US Stock MarketDetailed Quotes

ANGH Anghami

Watchlist
  • 1.080
  • -0.020-1.82%
Close May 2 16:00 ET
  • 1.100
  • +0.020+1.85%
Post 18:43 ET
72.03MMarket Cap-1800P/E (TTM)

Anghami Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
100.16%6.24M
100.16%6.24M
-47.17%1.27M
291.89%3.12M
291.89%3.12M
199.16%2.41M
-86.23%795.41K
--795.41K
--806.74K
357.33%5.78M
-Cash and cash equivalents
100.16%6.24M
100.16%6.24M
-47.39%1.27M
379.57%3.12M
379.57%3.12M
199.16%2.41M
-88.42%649.97K
--649.97K
--806.74K
344.54%5.61M
-Short-term investments
----
----
--5.27K
----
----
----
-9.96%145.43K
--145.43K
----
--161.53K
Receivables
-40.83%8.86M
-40.83%8.86M
-42.93%10.75M
80.43%14.98M
80.43%14.98M
150.34%18.83M
64.22%8.3M
--8.3M
--7.52M
-22.38%5.06M
-Accounts receivable
-39.06%6.29M
-39.06%6.29M
-65.92%4.3M
129.98%10.32M
129.98%10.32M
145.33%12.61M
20.92%4.49M
--4.49M
--5.14M
-12.97%3.71M
-Related party accounts receivable
45.01%346.96K
45.01%346.96K
-65.51%266.01K
-85.65%239.26K
-85.65%239.26K
5.15%771.28K
272.71%1.67M
--1.67M
--733.48K
-2.24%447.24K
-Other receivables
-49.60%2.23M
-49.60%2.23M
13.52%6.18M
85.46%4.42M
85.46%4.42M
230.63%5.45M
38.32%2.38M
--2.38M
--1.65M
-3.81%1.72M
-Recievables adjustments allowances
----
----
----
----
----
----
71.53%-235.16K
---235.16K
----
---825.99K
Prepaid assets
----
----
--2.94M
----
----
----
-40.60%787.6K
--787.6K
----
53.90%1.33M
Other current assets
----
----
----
----
----
----
--601.61K
--601.61K
----
----
Total current assets
-16.55%15.1M
-16.55%15.1M
-29.58%14.96M
72.57%18.1M
72.57%18.1M
155.07%21.24M
-13.74%10.49M
--10.49M
--8.33M
40.75%12.16M
Non current assets
Net PPE
-21.72%1.96M
-21.72%1.96M
380.11%2.19M
459.86%2.5M
459.86%2.5M
-1.18%455.54K
-14.66%446.09K
--446.09K
--461K
-22.91%522.71K
-Gross PPE
-1.64%3.35M
-1.64%3.35M
380.11%2.19M
196.81%3.4M
196.81%3.4M
-1.18%455.54K
3.95%1.15M
--1.15M
--461K
-0.42%1.1M
-Accumulated depreciation
-53.85%-1.39M
-53.85%-1.39M
----
-29.15%-903.89K
-29.15%-903.89K
----
-20.72%-699.88K
---699.88K
----
-35.13%-579.76K
Goodwill and other intangible assets
-78.24%1.78M
-78.24%1.78M
-72.97%2.6M
301.56%8.2M
301.56%8.2M
424.08%9.63M
29.62%2.04M
--2.04M
--1.84M
14.00%1.58M
-Goodwill
0.00%600K
0.00%600K
--600K
--600K
--600K
----
--0
--0
----
----
-Other intangible assets
-84.42%1.18M
-84.42%1.18M
--2M
272.18%7.6M
272.18%7.6M
----
29.62%2.04M
--2.04M
----
14.00%1.58M
Investments and advances
-25.65%619.69K
-25.65%619.69K
-28.57%706.65K
1,631.33%833.5K
1,631.33%833.5K
--989.34K
--48.14K
--48.14K
----
--0
Related parties assets
45.01%346.96K
45.01%346.96K
-65.51%266.01K
-85.65%239.26K
-85.65%239.26K
5.15%771.28K
272.71%1.67M
--1.67M
--733.48K
-2.24%447.24K
Non current deferred assets
0.00%1.38K
0.00%1.38K
--1.38K
--1.38K
--1.38K
----
--0
--0
----
----
