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SNIPF SNIPP INTERACTIVE INC

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  • 0.088000
  • +0.007000+8.64%
15min DelayClose May 3 16:00 ET
24.85MMarket Cap-4888P/E (TTM)

SNIPP INTERACTIVE INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-19.22%4.47M
-34.30%4.47M
148.27%4.71M
218.16%5.55M
218.16%5.55M
252.34%5.54M
202.86%6.8M
39.05%1.9M
-8.95%1.74M
-8.95%1.74M
-Cash and cash equivalents
-19.22%4.47M
-34.30%4.47M
148.27%4.71M
218.16%5.55M
218.16%5.55M
252.34%5.54M
202.86%6.8M
39.05%1.9M
-8.95%1.74M
-8.95%1.74M
Receivables
-8.57%3.21M
40.59%3.27M
-13.14%2.31M
77.30%2.52M
77.30%2.52M
88.04%3.51M
58.58%2.32M
92.05%2.66M
68.18%1.42M
68.18%1.42M
-Accounts receivable
-8.57%3.21M
40.59%3.27M
-13.14%2.31M
77.30%2.52M
77.30%2.52M
88.04%3.51M
58.58%2.32M
92.05%2.66M
68.18%1.42M
68.18%1.42M
Current deferred assets
--237.17K
--238.45K
--238.09K
-29.32%237.46K
-29.32%237.46K
----
----
----
78.71%335.94K
78.71%335.94K
Other current assets
51.29%1.07M
30.72%932.67K
34.44%923.27K
-11.31%805.85K
-11.31%805.85K
12.13%707.28K
65.20%713.48K
67.32%686.78K
115.85%908.65K
115.85%908.65K
Total current assets
-7.84%8.99M
-9.48%8.91M
56.10%8.18M
106.66%9.11M
106.66%9.11M
139.72%9.75M
137.49%9.84M
65.93%5.24M
30.86%4.41M
30.86%4.41M
Non current assets
Net PPE
63.36%30.84K
22.83%22.83K
7.44%21.7K
12.90%22.14K
12.90%22.14K
4.99%18.88K
8.68%18.59K
16.48%20.2K
9.78%19.61K
9.78%19.61K
-Gross PPE
9.29%270.18K
6.01%258.85K
4.96%255.06K
4.89%251.34K
4.89%251.34K
4.50%247.21K
4.44%244.17K
4.58%243.01K
4.05%239.63K
4.05%239.63K
-Accumulated depreciation
-4.82%-239.34K
-4.63%-236.01K
-4.73%-233.36K
-4.17%-229.2K
-4.17%-229.2K
-4.46%-228.33K
-4.11%-225.58K
-3.62%-222.81K
-3.57%-220.01K
-3.57%-220.01K
Goodwill and other intangible assets
0.34%6.23M
-0.21%6.34M
-4.71%6.18M
182.71%6.09M
182.71%6.09M
164.34%6.21M
156.00%6.36M
154.93%6.49M
-14.78%2.15M
-14.78%2.15M
-Goodwill
-4.34%3.51M
-1.95%3.59M
-3.99%3.52M
--3.52M
--3.52M
--3.67M
--3.67M
--3.67M
--0
--0
-Other intangible assets
7.09%2.72M
2.17%2.75M
-5.65%2.66M
19.48%2.57M
19.48%2.57M
8.25%2.54M
8.35%2.69M
10.93%2.82M
-14.78%2.15M
-14.78%2.15M
Non current deferred assets
--60.13K
--120.25K
--180.38K
80.20%240.5K
80.20%240.5K
----
----
----
280.47%133.46K
280.47%133.46K
Non current prepaid assets
----
----
----
--0
--0
----
----
--0
--300K
--300K
Total non current assets
1.50%6.32M
1.75%6.49M
-1.90%6.39M
143.65%6.35M
143.65%6.35M
163.12%6.23M
154.99%6.38M
154.00%6.51M
1.03%2.61M
1.03%2.61M
Total assets
-4.20%15.31M
-5.06%15.39M
23.97%14.57M
118.12%15.5M
118.12%15.5M
148.33%15.98M
144.08%16.21M
105.37%11.75M
16.54%7.1M
16.54%7.1M
Liabilities
Current liabilities
Payables
33.40%3.54M
61.86%3.62M
53.81%3.1M
72.26%3.37M
72.26%3.37M
-8.51%2.65M
-27.19%2.24M
-26.08%2.01M
-29.08%1.96M
-29.08%1.96M
-accounts payable
33.82%3.53M
61.56%3.59M
52.83%3.08M
70.79%3.34M
70.79%3.34M
-8.47%2.64M
-27.05%2.22M
-25.76%2.01M
-28.69%1.95M
-28.69%1.95M
-Due to related parties current
-63.43%4.12K
117.49%26.73K
--19.77K
977.18%34.27K
977.18%34.27K
-15.78%11.26K
-45.25%12.29K
