US Stock MarketDetailed Quotes

KTPPF KATIPULT TECHNOLOGY CORP

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  • 0.011100
  • 0.0000000.00%
15min DelayClose Jun 14 09:30 ET
793.91KMarket Cap-740P/E (TTM)

KATIPULT TECHNOLOGY CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-73.49%387K
-56.06%602K
-56.06%602K
-28.97%1.18M
-34.42%1.27M
-31.26%1.46M
-45.27%1.37M
-45.27%1.37M
-46.16%1.67M
-44.71%1.93M
-Cash and cash equivalents
-73.49%387K
-56.06%602K
-56.06%602K
-28.97%1.18M
-34.42%1.27M
-31.26%1.46M
-45.27%1.37M
-45.27%1.37M
-46.16%1.67M
-44.71%1.93M
Receivables
-11.46%309K
-10.59%287K
-10.59%287K
-71.72%28K
265.32%453K
112.80%349K
872.73%321K
872.73%321K
560.00%99K
275.76%124K
-Accounts receivable
-91.12%31K
-43.61%181K
-43.61%181K
-71.72%28K
265.32%453K
112.80%349K
872.73%321K
872.73%321K
560.00%99K
275.76%124K
-Other receivables
--278K
--106K
--106K
----
----
----
----
----
----
----
Prepaid assets
0.00%7K
0.00%2K
0.00%2K
33.33%4K
-64.29%5K
-50.00%7K
-84.62%2K
-84.62%2K
-81.25%3K
-36.36%14K
Total current assets
-61.29%703K
-47.37%891K
-47.37%891K
-31.26%1.22M
-16.67%1.73M
-21.11%1.82M
-33.58%1.69M
-33.58%1.69M
-43.43%1.77M
-41.67%2.07M
Non current assets
Net PPE
----
----
----
----
----
----
----
----
-96.15%1K
-91.43%3K
-Gross PPE
----
----
----
----
----
----
----
----
-96.15%1K
-91.43%3K
Total non current assets
--0
--0
--0
--0
--0
--0
--0
--0
-96.15%1K
-91.43%3K
Total assets
-61.29%703K
-47.37%891K
-47.37%891K
-31.30%1.22M
-16.79%1.73M
-21.49%1.82M
-34.05%1.69M
-34.05%1.69M
-43.86%1.77M
-42.16%2.07M
Liabilities
Current liabilities
Current debt and capital lease obligation
8,606.38%4.09M
9,258.14%4.02M
9,258.14%4.02M
--3.9M
2,450.00%51K
291.67%47K
104.76%43K
104.76%43K
----
-94.59%2K
-Current debt
8,606.38%4.09M
9,258.14%4.02M
9,258.14%4.02M
--3.9M
--51K
--47K
--43K
--43K
----
----
-Current capital lease obligation
----
----
----
----
----
----
----
----
--0
-94.59%2K
Current deferred liabilities
-64.29%300K
-36.71%393K
-36.71%393K
10.96%587K
46.46%971K
39.77%840K
72.98%621K
72.98%621K
-15.76%529K
-7.66%663K
Current liabilities
301.61%4.74M
396.52%4.71M
396.52%4.71M
535.85%4.88M
52.44%1.37M
33.22%1.18M
26.03%949K
26.03%949K
-14.01%767K
-5.16%900K
Non current liabilities
Long term debt and capital lease obligation
-69.32%1.49M
-68.25%1.33M
-68.25%1.33M
-73.89%1.21M
17.71%5.04M
21.80%4.86M
13.56%4.19M
13.56%4.19M
24.95%4.64M
21.77%4.29M
-Long term debt
-69.32%1.49M
-68.25%1.33M
-68.25%1.33M
-73.89%1.21M
17.71%5.04M
21.80%4.86M
13.56%4.19M
13.56%4.19M
24.98%4.64M
21.87%4.29M
Total non current liabilities
-69.32%1.49M
-68.25%1.33M
-68.25%1.33M
-73.89%1.21M
17.71%5.04M
21.80%4.86M
13.56%4.19M
13.56%4.19M
24.95%4.64M
21.77%4.29M
Total liabilities
3.10%6.23M
17.64%6.04M
17.64%6.04M
12.64%6.09M
23.74%6.42M
23.88%6.04M
15.68%5.14M
15.68%5.14M
17.40%5.41M
16.05%5.19M
Shareholders'equity
Share capital
0.00%2.53M
0.00%2.53M
0.00%2.53M
0.00%2.53M
0.00%2.53M
0.00%2.53M
0.00%2.53M
0.00%2.53M
0.00%2.53M
4.28%2.53M
-common stock
0.00%2.53M
0.00%2.53M
0.00%2.53M
0.00%2.53M
0.00%2.53M
0.00%2.53M
0.00%2.53M
0.00%2.53M
0.00%2.53M
4.28%2.53M
Retained earnings
-13.84%-11.07M
-19.78%-10.69M
-19.78%-10.69M
-14.46%-10.41M
-19.68%-10.21M
-21.13%-9.73M
-21.97%-8.93M
-21.97%-8.93M
-32.54%-9.09M
-37.37%-8.53M
Paid-in capital
2.74%1.73M
3.49%1.72M
3.49%1.72M
4.78%1.71M
6.27%1.7M
2.19%1.68M
2.34%1.66M
2.34%1.66M
3.16%1.63M
-0.56%1.6M
Other equity interest
0.00%1.29M
0.00%1.29M
0.00%1.29M
0.00%1.29M
0.00%1.29M
0.00%1.29M
0.00%1.29M
0.00%1.29M
-0.15%1.29M
-0.15%1.29M
Total stockholders'equity
-30.78%-5.52M
-49.62%-5.15M
-49.62%-5.15M
-34.03%-4.87M
-50.74%-4.69M
-64.83%-4.22M
-83.87%-3.44M
-83.87%-3.44M
-150.52%-3.64M
-252.04%-3.11M
Total equity
-30.78%-5.52M
