CA Stock MarketDetailed Quotes

CWV Crown Point Energy Inc

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  • 0.040
  • 0.0000.00%
15min DelayMarket Closed Sep 19 16:00 ET
2.92MMarket Cap-266P/E (TTM)

Crown Point Energy Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
229.28%706.18K
-27.28%314.99K
432.70%2.86M
432.70%2.86M
-44.63%403.93K
-56.12%214.47K
136.23%433.15K
-83.34%536.75K
-83.34%536.75K
-77.97%729.46K
-Cash and cash equivalents
229.28%706.18K
-27.28%314.99K
-64.32%191.51K
-64.32%191.51K
-44.63%403.93K
-56.12%214.47K
136.23%433.15K
-83.34%536.75K
-83.34%536.75K
-77.97%729.46K
-Accounts receivable
-6.30%2.1M
-14.44%2.58M
-49.78%1.77M
-49.78%1.77M
-33.39%2.24M
-48.60%2.24M
54.87%3.02M
-0.96%3.52M
-0.96%3.52M
56.52%3.36M
-Due from related parties current
-25.22%416.09K
350.81%454.94K
260.31%290.77K
260.31%290.77K
590.72%1.09M
198.08%556.44K
--100.92K
--80.7K
--80.7K
--157.21K
-Other receivables
-14.35%583.87K
110.26%1.61M
-45.60%487.21K
-45.60%487.21K
--1.24M
--681.73K
--763.84K
-1.27%895.52K
-1.27%895.52K
----
Total current assets
-29.90%5.85M
-31.45%6.11M
-22.49%7.64M
-22.49%7.64M
-20.14%7.79M
-30.96%8.35M
19.27%8.92M
-3.99%9.85M
-3.99%9.85M
-0.13%9.76M
Non current assets
-Accumulated depreciation
-6.10%-86.77M
-5.83%-84.64M
-5.73%-82.48M
-5.73%-82.48M
-13.11%-83.64M
-13.47%-81.78M
-13.81%-79.98M
-13.81%-78.01M
-13.81%-78.01M
-10.79%-73.95M
-Long term equity investment
-47.43%5.83M
-15.29%11.27M
8.58%16.84M
8.58%16.84M
10.96%16.31M
326.73%11.1M
389.89%13.3M
349.19%15.51M
349.19%15.51M
218.14%14.7M
Non current note receivables
--364.34K
----
----
----
----
----
----
----
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Regulatory assets
-34.49%2.8M
-28.81%3.11M
-55.82%2.29M
-55.82%2.29M
-16.83%4.17M
-39.56%4.28M
10.46%4.37M
0.14%5.19M
0.14%5.19M
41.03%5.02M
Total assets
-65.05%407.01K
-79.22%285.12K
-77.29%375.41K
-77.29%375.41K
-46.86%919.11K
-50.33%1.16M
-39.70%1.37M
-11.58%1.65M
-11.58%1.65M
1.41%1.73M
Liabilities
Current liabilities
Current debt and capital lease obligation
143.74%27.21M
142.05%18.48M
188.09%13.29M
188.09%13.29M
136.46%7.96M
26.39%11.17M
73.46%7.63M
105.37%4.61M
105.37%4.61M
250.71%3.37M
-Current debt
152.07%26.88M
153.29%18.09M
210.02%12.81M
210.02%12.81M
124.54%7.45M
21.64%10.66M
65.00%7.14M
90.37%4.13M
90.37%4.13M
257.09%3.32M
-Current capital lease obligation
-33.84%331.24K
-21.02%388.73K
0.73%487.04K
0.73%487.04K
960.86%508.88K
650.12%500.66K
577.19%492.18K
528.77%483.53K
528.77%483.53K
56.80%47.97K
-accounts payable
9.61%4.53M
9.87%3.68M
1.30%3.37M
1.30%3.37M
-34.43%3.7M
-47.82%4.13M
-39.20%3.35M
29.54%3.32M
29.54%3.32M
59.76%5.64M
-Total tax payable
-28.58%17.59M
-16.86%23.84M
-2.01%30.53M
-2.01%30.53M
-13.50%29.89M
32.48%24.62M
55.97%28.68M
62.31%31.16M
62.31%31.16M
72.89%34.55M
-Other payable
1,513.00%2.63M
1,169.79%2.62M
-16.27%211.17K
-16.27%211.17K
-40.33%158.41K
-44.15%162.82K
-30.54%205.95K
-15.81%252.2K
-15.81%252.2K
-10.88%265.47K
Current accrued expenses
-12.76%1.64M
31.03%1.85M
1.36%1.91M
1.36%1.91M
--1.37M
--1.88M
--1.41M
99.36%1.89M
99.36%1.89M
----
Current provisions
1.72%369.35K
-1.26%364.92K
-1.33%360.55K
-1.33%360.55K
-16.61%367.8K
-18.15%363.09K
-16.60%369.56K
-38.81%365.42K
-38.81%365.42K
--441.03K
Current liabilities
88.33%34.33M
91.72%25.98M