Total non current assets
-62.20%4.36M
-62.20%4.36M
-50.35%5.5M
354.68%11.54M
354.68%11.54M
381.82%11.07M
20.89%2.54M
--2.54M
--2.3M
0.90%2.1M
Total assets
-34.32%19.46M
-34.32%19.46M
-36.70%20.46M
127.52%29.63M
127.52%29.63M
204.11%32.32M
-8.64%13.03M
--13.03M
--10.63M
33.01%14.26M
Liabilities
Current liabilities
Payables
7.98%18.61M
7.98%18.61M
16.24%31.93M
84.48%17.23M
84.48%17.23M
53.92%27.47M
13.15%9.34M
--9.34M
--17.85M
18.46%8.26M
-accounts payable
-17.20%10.19M
-17.20%10.19M
11.21%28.12M
102.66%12.31M
102.66%12.31M
61.51%25.29M
25.87%6.08M
--6.08M
--15.66M
9.72%4.83M
-Total tax payable
16.56%1.32M
16.56%1.32M
-98.93%5.22K
27.09%1.13M
27.09%1.13M
0.09%486.6K
-33.83%888.21K
--888.21K
--486.17K
10.79%1.34M
-Due to related parties current
-54.95%1.1M
-54.95%1.1M
124.52%3.8M
17.65%2.44M
17.65%2.44M
-0.51%1.69M
9.85%2.07M
--2.07M
--1.7M
40.92%1.89M
-Other payable
342.09%6M
342.09%6M
----
341.14%1.36M
341.14%1.36M
----
51.99%307.76K
--307.76K
----
849.70%202.49K
Current accrued expenses
-27.20%8.85M
-27.20%8.85M
----
33.01%12.16M
33.01%12.16M
----
8.85%9.14M
--9.14M
----
-2.52%8.4M
Current debt and capital lease obligation
-41.43%112.46K
-41.43%112.46K
15.01%62.24K
-98.97%192K
-98.97%192K
-99.34%54.12K
141.70%18.65M
--18.65M
--8.22M
34.03%7.72M
-Current debt
96.88%7.4K
96.88%7.4K
-54.27%5.23K
-99.98%3.76K
-99.98%3.76K
-99.86%11.44K
142.85%18.54M
--18.54M
--8.15M
34.04%7.64M
-Current capital lease obligation
-44.19%105.07K
-44.19%105.07K
33.58%57.01K
80.60%188.25K
80.60%188.25K
-40.67%42.68K
31.58%104.23K
--104.23K
--71.94K
33.13%79.21K
Current deferred liabilities
-21.21%3.59M
-21.21%3.59M
-14.10%4.37M
41.05%4.56M
41.05%4.56M
177.78%5.08M
40.13%3.23M
--3.23M
--1.83M
66.10%2.31M
Other current liabilities
102.22%1.14M
102.22%1.14M
-73.73%771.11K
--562.72K
--562.72K
--2.94M
----
----
----
----
Current liabilities
-6.92%32.3M
-6.92%32.3M
4.47%37.13M
-14.02%34.7M
-14.02%34.7M
27.42%35.54M
51.31%40.36M
--40.36M
--27.89M
17.37%26.67M
Non current liabilities
Long term debt and capital lease obligation
-65.38%58.44K
-65.38%58.44K
61.68%207K
24.15%168.8K
24.15%168.8K
-97.92%128.03K
-97.46%135.97K
--135.97K
--6.14M
970.39%5.35M
-Long term debt
----
----
----
----
----
----
----
----
--5.93M
2,735.82%5.11M
-Long term capital lease obligation
-65.38%58.44K
-65.38%58.44K
61.68%207K
24.15%168.8K
24.15%168.8K
-38.41%128.03K
-43.39%135.97K
--135.97K
--207.87K
-24.80%240.2K
Non current deferred liabilities
-25.30%372.37K
-25.30%372.37K
3,643.69%547.59K
53.47%498.46K
53.47%498.46K
-18.28%14.63K
1,714.66%324.79K
--324.79K
--17.9K
0.00%17.9K
Employee benefits
18.59%831.28K
18.59%831.28K
147.60%907.11K
322.23%700.95K
322.23%700.95K
167.73%366.37K
26.62%166.01K
--166.01K
--136.84K
23.03%131.11K
Total non current liabilities
-7.76%1.26M
-7.76%1.26M
