00%-9.79K-32.45%-9.22K-35.31%-8.66K-38.73%-8.09K-42.85%-7.53K-42.85%-7.53K
Goodwill and other intangible assets --0--0-41.85%192K-37.89%226.55K-37.89%226.55K-34.61%261.1K-31.85%295.65K-29.50%330.2K-27.48%364.75K-27.48%364.75K
-Other intangible assets ---------41.85%192K-37.89%226.55K-37.89%226.55K-34.61%261.1K-31.85%295.65K-29.50%330.2K-27.48%364.75K-27.48%364.75K
Total non current assets -99.83%438-99.66%1K-42.05%193.57K-38.05%228.68K-38.05%228.68K-34.75%263.8K-31.97%298.91K-29.60%334.03K-27.56%369.14K-27.56%369.14K
Total assets 28.29%2.82M52.42%2.27M501.40%2.13M268.22%2.49M268.22%2.49M240.18%2.2M176.74%1.49M-33.32%354.73K-3.53%675.81K-3.53%675.81K
Liabilities
Current liabilities
Current debt and capital lease obligation ------125K--------------------------------
-Current debt ------125K--------------------------------
Current liabilities -35.97%103.32K20.40%334.84K-83.45%47.64K-61.06%61.76K-61.06%61.76K-13.86%161.37K53.41%278.12K63.97%287.89K-12.66%158.61K-12.66%158.61K
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities -35.97%103.32K20.40%334.84K-83.45%47.64K-61.06%61.76K-61.06%61.76K-13.86%161.37K53.41%278.12K63.97%287.89K-12.66%158.61K-12.66%158.61K
Shareholders'equity
Share capital 28.12%2.99M42.39%2.65M70.72%2.54M70.23%2.5M70.23%2.5M67.25%2.33M42.76%1.86M20.26%1.49M21.55%1.47M21.55%1.47M
-common stock 28.19%2.98M42.42%2.65M70.78%2.53M70.28%2.49M70.28%2.49M67.29%2.32M42.31%1.86M19.87%1.48M21.16%1.46M21.16%1.46M
-Preferred stock 7.20%7.88K32.07%7.88K54.74%7.35K54.74%7.35K54.74%7.35K54.74%7.35K--5.97K--4.75K--4.75K--4.75K
Retained earnings -7.90%-100.02M-34.91%-96.42M-32.62%-93.75M-32.98%-93.19M-32.98%-93.19M-32.91%-92.7M-6.44%-71.47M-6.01%-70.69M-5.56%-70.08M-5.56%-70.08M
Paid-in capital 7.87%99.65M35.16%95.7M34.81%93.3M34.82%93.11M34.82%93.11M34.40%92.39M7.06%70.8M5.27%69.21M5.23%69.06M5.23%69.06M
Other equity interest 415.00%103K-----------------71.96%20K-83.69%10K0.00%61.32K0.00%61.32K0.00%61.32K
Total stockholders'equity 33.37%2.72M59.78%1.93M3,020.37%2.09M369.20%2.43M369.20%2.43M343.64%2.04M239.54%1.21M-81.24%66.84K-0.33%517.19K-0.33%517.19K
Total equity 33.37%2.72M59.78%1.93M3,020.37%2.09M369.20%2.43M369.20%2.43M343.64%2.04M239.54%1.21M-81.24%66.84K-0.33%517.19K-0.33%517.19K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
US
Overall
Symbol
Latest Price
% Chg