74.58%19.42M
74.58%19.42M
54.18%14.65M
5.68%18.23M
30.06%13.55M
51.67%11.13M
51.67%11.13M
108.07%9.5M
Non current liabilities
-Long term debt
-47.30%375.05K
-57.55%357.79K
-61.11%378.12K
-61.11%378.12K
215.41%578.29K
279.43%711.7K
288.27%842.88K
300.13%972.36K
300.13%972.36K
79.06%183.35K
Non current accrued expenses
1.13%56.92M
1.48%58M
3.20%59.94M
3.20%59.94M
-9.80%56.48M
6.40%56.28M
11.61%57.15M
21.64%58.08M
21.64%58.08M
37.68%62.61M
Long term provisions
-47.44%5.46M
-12.43%10.91M
13.24%16.46M
13.24%16.46M
8.38%15.73M
330.40%10.38M
398.72%12.46M
352.91%14.54M
352.91%14.54M
221.29%14.52M
Regulatory liabilities
8.60%-235.01K
8.87%-234.48K
8.73%-235.04K
8.73%-235.04K
19.32%-256.86K
19.32%-257.11K
19.31%-257.32K
19.29%-257.52K
19.29%-257.52K
0.25%-318.38K
Non current deferred liabilities
-0.29%291.72K
-0.29%291.72K
115.59%291.72K
115.59%291.72K
--291.72K
--292.57K
--292.57K
-52.64%135.31K
-52.64%135.31K
----
Total non current liabilities
21.16%51.92M
17.98%49.82M
18.14%49.95M
18.14%49.95M
1.09%44.53M
19.58%42.85M
46.60%42.23M
59.37%42.28M
59.37%42.28M
79.43%44.05M
Shareholders'equity
Share capital
0.00%56.46M
0.00%56.46M
0.00%56.46M
0.00%56.46M
0.00%56.46M
0.00%56.46M
0.00%56.46M
0.00%56.46M
0.00%56.46M
0.00%56.46M
-common stock
0.00%56.46M
0.00%56.46M
0.00%56.46M
0.00%56.46M
0.00%56.46M
0.00%56.46M
0.00%56.46M
0.00%56.46M
0.00%56.46M
0.00%56.46M
Additional paid-in capital
0.00%691.34K
0.96%691.34K
2.39%691.34K
2.39%691.34K
3.90%691.34K
5.51%691.34K
8.49%684.79K
12.45%675.2K
12.45%675.2K
16.97%665.42K
Gains losses not affecting retained earnings
-0.09%-18.25M
0.08%-18.24M
0.24%-18.22M
0.24%-18.22M
0.15%-18.25M
0.35%-18.23M
-0.30%-18.26M
-0.24%-18.26M
-0.24%-18.26M
-0.30%-18.28M
Total equity
1.49%65.76M
0.67%66.73M
-0.58%67.79M
-0.58%67.79M
-11.30%64.43M
-0.74%64.79M
12.37%66.28M
16.94%68.18M
16.94%68.18M
30.77%72.64M
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 229.28%706.18K-27.28%314.99K432.70%2.86M432.70%2.86M-44.63%403.93K-56.12%214.47K136.23%433.15K-83.34%536.75K-83.34%536.75K-77.97%729.46K
-Cash and cash equivalents 229.28%706.18K-27.28%314.99K-64.32%191.51K-64.32%191.51K-44.63%403.93K-56.12%214.47K136.23%433.15K-83.34%536.75K-83.34%536.75K-77.97%729.46K
-Accounts receivable -6.30%2.1M-14.44%2.58M-49.78%1.77M-49.78%1.77M-33.39%2.24M-48.60%2.24M54.87%3.02M-0.96%3.52M-0.96%3.52M56.52%3.36M
-Due from related parties current -25.22%416.09K350.81%454.94K260.31%290.77K260.31%290.77K590.72%1.09M198.08%556.44K--100.92K--80.7K--80.7K--157.21K
-Other receivables -14.35%583.87K110.26%1.61M-45.60%487.21K-45.60%487.21K--1.24M--681.73K--763.84K-1.27%895.52K-1.27%895.52K----
Total current assets -29.90%5.85M-31.45%6.11M-22.49%7.64M-22.49%7.64M-20.14%7.79M-30.96%8.35M19.27%8.92M-3.99%9.85M-3.99%9.85M-0.13%9.76M
Non current assets
-Accumulated depreciation -6.10%-86.77M-5.83%-84.64M-5.73%-82.48M-5.73%-82.48M-13.11%-83.64M-13.47%-81.78M-13.81%-79.98M-13.81%-78.01M-13.81%-78.01M-10.79%-73.95M
-Long term equity investment -47.43%5.83M-15.29%11.27M8.58%16.84M8.58%16.84M10.96%16.31M326.73%11.1M389.89%13.3M349.19%15.51M349.19%15.51M218.14%14.7M
Non current note receivables --364.34K------------------------------------
Regulatory assets -34.49%2.8M-28.81%3.11M-55.82%2.29M-55.82%2.29M-16.83%4.17M-39.56%4.28M10.46%4.37M0.14%5.19M0.14%5.19M41.03%5.02M
