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BLDEW BLADE AIR MOBILITY INC C/WTS 01/09/2026 (TO PUR COM)

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0.290 -0.048-14.07% Close 09/22 16:00 ET
0.2900.0000.00% Post 16:00 ET
0.335High0.290Low7.37KVolume

BLADE AIR MOBILITY INC C/WTS 01/09/2026 (TO PUR COM) Key Stats

Quarterly+Annual
YOY
Hide blank lines
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
(FY)2021/09/30
Assets
Current assets
Cash, cash equivalents and short term investments
-33.76%169.69M
-34.23%176.95M
-31.19%194.04M
-31.19%194.04M
-39.30%202.22M
--256.16M
--269.06M
2,218.44%281.97M
--281.97M
2,400.63%304.13M
-Cash and cash equivalents
-79.98%37.35M
1,572.24%41.74M
1,568.44%43.3M
1,568.44%43.3M
72.80%51.85M
--186.56M
--2.5M
-78.66%2.6M
--2.6M
-42.84%6.95M
-Short-term investments
90.13%132.34M
-49.28%135.21M
-46.04%150.74M
-46.04%150.74M
-50.40%150.38M
--69.61M
--266.56M
--279.37M
--279.37M
--297.18M
Receivables
132.89%22.53M
173.50%16.46M
96.05%10.88M
96.05%10.88M
558.35%11.27M
--9.67M
--6.02M
408.06%5.55M
--5.55M
244.78%3.77M
-Accounts receivable
132.89%22.53M
173.50%16.46M
96.05%10.88M
96.05%10.88M
558.35%11.27M
--9.67M
--6.02M
408.06%5.55M
--5.55M
244.78%3.77M
Prepaid assets
----
----
----
----
49.19%10.77M
--10.7M
--8.5M
572.40%6.8M
--6.8M
486.05%5.93M
Restricted cash
21.01%2.05M
23.81%2.08M
78.89%1.13M
78.89%1.13M
80.79%1.14M
--1.69M
--1.68M
452.63%630K
--630K
452.63%630K
Other current assets
--14.71M
--13.71M
--12.09M
--12.09M
----
----
----
----
----
----
Total current assets
-24.89%208.97M
-26.66%209.2M
-26.05%218.13M
-26.05%218.13M
-34.23%225.41M
--278.23M
--285.26M
1,951.22%294.95M
--294.95M
2,086.85%314.45M
Non current assets
Net PPE
214.13%26.1M
706.35%26.54M
615.34%19.73M
615.34%19.73M
777.87%19.16M
--8.31M
--3.29M
10.50%2.76M
--2.76M
4.65%2.61M
-Gross PPE
214.13%26.1M
429.05%26.54M
406.64%21.96M
406.64%21.96M
777.87%19.16M
--8.31M
--5.02M
21.22%4.34M
--4.34M
13.31%4.05M
-Accumulated depreciation
----
----
-41.66%-2.23M
-41.66%-2.23M
----
----
---1.73M
-46.02%-1.58M
---1.58M
-33.33%-1.44M
Goodwill and other intangible assets
132.13%83.73M
130.52%85.29M
127.32%85.81M
127.32%85.81M
8,881.56%80.39M
--36.07M
--37M
6,982.36%37.75M
--37.75M
4,762.10%25.92M
-Goodwill
198.60%39.8M
199.29%39.89M
195.96%39.45M
195.96%39.45M
--31.85M
--13.33M
--13.33M
--13.33M
--13.33M
--13.27M
-Other intangible assets
93.17%43.93M
91.80%45.4M
89.86%46.37M
89.86%46.37M
--48.53M
--22.74M
--23.67M
4,481.80%24.42M
--24.42M
2,272.23%12.64M
Investments and advances
95.00%390K
95.00%390K
95.00%390K
95.00%390K
95.00%390K
--200K
--200K
0.00%200K
--200K
0.00%200K
Other non current assets
-27.89%998K
15.68%1.02M
318.10%970K
318.10%970K
823.94%1.31M
--1.38M
--880K
116.82%232K
--232K
105.61%220K
Total non current assets
