Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
Ongoal Technology
301662
5
Kente Catalysts Inc.
603120
(FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 2.58%126.73M | 2.58%126.73M | 74.32%188.25M | 171.75%118.97M | 108.52%79.94M | 223.67%123.55M | 223.67%123.55M | 61.97%107.99M | 2.49%43.78M | -0.56%38.34M |
-Cash and cash equivalents | 2.58%126.73M | 2.58%126.73M | 74.32%188.25M | 171.75%118.97M | 108.52%79.94M | 223.67%123.55M | 223.67%123.55M | 61.97%107.99M | 2.49%43.78M | -0.56%38.34M |
Receivables | 14.96%100.67M | 14.96%100.67M | 1.84%96.92M | 8.28%100.66M | 13.87%97.21M | 3.67%87.57M | 3.67%87.57M | 8.73%95.17M | 2.27%92.96M | -8.90%85.37M |
-Accounts receivable | 15.32%99.32M | 15.32%99.32M | 12.61%96.92M | 18.03%100.66M | 14.53%97.21M | 4.11%86.13M | 4.11%86.13M | 4.56%86.07M | -0.07%85.28M | -9.23%84.88M |
-Other receivables | -6.79%1.35M | -6.79%1.35M | ---- | ---- | ---- | -17.34%1.44M | -17.34%1.44M | 74.45%9.11M | 38.20%7.68M | 144.28%491K |
Prepaid assets | 49.25%8.63M | 49.25%8.63M | 22.82%7.93M | -0.70%6.98M | -37.12%7.27M | -31.48%5.79M | -31.48%5.79M | -11.79%6.46M | -9.43%7.03M | 46.08%11.56M |
Total current assets | 8.82%236.03M | 8.82%236.03M | 39.83%293.1M | 57.62%226.61M | 36.34%184.42M | 65.46%216.9M | 65.46%216.9M | 29.78%209.62M | 1.69%143.77M | -3.50%135.26M |
Non current assets | ||||||||||
Net PPE | -39.35%11.87M | -39.35%11.87M | -35.29%13.72M | -30.62%15.6M | -10.66%17.55M | -7.42%19.58M | -7.42%19.58M | -8.31%21.2M | -8.63%22.49M | -20.65%19.65M |
-Gross PPE | 1.30%48.77M | 1.30%48.77M | ---- | ---- | ---- | 16.47%48.15M | 16.47%48.15M | ---- | ---- | ---- |
-Accumulated depreciation | -29.15%-36.9M | -29.15%-36.9M | ---- | ---- | ---- | -41.48%-28.57M | -41.48%-28.57M | ---- | ---- | ---- |
Goodwill and other intangible assets | -0.94%2.24B | -0.94%2.24B | -0.95%2.25B | -1.16%2.25B | -1.24%2.26B | -1.43%2.26B | -1.43%2.26B | -1.57%2.27B | -1.51%2.28B | -1.56%2.29B |
-Goodwill | 0.00%981.81M | 0.00%981.81M | 0.00%981.81M | 0.00%981.81M | 0.00%981.81M | 0.00%981.81M | 0.00%981.81M | 0.00%981.81M | 0.00%981.81M | 0.00%981.81M |
-Other intangible assets | -1.66%1.26B | -1.66%1.26B | -1.68%1.27B | -2.03%1.27B | -2.18%1.28B | -2.50%1.28B | -2.50%1.28B | -2.74%1.29B | -2.62%1.3B | -2.70%1.3B |
Investments and advances | 13.30%605K | 13.30%605K | 16.36%34.74M | 12.56%33.76M | 16.12%33.52M | 14.59%534K | 14.59%534K | 3.29%29.86M | 1.67%29.99M | -10.87%28.87M |
Non current deferred assets | 10.66%34.61M | 10.66%34.61M | ---- | ---- | ---- | 16.69%31.27M | 16.69%31.27M | ---- | ---- | ---- |
Other non current assets | 106.28%22.05M | 106.28%22.05M | -63.01%22.85M | -80.40%12.31M | -78.53%12.4M | -83.54%10.69M | -83.54%10.69M | -11.66%61.78M | 8.65%62.79M | 10.38%57.75M |
Total non current assets | -0.61%2.31B | -0.61%2.31B | -2.65%2.32B | -3.34%2.31B | -2.98%2.32B | -3.49%2.33B | -3.49%2.33B | -1.87%2.38B | -1.30%2.39B | -1.62%2.39B |
Total assets | 0.20%2.55B | 0.20%2.55B | 0.78%2.61B | 0.11%2.54B | -0.87%2.51B | 0.07%2.54B | 0.07%2.54B | 0.10%2.59B | -1.14%2.54B | -1.72%2.53B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -27.71%197.85M | -27.71%197.85M | -35.04%200.86M | -34.04%195.73M | -28.72%211.42M | -2.70%273.68M | -2.70%273.68M | -2.78%309.19M | -8.45%296.74M | -16.00%296.62M |
