US Stock MarketDetailed Quotes

THCP Thunder Bridge Capital Partners IV

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  • 10.510
  • 0.0000.00%
Close Apr 26 16:00 ET
105.92MMarket Cap51.27P/E (TTM)

Thunder Bridge Capital Partners IV Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q1)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-59.40%13K
-59.40%13K
76.17%203.51K
140.33%961.11K
-98.35%6.64K
-94.27%32.02K
-94.27%32.02K
-83.16%115.52K
662.33%399.9K
1,508.38%402.09K
-Cash and cash equivalents
-59.40%13K
-59.40%13K
76.17%203.51K
140.33%961.11K
-98.35%6.64K
-94.27%32.02K
-94.27%32.02K
-83.16%115.52K
662.33%399.9K
1,508.38%402.09K
Prepaid assets
-95.87%5K
-95.87%5K
-88.55%27.75K
-85.96%40.5K
-66.16%118.26K
-67.58%121.22K
-67.58%121.22K
-46.21%242.3K
--288.37K
--349.45K
Restricted cash
----
----
----
--207.09M
----
----
----
----
----
----
Total current assets
-88.25%18K
-88.25%18K
-35.37%231.26K
30,133.59%208.09M
-83.38%124.9K
-83.58%153.24K
-83.58%153.24K
-68.52%357.81K
1,212.06%688.28K
2,906.18%751.55K
Non current assets
Other non current assets
-84.45%37.27M
-84.45%37.27M
-84.49%36.88M
-84.58%36.51M
2.38%242.18M
1.37%239.77M
1.37%239.77M
0.53%237.79M
--236.72M
--236.56M
Total non current assets
-84.45%37.27M
-84.45%37.27M
-84.49%36.88M
-84.58%36.51M
2.38%242.18M
1.37%239.77M
1.37%239.77M
0.53%237.79M
63,262.77%236.72M
295,599.35%236.56M
Total assets
-84.46%37.29M
-84.46%37.29M
-84.41%37.12M
3.03%244.6M
2.10%242.3M
1.03%239.92M
1.03%239.92M
0.20%238.15M
55,622.85%237.41M
225,910.50%237.31M
Liabilities
Current liabilities
Payables
85.52%5.2M
85.52%5.2M
1,284.78%4.72M
58,723.89%211.67M
799.12%2.53M
1,215.68%2.8M
1,215.68%2.8M
2,350.61%341K
9.94%359.84K
156.37%281.37K
-accounts payable
-21.72%1.66M
-21.72%1.66M
365.93%1.59M
404.01%1.81M
522.06%1.75M
898.89%2.13M
898.89%2.13M
2,350.61%341K
9.94%359.84K
156.37%281.37K
-Total tax payable
423.67%3.53M
423.67%3.53M
--3.13M
--2.77M
--779.56K
--674.44K
--674.44K
----
----
----
-Other payable
----
----
----
--207.09M
----
----
----
----
----
----
Current debt and capital lease obligation
279.13%781K
279.13%781K
----
75.50%351K
--226K
--206K
--206K
--206K
90.48%200K
----
-Current debt
279.13%781K
279.13%781K
----
75.50%351K
--226K
--206K
--206K
--206K
90.48%200K
----
Current liabilities
98.78%5.98M
98.78%5.98M
763.28%4.72M
37,771.94%212.02M
879.44%2.76M
1,312.44%3.01M
1,312.44%3.01M
3,831.03%547K
29.50%559.84K
156.37%281.37K
Non current liabilities
Derivative product liabilities
-57.93%390.11K
-57.93%390.11K
37.71%537.21K
-20.52%927.32K
-71.36%876.13K
-77.54%927.32K
-77.54%927.32K
-91.98%390.11K
--1.17M
--3.06M
Total non current liabilities
-5.84%8.67M
-5.84%8.67M
1.70%8.82M
-2.53%9.21M
-19.26%9.15M
-25.81%9.21M
-25.81%9.21M
-34.03%8.67M
--9.45M
--11.34M
Total liabilities
19.92%14.65M
19.92%14.65M
46.90%13.54M
2,111.15%221.23M
2.51%11.91M
-3.23%12.21M
-3.23%12.21M
-29.94%9.22M
2,214.33%10.01M
10,487.07%11.62M
Shareholders'equity
Share capital
-84.53%37.03M
-84.53%37.03M
-84.49%36.89M
-84.58%36.51M
2.03%241.36M
1.21%239.41M
1.21%239.41M
0.53%237.79M
36,587,936.17%236.72M
36,562,517.31%236.56M
-common stock
-84.53%37.03M
-84.53%37.03M
-84.49%36.89M
-84.58%36.51M
2.03%241.36M
1.21%239.41M
1.21%239.41M
0.53%237.79M
36,587,936.17%236.72M
36,562,517.31%236.56M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-22.95%-14.38M
-22.95%-14.38M
-50.22%-13.31M
-40.99%-13.14M
-0.90%-10.97M
-0.07%-11.7M
-0.07%-11.7M
26.29%-8.86M
-29,716.73%-9.32M
-36,432.50%-10.87M
Paid-in capital
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total stockholders'equity
-90.06%22.65M
-90.06%22.65M
-89.70%23.58M
-89.72%23.37M
2.08%230.39M
1.27%227.71M
1.27%227.71M
1.97%228.93M
3,639,196.86%227.41M
4,751,504.55%225.69M
Total equity
-90.06%22.65M
-90.06%22.65M