305.03%2.06M
118.30%1.37M
118.30%1.37M
-91.92%509.03K
-88.59%626.77K
--626.77K
--6.3M
780.75%5.5M
Total liabilities
-6.96%33.56M
-6.96%33.56M
8.71%39.19M
-11.99%36.07M
-11.99%36.07M
5.44%36.05M
27.41%40.99M
--40.99M
--34.19M
37.76%32.17M
Shareholders'equity
Share capital
14.23%2.97K
14.23%2.97K
-76.84%2.6K
51.13%2.6K
51.13%2.6K
-49.16%11.23K
-94.28%1.72K
--1.72K
--22.09K
0.00%30.09K
-common stock
14.23%2.97K
14.23%2.97K
-76.84%2.6K
51.13%2.6K
51.13%2.6K
-49.16%11.23K
-94.28%1.72K
--1.72K
--22.09K
0.00%30.09K
Retained earnings
-12.84%-138.95M
-12.84%-138.95M
-12.65%-135.09M
-98.56%-123.14M
-98.56%-123.14M
-137.26%-119.92M
-40.22%-62.02M
---62.02M
---50.54M
-14.46%-44.23M
Paid-in capital
7.81%125.61M
7.81%125.61M
1.99%116.51M
262.84%116.51M
262.84%116.51M
355.99%114.23M
29.04%32.11M
--32.11M
--25.05M
-0.67%24.88M
Gains losses not affecting retained earnings
--0
--0
----
--0
--0
62.54%-100.77K
0.00%-100.77K
---100.77K
---269.03K
40.11%-100.77K
Other equity interest
-72.52%415.57K
-72.52%415.57K
-58.47%1.36M
-52.17%1.51M
-52.17%1.51M
5.04%3.28M
33.94%3.16M
--3.16M
--3.13M
31.40%2.36M
Total stockholders'equity
-152.66%-12.92M
-152.66%-12.92M
-590.86%-17.22M
80.94%-5.12M
80.94%-5.12M
88.98%-2.49M
-57.38%-26.84M
---26.84M
---22.61M
-42.93%-17.06M
Noncontrolling interests
11.17%-1.17M
11.17%-1.17M
-22.14%-1.52M
-17.99%-1.32M
-17.99%-1.32M
-30.55%-1.24M
-30.75%-1.12M
---1.12M
---950.43K
-22.46%-857.32K
Total equity
-119.00%-14.1M
-119.00%-14.1M
-401.83%-18.73M
76.98%-6.44M
76.98%-6.44M
84.16%-3.73M
-56.11%-27.96M
---27.96M
---23.56M
-41.79%-17.91M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion with Explanatory Notes
--
--
Unqualified Opinion with Explanatory Notes
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments 100.16%6.24M100.16%6.24M-47.17%1.27M291.89%3.12M291.89%3.12M199.16%2.41M-86.23%795.41K--795.41K--806.74K357.33%5.78M
-Cash and cash equivalents 100.16%6.24M100.16%6.24M-47.39%1.27M379.57%3.12M379.57%3.12M199.16%2.41M-88.42%649.97K--649.97K--806.74K344.54%5.61M
-Short-term investments ----------5.27K-------------9.96%145.43K--145.43K------161.53K
Receivables -40.83%8.86M-40.83%8.86M-42.93%10.75M80.43%14.98M80.43%14.98M150.34%18.83M64.22%8.3M--8.3M--7.52M-22.38%5.06M
-Accounts receivable -39.06%6.29M-39.06%6.29M-65.92%4.3M129.98%10.32M129.98%10.32M145.33%12.61M20.92%4.49M--4.49M--5.14M-12.97%3.71M
-Related party accounts receivable 45.01%346.96K45.01%346.96K-65.51%266.01K-85.65%239.26K-85.65%239.26K5.15%771.28K272.71%1.67M--1.67M--733.48K-2.24%447.24K
-Other receivables -49.60%2.23M-49.60%2.23M13.52%6.18M85.46%4.42M85.46%4.42M230.63%5.45M38.32%2.38M--2.38M--1.65M-3.81%1.72M
-Recievables adjustments allowances ------------------------71.53%-235.16K---235.16K-------825.99K