141.97%111.21M
173.72%113.23M
161.12%106.9M
161.12%106.9M
2,860.56%101.25M
--45.96M
--41.37M
1,127.19%40.94M
--40.94M
767.72%28.95M
Total assets
-1.24%320.18M
-1.28%322.43M
-3.23%325.03M
-3.23%325.03M
-5.63%326.66M
--324.19M
--326.63M
1,796.04%335.88M
--335.88M
1,838.44%343.39M
Liabilities
Current liabilities
Payables
----
----
----
----
----
----
----
----
----
472.94%4.45M
-accounts payable
----
----
----
----
----
----
----
----
----
472.94%4.45M
Current debt and capital lease obligation
85.28%4.38M
712.30%4.03M
667.58%3.36M
667.58%3.36M
688.89%2.63M
--2.36M
--496K
-72.54%438K
--438K
-72.98%431K
-Current capital lease obligation
85.28%4.38M
712.30%4.03M
667.58%3.36M
667.58%3.36M
688.89%2.63M
--2.36M
--496K
1.86%438K
--438K
0.23%431K
Current deferred liabilities
17.81%10.01M
23.99%7.79M
12.27%6.71M
12.27%6.71M
14.62%6.04M
--8.5M
--6.28M
50.42%5.98M
--5.98M
17.14%4.65M
Current liabilities
58.13%29.27M
46.98%23.21M
108.14%26.61M
108.14%26.61M
91.58%20.23M
--18.51M
--15.79M
101.50%12.78M
--12.78M
50.24%9.53M
Non current liabilities
Long term debt and capital lease obligation
429.16%19.83M
4,361.80%20.79M
5,284.89%14.97M
5,284.89%14.97M
15,180.00%14.52M
--3.75M
--466K
-4.47%278K
--278K
-23.71%222K
-Long term capital lease obligation
429.16%19.83M
4,361.80%20.79M
5,284.89%14.97M
5,284.89%14.97M
15,180.00%14.52M
--3.75M
--466K
-4.47%278K
--278K
-23.71%222K
Non current deferred liabilities
826.39%1.33M
1,091.67%1.72M
1,202.78%1.88M
1,202.78%1.88M
--144K
--144K
--144K
--144K
--144K
--195K
Derivative product liabilities
-5.40%8.98M
-77.34%6.52M
-77.38%7.08M
-77.38%7.08M
-76.63%9.07M
--9.49M
--28.76M
--31.31M
--31.31M
--42.22M
Total non current liabilities
125.24%30.15M
-1.17%29.03M
-24.59%23.93M
-24.59%23.93M
-39.00%23.73M
--13.38M
--29.37M
10,803.78%31.73M
--31.73M
14,550.86%42.63M
Total liabilities
86.29%59.42M
15.67%52.23M
13.53%50.54M
13.53%50.54M
-11.12%43.95M
--31.9M
--45.16M
570.88%44.51M
--44.51M
686.21%52.17M
Shareholders'equity
Share capital
0.00%7K
0.00%7K
0.00%7K
0.00%7K
0.00%7K
--7K
--7K
133.33%7K
--7K
133.33%7K
-common stock
0.00%7K
0.00%7K
0.00%7K
0.00%7K
0.00%7K
--7K
--7K
133.33%7K
--7K
133.33%7K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
----
Retained earnings
-59.59%-126.1M
-30.24%-113.87M
-35.67%-103.68M
-35.67%-103.68M
-29.79%-88.26M
---79.02M
---87.43M
-105.77%-76.42M
---76.42M
-107.85%-77.19M
Paid-in capital
3.21%383.63M
2.71%380.85M
1.95%375.87M
1.95%375.87M
2.34%373.22M
--371.69M
--370.79M
664.66%368.68M
--368.68M
664.72%368.71M
Gains losses not affecting retained earnings
932.47%3.23M
268.96%3.21M
354.68%2.29M
354.68%2.29M
---2.26M
---388K
---1.9M
---898K
---898K
---297K
Total stockholders'equity
-10.79%260.76M
-4.00%270.2M
-5.79%274.49M
-5.79%274.49M
-4.72%282.71M
--292.29M