-accounts payable | 2.61%57.95M | 2.61%57.95M | 2.86%61.26M | -5.07%54.53M | 5.44%62.02M | 11.04%56.48M | 11.04%56.48M | 18.76%59.55M | 25.58%57.44M | 23.61%58.82M |
-Other payable | -35.59%139.89M | -35.59%139.89M | -44.08%139.6M | -40.99%141.2M | -37.17%149.4M | -5.73%217.2M | -5.73%217.2M | -6.82%249.64M | -14.04%239.3M | -22.17%237.8M |
Current liabilities | -27.71%197.85M | -27.71%197.85M | -35.04%200.86M | -34.04%195.73M | -28.72%211.42M | -2.70%273.68M | -2.70%273.68M | -2.78%309.19M | -8.45%296.74M | -16.00%296.62M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -2.57%963.86M | -2.57%963.86M | -0.57%982.66M | -0.57%981.72M | 0.38%990.21M | 0.38%989.27M | 0.38%989.27M | -1.15%988.32M | -2.96%987.38M | -6.99%986.44M |
-Long term debt | -2.57%963.86M | -2.57%963.86M | -0.57%982.66M | -0.57%981.72M | 0.38%990.21M | 0.38%989.27M | 0.38%989.27M | -1.15%988.32M | -2.96%987.38M | -6.99%986.44M |
Non current deferred liabilities | 19.84%191.73M | 19.84%191.73M | 21.87%152.34M | 18.92%142.42M | 19.82%133.26M | 18.56%159.99M | 18.56%159.99M | 20.89%125M | 31.73%119.76M | 46.00%111.22M |
Employee benefits | -6.87%51.65M | -6.87%51.65M | -12.60%45.6M | 16.98%54.02M | 12.91%48.52M | -5.14%55.46M | -5.14%55.46M | -1.48%52.17M | -4.41%46.18M | -0.95%42.98M |
Other non current liabilities | 85.93%20.87M | 85.93%20.87M | 36.64%56.02M | 5.46%44.58M | 7.55%45.66M | -26.72%11.23M | -26.72%11.23M | -14.38%41M | -12.90%42.27M | -20.03%42.45M |
Total non current liabilities | 1.00%1.23B | 1.00%1.23B | 2.50%1.24B | 2.27%1.22B | 2.92%1.22B | 1.82%1.22B | 1.82%1.22B | 0.20%1.21B | -0.80%1.2B | -4.06%1.18B |
Total liabilities | -4.27%1.43B | -4.27%1.43B | -5.16%1.44B | -4.95%1.42B | -3.42%1.43B | 0.96%1.49B | 0.96%1.49B | -0.42%1.52B | -2.42%1.49B | -6.72%1.48B |
Shareholders'equity | ||||||||||
Share capital | 1.82%839K | 1.82%839K | 1.82%837K | 2.20%835K | 2.09%832K | 2.36%824K | 2.36%824K | 2.37%822K | 4.21%817K | 4.62%815K |
-common stock | 1.82%839K | 1.82%839K | 1.82%837K | 2.20%835K | 2.09%832K | 2.36%824K | 2.36%824K | 2.37%822K | 4.21%817K | 4.62%815K |
Retained earnings | 25.48%924.6M | 25.48%924.6M | 24.69%875.68M | 22.18%820.41M | 21.12%770.16M | 20.97%736.85M | 20.97%736.85M | 22.41%702.3M | 29.53%671.46M | 39.30%635.87M |
Paid-in capital | 3.31%752.37M | 3.31%752.37M | 3.27%746.92M | 3.39%741.49M | 3.38%735.52M | 3.23%728.28M | 3.23%728.28M | 3.43%723.25M | 4.62%717.21M | 4.81%711.48M |
Less: Treasury stock | 29.39%574.86M | 29.39%574.86M | 22.44%470.73M | 23.11%464.94M | 38.65%457.54M | 55.66%444.29M | 55.66%444.29M | 57.63%384.46M | 94.98%377.67M | 91.90%329.98M |
Gains losses not affecting retained earnings | -40.36%18.68M | -40.36%18.68M | -35.84%21.96M | -27.02%25.02M | -7.28%28.16M | -11.61%31.33M | -11.61%31.33M | -7.81%34.22M | 26.17%34.29M | 37.00%30.37M |
Total stockholders'equity | 6.52%1.12B | 6.52%1.12B | 9.16%1.17B | 7.33%1.12B | 2.73%1.08B | -1.16%1.05B | -1.16%1.05B | 0.86%1.08B | 0.76%1.05B | 6.31%1.05B |
Total equity | 6.52%1.12B | 6.52%1.12B | 9.16%1.17B | 7.33%1.12B | 2.73%1.08B | -1.16%1.05B | -1.16%1.05B | 0.86%1.08B | 0.76%1.05B | 6.31%1.05B |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
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 | -- | -- | -- | -- |