Total assets -65.05%407.01K-79.22%285.12K-77.29%375.41K-77.29%375.41K-46.86%919.11K-50.33%1.16M-39.70%1.37M-11.58%1.65M-11.58%1.65M1.41%1.73M
Liabilities
Current liabilities
Current debt and capital lease obligation 143.74%27.21M142.05%18.48M188.09%13.29M188.09%13.29M136.46%7.96M26.39%11.17M73.46%7.63M105.37%4.61M105.37%4.61M250.71%3.37M
-Current debt 152.07%26.88M153.29%18.09M210.02%12.81M210.02%12.81M124.54%7.45M21.64%10.66M65.00%7.14M90.37%4.13M90.37%4.13M257.09%3.32M
-Current capital lease obligation -33.84%331.24K-21.02%388.73K0.73%487.04K0.73%487.04K960.86%508.88K650.12%500.66K577.19%492.18K528.77%483.53K528.77%483.53K56.80%47.97K
-accounts payable 9.61%4.53M9.87%3.68M1.30%3.37M1.30%3.37M-34.43%3.7M-47.82%4.13M-39.20%3.35M29.54%3.32M29.54%3.32M59.76%5.64M
-Total tax payable -28.58%17.59M-16.86%23.84M-2.01%30.53M-2.01%30.53M-13.50%29.89M32.48%24.62M55.97%28.68M62.31%31.16M62.31%31.16M72.89%34.55M
-Other payable 1,513.00%2.63M1,169.79%2.62M-16.27%211.17K-16.27%211.17K-40.33%158.41K-44.15%162.82K-30.54%205.95K-15.81%252.2K-15.81%252.2K-10.88%265.47K
Current accrued expenses -12.76%1.64M31.03%1.85M1.36%1.91M1.36%1.91M--1.37M--1.88M--1.41M99.36%1.89M99.36%1.89M----
Current provisions 1.72%369.35K-1.26%364.92K-1.33%360.55K-1.33%360.55K-16.61%367.8K-18.15%363.09K-16.60%369.56K-38.81%365.42K-38.81%365.42K--441.03K
Current liabilities 88.33%34.33M91.72%25.98M74.58%19.42M74.58%19.42M54.18%14.65M5.68%18.23M30.06%13.55M51.67%11.13M51.67%11.13M108.07%9.5M
Non current liabilities
-Long term debt -47.30%375.05K-57.55%357.79K-61.11%378.12K-61.11%378.12K215.41%578.29K279.43%711.7K288.27%842.88K300.13%972.36K300.13%972.36K79.06%183.35K
Non current accrued expenses 1.13%56.92M1.48%58M3.20%59.94M3.20%59.94M-9.80%56.48M6.40%56.28M11.61%57.15M21.64%58.08M21.64%58.08M37.68%62.61M
Long term provisions -47.44%5.46M-12.43%10.91M13.24%16.46M13.24%16.46M8.38%15.73M330.40%10.38M398.72%12.46M352.91%14.54M352.91%14.54M221.29%14.52M
Regulatory liabilities 8.60%-235.01K8.87%-234.48K8.73%-235.04K8.73%-235.04K19.32%-256.86K19.32%-257.11K19.31%-257.32K19.29%-257.52K19.29%-257.52K0.25%-318.38K
Non current deferred liabilities -0.29%291.72K-0.29%291.72K115.59%291.72K115.59%291.72K--291.72K--292.57K--292.57K-52.64%135.31K-52.64%135.31K----
Total non current liabilities 21.16%51.92M17.98%49.82M18.14%49.95M18.14%49.95M1.09%44.53M19.58%42.85M46.60%42.23M59.37%42.28M59.37%42.28M79.43%44.05M
Shareholders'equity
Share capital 0.00%56.46M0.00%56.46M0.00%56.46M0.00%56.46M0.00%56.46M0.00%56.46M0.00%56.46M0.00%56.46M0.00%56.46M0.00%56.46M
-common stock 0.00%56.46M0.00%56.46M0.00%56.46M0.00%56.46M0.00%56.46M0.00%56.46M0.00%56.46M0.00%56.46M0.00%56.46M0.00%56.46M
Additional paid-in capital 0.00%691.34K0.96%691.34K2.39%691.34K2.39%691.34K3.90%691.34K5.51%691.34K8.49%684.79K12.45%675.2K12.45%675.2K16.97%665.42K
Gains losses not affecting retained earnings -0.09%-18.25M0.08%-18.24M0.24%-18.22M0.24%-18.22M0.15%-18.25M0.35%-18.23M-0.30%-18.26M-0.24%-18.26M-0.24%-18.26M-0.30%-18.28M
Total equity 1.49%65.76M0.67%66.73M-0.58%67.79M-0.58%67.79M-11.30%64.43M-0.74%64.79M12.37%66.28M16.94%68.18M16.94%68.18M30.77%72.64M

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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