Prepaid assets ----------2.94M-------------40.60%787.6K--787.6K----53.90%1.33M
Other current assets --------------------------601.61K--601.61K--------
Total current assets -16.55%15.1M-16.55%15.1M-29.58%14.96M72.57%18.1M72.57%18.1M155.07%21.24M-13.74%10.49M--10.49M--8.33M40.75%12.16M
Non current assets
Net PPE -21.72%1.96M-21.72%1.96M380.11%2.19M459.86%2.5M459.86%2.5M-1.18%455.54K-14.66%446.09K--446.09K--461K-22.91%522.71K
-Gross PPE -1.64%3.35M-1.64%3.35M380.11%2.19M196.81%3.4M196.81%3.4M-1.18%455.54K3.95%1.15M--1.15M--461K-0.42%1.1M
-Accumulated depreciation -53.85%-1.39M-53.85%-1.39M-----29.15%-903.89K-29.15%-903.89K-----20.72%-699.88K---699.88K-----35.13%-579.76K
Goodwill and other intangible assets -78.24%1.78M-78.24%1.78M-72.97%2.6M301.56%8.2M301.56%8.2M424.08%9.63M29.62%2.04M--2.04M--1.84M14.00%1.58M
-Goodwill 0.00%600K0.00%600K--600K--600K--600K------0--0--------
-Other intangible assets -84.42%1.18M-84.42%1.18M--2M272.18%7.6M272.18%7.6M----29.62%2.04M--2.04M----14.00%1.58M
Investments and advances -25.65%619.69K-25.65%619.69K-28.57%706.65K1,631.33%833.5K1,631.33%833.5K--989.34K--48.14K--48.14K------0
Related parties assets 45.01%346.96K45.01%346.96K-65.51%266.01K-85.65%239.26K-85.65%239.26K5.15%771.28K272.71%1.67M--1.67M--733.48K-2.24%447.24K
Non current deferred assets 0.00%1.38K0.00%1.38K--1.38K--1.38K--1.38K------0--0--------
Total non current assets -62.20%4.36M-62.20%4.36M-50.35%5.5M354.68%11.54M354.68%11.54M381.82%11.07M20.89%2.54M--2.54M--2.3M0.90%2.1M
Total assets -34.32%19.46M-34.32%19.46M-36.70%20.46M127.52%29.63M127.52%29.63M204.11%32.32M-8.64%13.03M--13.03M--10.63M33.01%14.26M
Liabilities
Current liabilities
Payables 7.98%18.61M7.98%18.61M16.24%31.93M84.48%17.23M84.48%17.23M53.92%27.47M13.15%9.34M--9.34M--17.85M18.46%8.26M
-accounts payable -17.20%10.19M-17.20%10.19M11.21%28.12M102.66%12.31M102.66%12.31M61.51%25.29M25.87%6.08M--6.08M--15.66M9.72%4.83M
-Total tax payable 16.56%1.32M16.56%1.32M-98.93%5.22K27.09%1.13M27.09%1.13M0.09%486.6K-33.83%888.21K--888.21K--486.17K10.79%1.34M
-Due to related parties current -54.95%1.1M-54.95%1.1M124.52%3.8M17.65%2.44M17.65%2.44M-0.51%1.69M9.85%2.07M--2.07M--1.7M40.92%1.89M
-Other payable 342.09%6M342.09%6M----341.14%1.36M341.14%1.36M----51.99%307.76K--307.76K----849.70%202.49K
Current accrued expenses -27.20%8.85M-27.20%8.85M----33.01%12.16M33.01%12.16M----8.85%9.14M--9.14M-----2.52%8.4M
Current debt and capital lease obligation -41.43%112.46K-41.43%112.46K15.01%62.24K-98.97%192K-98.97%192K-99.34%54.12K141.70%18.65M--18.65M--8.22M34.03%7.72M
-Current debt 96.88%7.4K96.88%7.4K-54.27%5.23K-99.98%3.76K-99.98%3.76K-99.86%11.44K142.85%18.54M--18.54M--8.15M34.04%7.64M
-Current capital lease obligation -44.19%105.07K-44.19%105.07K33.58%57.01K80.60%188.25K80.60%188.25K-40.67%42.68K31.58%104.23K--104.23K--71.94K33.13%79.21K