-89.70%23.58M
-89.72%23.37M
2.08%230.39M
1.27%227.71M
1.27%227.71M
1.97%228.93M
3,639,196.86%227.41M
4,751,504.55%225.69M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
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(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(Q1)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -59.40%13K-59.40%13K76.17%203.51K140.33%961.11K-98.35%6.64K-94.27%32.02K-94.27%32.02K-83.16%115.52K662.33%399.9K1,508.38%402.09K
-Cash and cash equivalents -59.40%13K-59.40%13K76.17%203.51K140.33%961.11K-98.35%6.64K-94.27%32.02K-94.27%32.02K-83.16%115.52K662.33%399.9K1,508.38%402.09K
Prepaid assets -95.87%5K-95.87%5K-88.55%27.75K-85.96%40.5K-66.16%118.26K-67.58%121.22K-67.58%121.22K-46.21%242.3K--288.37K--349.45K
Restricted cash --------------207.09M------------------------
Total current assets -88.25%18K-88.25%18K-35.37%231.26K30,133.59%208.09M-83.38%124.9K-83.58%153.24K-83.58%153.24K-68.52%357.81K1,212.06%688.28K2,906.18%751.55K
Non current assets
Other non current assets -84.45%37.27M-84.45%37.27M-84.49%36.88M-84.58%36.51M2.38%242.18M1.37%239.77M1.37%239.77M0.53%237.79M--236.72M--236.56M
Total non current assets -84.45%37.27M-84.45%37.27M-84.49%36.88M-84.58%36.51M2.38%242.18M1.37%239.77M1.37%239.77M0.53%237.79M63,262.77%236.72M295,599.35%236.56M
Total assets -84.46%37.29M-84.46%37.29M-84.41%37.12M3.03%244.6M2.10%242.3M1.03%239.92M1.03%239.92M0.20%238.15M55,622.85%237.41M225,910.50%237.31M
Liabilities
Current liabilities
Payables 85.52%5.2M85.52%5.2M1,284.78%4.72M58,723.89%211.67M799.12%2.53M1,215.68%2.8M1,215.68%2.8M2,350.61%341K9.94%359.84K156.37%281.37K
-accounts payable -21.72%1.66M-21.72%1.66M365.93%1.59M404.01%1.81M522.06%1.75M898.89%2.13M898.89%2.13M2,350.61%341K9.94%359.84K156.37%281.37K
-Total tax payable 423.67%3.53M423.67%3.53M--3.13M--2.77M--779.56K--674.44K--674.44K------------
-Other payable --------------207.09M------------------------
Current debt and capital lease obligation 279.13%781K279.13%781K----75.50%351K--226K--206K--206K--206K90.48%200K----
-Current debt 279.13%781K279.13%781K----75.50%351K--226K--206K--206K--206K90.48%200K----
Current liabilities 98.78%5.98M98.78%5.98M763.28%4.72M37,771.94%212.02M879.44%2.76M1,312.44%3.01M1,312.44%3.01M3,831.03%547K29.50%559.84K156.37%281.37K
Non current liabilities
Derivative product liabilities -57.93%390.11K-57.93%390.11K37.71%537.21K-20.52%927.32K-71.36%876.13K-77.54%927.32K-77.54%927.32K-91.98%390.11K--1.17M--3.06M
Total non current liabilities -5.84%8.67M-5.84%8.67M1.70%8.82M-2.53%9.21M-19.26%9.15M-25.81%9.21M-25.81%9.21M-34.03%8.67M--9.45M--11.34M
Total liabilities 19.92%14.65M19.92%14.65M46.90%13.54M2,111.15%221.23M2.51%11.91M-3.23%12.21M-3.23%12.21M-29.94%9.22M2,214.33%10.01M10,487.07%11.62M
Shareholders'equity
Share capital -84.53%37.03M-84.53%37.03M-84.49%36.89M-84.58%36.51M2.03%241.36M1.21%239.41M1.21%239.41M0.53%237.79M36,587,936.17%236.72M36,562,517.31%236.56M
-common stock -84.53%37.03M-84.53%37.03M-84.49%36.89M-84.58%36.51M2.03%241.36M1.21%239.41M1.21%239.41M0.53%237.79M36,587,936.17%236.72M36,562,517.31%236.56M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -22.95%-14.38M-22.95%-14.38M-50.22%-13.31M-40.99%-13.14M-0.90%-10.97M-0.07%-11.7M-0.07%-11.7M26.29%-8.86M-29,716.73%-9.32M-36,432.50%-10.87M
Paid-in capital --0--0--0--0--0--0--0--0--0--0
Total stockholders'equity -90.06%22.65M-90.06%22.65M-89.70%23.58M-89.72%23.37M2.08%230.39M1.27%227.71M1.27%227.71M1.97%228.93M3,639,196.86%227.41M4,751,504.55%225.69M
Total equity -90.06%22.65M-90.06%22.65M-89.70%23.58M-89.72%23.37M2.08%230.39M1.27%227.71M1.27%227.71M1.97%228.93M3,639,196.86%227.41M4,751,504.55%225.69M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--------

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