--0
-83.66%3.18K
-83.66%3.18K
Current deferred liabilities
181.50%5.16M
126.64%4.8M
28.78%3.46M
-7.86%2.79M
-7.86%2.79M
5.57%1.83M
10.61%2.12M
75.83%2.68M
29.96%3.03M
29.96%3.03M
Current liabilities
93.92%8.69M
93.36%8.42M
39.51%6.55M
23.61%6.16M
23.61%6.16M
-3.23%4.48M
-12.68%4.35M
3.36%4.7M
-7.42%4.98M
-7.42%4.98M
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
93.92%8.69M
93.36%8.42M
39.51%6.55M
23.61%6.16M
23.61%6.16M
-3.23%4.48M
-12.68%4.35M
3.36%4.7M
-7.42%4.98M
-7.42%4.98M
Shareholders'equity
Share capital
-0.54%38.15M
-0.54%38.15M
15.10%38.15M
28.63%38.15M
28.63%38.15M
29.43%38.35M
29.48%38.35M
11.88%33.14M
0.11%29.66M
0.11%29.66M
-common stock
-0.54%38.15M
-0.54%38.15M
15.10%38.15M
28.63%38.15M
28.63%38.15M
29.43%38.35M
29.48%38.35M
11.88%33.14M
0.11%29.66M
0.11%29.66M
Retained earnings
-17.58%-36.65M
-17.30%-36.47M
-14.44%-35.11M
-4.34%-33.54M
-4.34%-33.54M
3.96%-31.17M
4.62%-31.09M
7.09%-30.68M
4.34%-32.15M
4.34%-32.15M
Paid-in capital
----
18.06%6.77M
----
----
----
7.63%5.9M
5.30%5.74M
1.41%5.49M
----
----
Gains losses not affecting retained earnings
355.62%5.12M
5.61%-1.48M
-25.59%-1.66M
-35.01%-1.75M
-35.01%-1.75M
-57.21%-2M
-26.24%-1.57M
-4.57%-1.32M
-15.43%-1.3M
-15.43%-1.3M
Other equity interest
----
----
1,473.21%6.64M
9.69%6.48M
9.69%6.48M
0.00%421.8K
0.00%421.8K
0.00%421.8K
1.55%5.91M
1.55%5.91M
Total stockholders'equity
-42.44%6.62M
-41.19%6.98M
13.62%8.02M
340.17%9.34M
340.17%9.34M
537.47%11.5M
615.61%11.86M
499.03%7.06M
197.40%2.12M
197.40%2.12M
Total equity
-42.44%6.62M
-41.19%6.98M
13.62%8.02M
340.17%9.34M
340.17%9.34M
537.47%11.5M
615.61%11.86M
499.03%7.06M
197.40%2.12M
197.40%2.12M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
(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(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -19.22%4.47M-34.30%4.47M148.27%4.71M218.16%5.55M218.16%5.55M252.34%5.54M202.86%6.8M39.05%1.9M-8.95%1.74M-8.95%1.74M
-Cash and cash equivalents -19.22%4.47M-34.30%4.47M148.27%4.71M218.16%5.55M218.16%5.55M252.34%5.54M202.86%6.8M39.05%1.9M-8.95%1.74M-8.95%1.74M
Receivables -8.57%3.21M40.59%3.27M-13.14%2.31M77.30%2.52M77.30%2.52M88.04%3.51M58.58%2.32M92.05%2.66M68.18%1.42M68.18%1.42M
-Accounts receivable -8.57%3.21M40.59%3.27M-13.14%2.31M77.30%2.52M77.30%2.52M88.04%3.51M58.58%2.32M92.05%2.66M68.18%1.42M68.18%1.42M
Current deferred assets --237.17K--238.45K--238.09K-29.32%237.46K-29.32%237.46K------------78.71%335.94K78.71%335.94K
Other current assets 51.29%1.07M30.72%932.67K34.44%923.27K-11.31%805.85K-11.31%805.85K12.13%707.28K65.20%713.48K67.32%686.78K115.85%908.65K115.85%908.65K
Total current assets -7.84%8.99M-9.48%8.91M56.10%8.18M106.66%9.11M106.66%9.11M139.72%9.75M137.49%9.84M65.93%5.24M30.86%4.41M30.86%4.41M
Non current assets
Net PPE 63.36%30.84K22.83%22.83K7.44%21.7K12.90%22.14K12.90%22.14K4.99%18.88K8.68%18.59K16.48%20.2K9.78%19.61K9.78%19.61K
-Gross PPE 9.29%270.18K6.01%258.85K4.96%255.06K4.89%251.34K4.89%251.34K4.50%247.21K4.44%244.17K4.58%243.01K4.05%239.63K4.05%239.63K