Current deferred liabilities -21.21%3.59M-21.21%3.59M-14.10%4.37M41.05%4.56M41.05%4.56M177.78%5.08M40.13%3.23M--3.23M--1.83M66.10%2.31M
Other current liabilities 102.22%1.14M102.22%1.14M-73.73%771.11K--562.72K--562.72K--2.94M----------------
Current liabilities -6.92%32.3M-6.92%32.3M4.47%37.13M-14.02%34.7M-14.02%34.7M27.42%35.54M51.31%40.36M--40.36M--27.89M17.37%26.67M
Non current liabilities
Long term debt and capital lease obligation -65.38%58.44K-65.38%58.44K61.68%207K24.15%168.8K24.15%168.8K-97.92%128.03K-97.46%135.97K--135.97K--6.14M970.39%5.35M
-Long term debt ----------------------------------5.93M2,735.82%5.11M
-Long term capital lease obligation -65.38%58.44K-65.38%58.44K61.68%207K24.15%168.8K24.15%168.8K-38.41%128.03K-43.39%135.97K--135.97K--207.87K-24.80%240.2K
Non current deferred liabilities -25.30%372.37K-25.30%372.37K3,643.69%547.59K53.47%498.46K53.47%498.46K-18.28%14.63K1,714.66%324.79K--324.79K--17.9K0.00%17.9K
Employee benefits 18.59%831.28K18.59%831.28K147.60%907.11K322.23%700.95K322.23%700.95K167.73%366.37K26.62%166.01K--166.01K--136.84K23.03%131.11K
Total non current liabilities -7.76%1.26M-7.76%1.26M305.03%2.06M118.30%1.37M118.30%1.37M-91.92%509.03K-88.59%626.77K--626.77K--6.3M780.75%5.5M
Total liabilities -6.96%33.56M-6.96%33.56M8.71%39.19M-11.99%36.07M-11.99%36.07M5.44%36.05M27.41%40.99M--40.99M--34.19M37.76%32.17M
Shareholders'equity
Share capital 14.23%2.97K14.23%2.97K-76.84%2.6K51.13%2.6K51.13%2.6K-49.16%11.23K-94.28%1.72K--1.72K--22.09K0.00%30.09K
-common stock 14.23%2.97K14.23%2.97K-76.84%2.6K51.13%2.6K51.13%2.6K-49.16%11.23K-94.28%1.72K--1.72K--22.09K0.00%30.09K
Retained earnings -12.84%-138.95M-12.84%-138.95M-12.65%-135.09M-98.56%-123.14M-98.56%-123.14M-137.26%-119.92M-40.22%-62.02M---62.02M---50.54M-14.46%-44.23M
Paid-in capital 7.81%125.61M7.81%125.61M1.99%116.51M262.84%116.51M262.84%116.51M355.99%114.23M29.04%32.11M--32.11M--25.05M-0.67%24.88M
Gains losses not affecting retained earnings --0--0------0--062.54%-100.77K0.00%-100.77K---100.77K---269.03K40.11%-100.77K
Other equity interest -72.52%415.57K-72.52%415.57K-58.47%1.36M-52.17%1.51M-52.17%1.51M5.04%3.28M33.94%3.16M--3.16M--3.13M31.40%2.36M
Total stockholders'equity -152.66%-12.92M-152.66%-12.92M-590.86%-17.22M80.94%-5.12M80.94%-5.12M88.98%-2.49M-57.38%-26.84M---26.84M---22.61M-42.93%-17.06M
Noncontrolling interests 11.17%-1.17M11.17%-1.17M-22.14%-1.52M-17.99%-1.32M-17.99%-1.32M-30.55%-1.24M-30.75%-1.12M---1.12M---950.43K-22.46%-857.32K
Total equity -119.00%-14.1M-119.00%-14.1M-401.83%-18.73M76.98%-6.44M76.98%-6.44M84.16%-3.73M-56.11%-27.96M---27.96M---23.56M-41.79%-17.91M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion with Explanatory Notes----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