-49.62%-5.15M
-49.62%-5.15M
-34.03%-4.87M
-50.74%-4.69M
-64.83%-4.22M
-83.87%-3.44M
-83.87%-3.44M
-150.52%-3.64M
-252.04%-3.11M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(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(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -73.49%387K-56.06%602K-56.06%602K-28.97%1.18M-34.42%1.27M-31.26%1.46M-45.27%1.37M-45.27%1.37M-46.16%1.67M-44.71%1.93M
-Cash and cash equivalents -73.49%387K-56.06%602K-56.06%602K-28.97%1.18M-34.42%1.27M-31.26%1.46M-45.27%1.37M-45.27%1.37M-46.16%1.67M-44.71%1.93M
Receivables -11.46%309K-10.59%287K-10.59%287K-71.72%28K265.32%453K112.80%349K872.73%321K872.73%321K560.00%99K275.76%124K
-Accounts receivable -91.12%31K-43.61%181K-43.61%181K-71.72%28K265.32%453K112.80%349K872.73%321K872.73%321K560.00%99K275.76%124K
-Other receivables --278K--106K--106K----------------------------
Prepaid assets 0.00%7K0.00%2K0.00%2K33.33%4K-64.29%5K-50.00%7K-84.62%2K-84.62%2K-81.25%3K-36.36%14K
Total current assets -61.29%703K-47.37%891K-47.37%891K-31.26%1.22M-16.67%1.73M-21.11%1.82M-33.58%1.69M-33.58%1.69M-43.43%1.77M-41.67%2.07M
Non current assets
Net PPE ---------------------------------96.15%1K-91.43%3K
-Gross PPE ---------------------------------96.15%1K-91.43%3K
Total non current assets --0--0--0--0--0--0--0--0-96.15%1K-91.43%3K
Total assets -61.29%703K-47.37%891K-47.37%891K-31.30%1.22M-16.79%1.73M-21.49%1.82M-34.05%1.69M-34.05%1.69M-43.86%1.77M-42.16%2.07M
Liabilities
Current liabilities
Current debt and capital lease obligation 8,606.38%4.09M9,258.14%4.02M9,258.14%4.02M--3.9M2,450.00%51K291.67%47K104.76%43K104.76%43K-----94.59%2K
-Current debt 8,606.38%4.09M9,258.14%4.02M9,258.14%4.02M--3.9M--51K--47K--43K--43K--------
-Current capital lease obligation ----------------------------------0-94.59%2K
Current deferred liabilities -64.29%300K-36.71%393K-36.71%393K10.96%587K46.46%971K39.77%840K72.98%621K72.98%621K-15.76%529K-7.66%663K
Current liabilities 301.61%4.74M396.52%4.71M396.52%4.71M535.85%4.88M52.44%1.37M33.22%1.18M26.03%949K26.03%949K-14.01%767K-5.16%900K
Non current liabilities
Long term debt and capital lease obligation -69.32%1.49M-68.25%1.33M-68.25%1.33M-73.89%1.21M17.71%5.04M21.80%4.86M13.56%4.19M13.56%4.19M24.95%4.64M21.77%4.29M
-Long term debt -69.32%1.49M-68.25%1.33M-68.25%1.33M-73.89%1.21M17.71%5.04M21.80%4.86M13.56%4.19M13.56%4.19M24.98%4.64M21.87%4.29M
Total non current liabilities -69.32%1.49M-68.25%1.33M-68.25%1.33M-73.89%1.21M17.71%5.04M21.80%4.86M13.56%4.19M13.56%4.19M24.95%4.64M21.77%4.29M
Total liabilities 3.10%6.23M17.64%6.04M17.64%6.04M12.64%6.09M23.74%6.42M23.88%6.04M15.68%5.14M15.68%5.14M17.40%5.41M16.05%5.19M
Shareholders'equity
Share capital 0.00%2.53M0.00%2.53M0.00%2.53M0.00%2.53M0.00%2.53M0.00%2.53M0.00%2.53M0.00%2.53M0.00%2.53M4.28%2.53M
-common stock 0.00%2.53M0.00%2.53M0.00%2.53M0.00%2.53M0.00%2.53M0.00%2.53M0.00%2.53M0.00%2.53M0.00%2.53M4.28%2.53M
Retained earnings -13.84%-11.07M-19.78%-10.69M-19.78%-10.69M-14.46%-10.41M-19.68%-10.21M-21.13%-9.73M-21.97%-8.93M-21.97%-8.93M-32.54%-9.09M-37.37%-8.53M
Paid-in capital 2.74%1.73M3.49%1.72M3.49%1.72M4.78%1.71M6.27%1.7M2.19%1.68M2.34%1.66M2.34%1.66M3.16%1.63M-0.56%1.6M
Other equity interest 0.00%1.29M0.00%1.29M0.00%1.29M0.00%1.29M0.00%1.29M0.00%1.29M0.00%1.29M0.00%1.29M-0.15%1.29M-0.15%1.29M
Total stockholders'equity -30.78%-5.52M-49.62%-5.15M-49.62%-5.15M-34.03%-4.87M-50.74%-4.69M-64.83%-4.22M-83.87%-3.44M-83.87%-3.44M-150.52%-3.64M-252.04%-3.11M
Total equity -30.78%-5.52M-49.62%-5.15M-49.62%-5.15M-34.03%-4.87M-50.74%-4.69M-64.83%-4.22M-83.87%-3.44M-83.87%-3.44M-150.52%-3.64M-252.04%-3.11M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------

Analysis

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