-Accumulated depreciation -4.82%-239.34K-4.63%-236.01K-4.73%-233.36K-4.17%-229.2K-4.17%-229.2K-4.46%-228.33K-4.11%-225.58K-3.62%-222.81K-3.57%-220.01K-3.57%-220.01K
Goodwill and other intangible assets 0.34%6.23M-0.21%6.34M-4.71%6.18M182.71%6.09M182.71%6.09M164.34%6.21M156.00%6.36M154.93%6.49M-14.78%2.15M-14.78%2.15M
-Goodwill -4.34%3.51M-1.95%3.59M-3.99%3.52M--3.52M--3.52M--3.67M--3.67M--3.67M--0--0
-Other intangible assets 7.09%2.72M2.17%2.75M-5.65%2.66M19.48%2.57M19.48%2.57M8.25%2.54M8.35%2.69M10.93%2.82M-14.78%2.15M-14.78%2.15M
Non current deferred assets --60.13K--120.25K--180.38K80.20%240.5K80.20%240.5K------------280.47%133.46K280.47%133.46K
Non current prepaid assets --------------0--0----------0--300K--300K
Total non current assets 1.50%6.32M1.75%6.49M-1.90%6.39M143.65%6.35M143.65%6.35M163.12%6.23M154.99%6.38M154.00%6.51M1.03%2.61M1.03%2.61M
Total assets -4.20%15.31M-5.06%15.39M23.97%14.57M118.12%15.5M118.12%15.5M148.33%15.98M144.08%16.21M105.37%11.75M16.54%7.1M16.54%7.1M
Liabilities
Current liabilities
Payables 33.40%3.54M61.86%3.62M53.81%3.1M72.26%3.37M72.26%3.37M-8.51%2.65M-27.19%2.24M-26.08%2.01M-29.08%1.96M-29.08%1.96M
-accounts payable 33.82%3.53M61.56%3.59M52.83%3.08M70.79%3.34M70.79%3.34M-8.47%2.64M-27.05%2.22M-25.76%2.01M-28.69%1.95M-28.69%1.95M
-Due to related parties current -63.43%4.12K117.49%26.73K--19.77K977.18%34.27K977.18%34.27K-15.78%11.26K-45.25%12.29K--0-83.66%3.18K-83.66%3.18K
Current deferred liabilities 181.50%5.16M126.64%4.8M28.78%3.46M-7.86%2.79M-7.86%2.79M5.57%1.83M10.61%2.12M75.83%2.68M29.96%3.03M29.96%3.03M
Current liabilities 93.92%8.69M93.36%8.42M39.51%6.55M23.61%6.16M23.61%6.16M-3.23%4.48M-12.68%4.35M3.36%4.7M-7.42%4.98M-7.42%4.98M
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities 93.92%8.69M93.36%8.42M39.51%6.55M23.61%6.16M23.61%6.16M-3.23%4.48M-12.68%4.35M3.36%4.7M-7.42%4.98M-7.42%4.98M
Shareholders'equity
Share capital -0.54%38.15M-0.54%38.15M15.10%38.15M28.63%38.15M28.63%38.15M29.43%38.35M29.48%38.35M11.88%33.14M0.11%29.66M0.11%29.66M
-common stock -0.54%38.15M-0.54%38.15M15.10%38.15M28.63%38.15M28.63%38.15M29.43%38.35M29.48%38.35M11.88%33.14M0.11%29.66M0.11%29.66M
Retained earnings -17.58%-36.65M-17.30%-36.47M-14.44%-35.11M-4.34%-33.54M-4.34%-33.54M3.96%-31.17M4.62%-31.09M7.09%-30.68M4.34%-32.15M4.34%-32.15M
Paid-in capital ----18.06%6.77M------------7.63%5.9M5.30%5.74M1.41%5.49M--------
Gains losses not affecting retained earnings 355.62%5.12M5.61%-1.48M-25.59%-1.66M-35.01%-1.75M-35.01%-1.75M-57.21%-2M-26.24%-1.57M-4.57%-1.32M-15.43%-1.3M-15.43%-1.3M
Other equity interest --------1,473.21%6.64M9.69%6.48M9.69%6.48M0.00%421.8K0.00%421.8K0.00%421.8K1.55%5.91M1.55%5.91M
Total stockholders'equity -42.44%6.62M-41.19%6.98M13.62%8.02M340.17%9.34M340.17%9.34M537.47%11.5M615.61%11.86M499.03%7.06M197.40%2.12M197.40%2.12M
Total equity -42.44%6.62M-41.19%6.98M13.62%8.02M340.17%9.34M340.17%9.34M537.47%11.5M615.61%11.86M499.03%7.06M197.40%2.12M197.40%2.12M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--

Analysis

Analyst Rating

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Price Target

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