--281.47M
2,529.70%291.37M
--291.37M
2,528.42%291.23M
Total equity
-10.79%260.76M
-4.00%270.2M
-5.79%274.49M
-5.79%274.49M
-4.72%282.71M
--292.29M
--281.47M
2,529.70%291.37M
--291.37M
2,528.42%291.23M
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
(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(FY)2021/09/30
Assets
Current assets
Cash, cash equivalents and short term investments -33.76%169.69M-34.23%176.95M-31.19%194.04M-31.19%194.04M-39.30%202.22M--256.16M--269.06M2,218.44%281.97M--281.97M2,400.63%304.13M
-Cash and cash equivalents -79.98%37.35M1,572.24%41.74M1,568.44%43.3M1,568.44%43.3M72.80%51.85M--186.56M--2.5M-78.66%2.6M--2.6M-42.84%6.95M
-Short-term investments 90.13%132.34M-49.28%135.21M-46.04%150.74M-46.04%150.74M-50.40%150.38M--69.61M--266.56M--279.37M--279.37M--297.18M
Receivables 132.89%22.53M173.50%16.46M96.05%10.88M96.05%10.88M558.35%11.27M--9.67M--6.02M408.06%5.55M--5.55M244.78%3.77M
-Accounts receivable 132.89%22.53M173.50%16.46M96.05%10.88M96.05%10.88M558.35%11.27M--9.67M--6.02M408.06%5.55M--5.55M244.78%3.77M
Prepaid assets ----------------49.19%10.77M--10.7M--8.5M572.40%6.8M--6.8M486.05%5.93M
Restricted cash 21.01%2.05M23.81%2.08M78.89%1.13M78.89%1.13M80.79%1.14M--1.69M--1.68M452.63%630K--630K452.63%630K
Other current assets --14.71M--13.71M--12.09M--12.09M------------------------
Total current assets -24.89%208.97M-26.66%209.2M-26.05%218.13M-26.05%218.13M-34.23%225.41M--278.23M--285.26M1,951.22%294.95M--294.95M2,086.85%314.45M
Non current assets
Net PPE 214.13%26.1M706.35%26.54M615.34%19.73M615.34%19.73M777.87%19.16M--8.31M--3.29M10.50%2.76M--2.76M4.65%2.61M
-Gross PPE 214.13%26.1M429.05%26.54M406.64%21.96M406.64%21.96M777.87%19.16M--8.31M--5.02M21.22%4.34M--4.34M13.31%4.05M
-Accumulated depreciation ---------41.66%-2.23M-41.66%-2.23M-----------1.73M-46.02%-1.58M---1.58M-33.33%-1.44M
Goodwill and other intangible assets 132.13%83.73M130.52%85.29M127.32%85.81M127.32%85.81M8,881.56%80.39M--36.07M--37M6,982.36%37.75M--37.75M4,762.10%25.92M
-Goodwill 198.60%39.8M199.29%39.89M195.96%39.45M195.96%39.45M--31.85M--13.33M--13.33M--13.33M--13.33M--13.27M
-Other intangible assets 93.17%43.93M91.80%45.4M89.86%46.37M89.86%46.37M--48.53M--22.74M--23.67M4,481.80%24.42M--24.42M2,272.23%12.64M
Investments and advances 95.00%390K95.00%390K95.00%390K95.00%390K95.00%390K--200K--200K0.00%200K--200K0.00%200K
Other non current assets -27.89%998K15.68%1.02M318.10%970K318.10%970K823.94%1.31M--1.38M--880K116.82%232K--232K105.61%220K
Total non current assets 141.97%111.21M173.72%113.23M161.12%106.9M161.12%106.9M2,860.56%101.25M--45.96M--41.37M1,127.19%40.94M--40.94M767.72%28.95M
Total assets -1.24%320.18M-1.28%322.43M-3.23%325.03M-3.23%325.03M-5.63%326.66M--324.19M--326.63M1,796.04%335.88M--335.88M1,838.44%343.39M
Liabilities
Current liabilities
Payables ------------------------------------472.94%4.45M
-accounts payable ------------------------------------472.94%4.45M
Current debt and capital lease obligation 85.28%4.38M712.30%4.03M667.58%3.36M667.58%3.36M688.89%2.63M--2.36M--496K-72.54%438K--438K-72.98%431K
-Current capital lease obligation 85.28%4.38M712.30%4.03M667.58%3.36M667.58%3.36M688.89%2.63M--2.36M--496K1.86%438K--438K0.23%431K
Current deferred liabilities 17.81%10.01M23.99%7.79M12.27%6.71M12.27%6.71M14.62%6.04M--8.5M--6.28M50.42%5.98M--5.98M17.14%4.65M
Current liabilities 58.13%29.27M46.98%23.21M108.14%26.61M108.14%26.61M91.58%20.23M--18.51M--15.79M101.50%12.78M--12.78M50.24%9.53M
Non current liabilities
Long term debt and capital lease obligation 429.16%19.83M4,361.80%20.79M5,284.89%14.97M5,284.89%14.97M15,180.00%14.52M--3.75M--466K-4.47%278K--278K-23.71%222K
-Long term capital lease obligation 429.16%19.83M4,361.80%20.79M5,284.89%14.97M5,284.89%14.97M15,180.00%14.52M--3.75M--466K-4.47%278K--278K-23.71%222K
Non current deferred liabilities 826.39%1.33M1,091.67%1.72M1,202.78%1.88M1,202.78%1.88M--144K--144K--144K--144K--144K--195K
Derivative product liabilities -5.40%8.98M-77.34%6.52M-77.38%7.08M-77.38%7.08M-76.63%9.07M--9.49M--28.76M--31.31M--31.31M--42.22M
Total non current liabilities 125.24%30.15M-1.17%29.03M-24.59%23.93M-24.59%23.93M-39.00%23.73M--13.38M--29.37M10,803.78%31.73M--31.73M14,550.86%42.63M
Total liabilities 86.29%59.42M15.67%52.23M13.53%50.54M13.53%50.54M-11.12%43.95M--31.9M--45.16M570.88%44.51M--44.51M686.21%52.17M
Shareholders'equity
Share capital 0.00%7K0.00%7K0.00%7K0.00%7K0.00%7K--7K--7K133.33%7K--7K133.33%7K
-common stock 0.00%7K0.00%7K0.00%7K0.00%7K0.00%7K--7K--7K133.33%7K--7K133.33%7K
-Preferred stock --0--0--0--0--0--0--0--0--0----
Retained earnings -59.59%-126.1M-30.24%-113.87M-35.67%-103.68M-35.67%-103.68M-29.79%-88.26M---79.02M---87.43M-105.77%-76.42M---76.42M-107.85%-77.19M
Paid-in capital 3.21%383.63M2.71%380.85M1.95%375.87M1.95%375.87M2.34%373.22M--371.69M--370.79M664.66%368.68M--368.68M664.72%368.71M
Gains losses not affecting retained earnings 932.47%3.23M268.96%3.21M354.68%2.29M354.68%2.29M---2.26M---388K---1.9M---898K---898K---297K
Total stockholders'equity -10.79%260.76M-4.00%270.2M-5.79%274.49M-5.79%274.49M-4.72%282.71M--292.29M--281.47M2,529.70%291.37M--291.37M2,528.42%291.23M
Total equity -10.79%260.76M-4.00%270.2M-5.79%274.49M-5.79%274.49M-4.72%282.71M--292.29M--281.47M2,529.70%291.37M--291.37M2,528.42%291.23M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion------------Unqualified Opinion
Paper Trade Start
Symbol
Direction
Buy
Sell
Types
LMT Order
Price
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Amount
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