US Stock MarketDetailed Quotes

WAVD WaveDancer

Watchlist
  • 2.3200
  • -0.1500-6.07%
Close May 31 16:00 ET
  • 2.4300
  • +0.1100+4.74%
Post 17:10 ET
4.67MMarket Cap-3462P/E (TTM)

WaveDancer 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
-30.86%563.32K
-6.71%682K
-6.71%682K
-42.35%877.2K
-41.57%338.3K
-72.84%814.72K
-85.17%731.08K
-85.17%731.08K
-58.68%1.52M
-62.23%578.98K
-Cash and cash equivalents
-30.86%563.32K
-6.71%682K
-6.71%682K
-42.35%877.2K
-41.57%338.3K
-72.84%814.72K
-85.17%731.08K
-85.17%731.08K
-58.68%1.52M
-62.23%578.98K
Receivables
-52.51%776.03K
-31.40%1.12M
-31.40%1.12M
-3.42%1.48M
-51.58%1.73M
-2.28%1.63M
-2.12%1.63M
-2.12%1.63M
-46.70%1.53M
39.16%3.58M
-Accounts receivable
-52.58%774.76K
-31.48%1.12M
-31.48%1.12M
-3.50%1.48M
-52.37%1.71M
0.54%1.63M
2.20%1.63M
2.20%1.63M
-45.92%1.53M
78.12%3.58M
-Other receivables
--1.26K
--1.26K
--1.26K
--1.26K
--28.31K
----
----
----
----
----
Prepaid assets
----
21.14%116.5K
21.14%116.5K
----
----
----
32.10%96.17K
32.10%96.17K
----
----
Current deferred assets
----
-71.31%87.99K
-71.31%87.99K
----
----
----
98.89%306.72K
98.89%306.72K
----
----
Other current assets
-73.32%220.59K
58.92%62.87K
58.92%62.87K
20.24%363.67K
76.35%525.85K
80.24%826.8K
-20.84%39.56K
-20.84%39.56K
4.61%302.44K
115.00%298.18K
Total current assets
-52.38%1.56M
-26.25%2.07M
-26.25%2.07M
-18.94%2.72M
-41.73%2.6M
-36.15%3.28M
-59.22%2.8M
-59.22%2.8M
-50.98%3.36M
5.04%4.46M
Non current assets
Net PPE
-76.97%99.78K
-36.10%303.57K
-36.10%303.57K
-58.94%345.84K
-43.49%391.35K
-40.77%433.28K
-38.95%475.1K
-38.95%475.1K
121.26%842.18K
87.10%692.49K
-Gross PPE
-35.24%540.77K
-15.06%736.19K
-15.06%736.19K
-37.09%769.75K
-24.75%802.69K
-23.60%835.01K
-23.03%866.72K
-23.03%866.72K
67.64%1.22M
53.58%1.07M
-Accumulated depreciation
-9.77%-440.99K
-10.47%-432.62K
-10.47%-432.62K
-11.13%-423.92K
-9.93%-411.33K
-11.18%-401.73K
-12.57%-391.63K
-12.57%-391.63K
-9.21%-381.47K
-15.33%-374.19K
Goodwill and other intangible assets
-7.79%2.09M
-7.64%2.13M
-7.64%2.13M
-82.36%2.17M
-85.14%2.22M
-85.20%2.26M
-85.24%2.31M
-85.24%2.31M
463.76%12.33M
569.36%14.93M
-Goodwill
0.00%1.13M
0.00%1.13M
0.00%1.13M
-78.89%1.13M
-85.17%1.13M
-85.17%1.13M
-85.17%1.13M
-85.17%1.13M
579.06%5.33M
866.28%7.59M
-Other intangible assets
-15.49%961.48K
-14.91%1.01M
-14.91%1.01M
-85.00%1.05M
-85.12%1.09M
-85.22%1.14M
-85.32%1.18M
-85.32%1.18M
399.20%7M
408.19%7.35M
Investments and advances
----
----
----
----
--335.48K
--557.13K
----
----
----
----
Non current accounts receivable
----
----
----
----
--682K
--682K
----
----
----
----
Other non current assets
-76.77%18.42K
-99.23%18.42K
-99.23%18.42K
-74.00%20.62K
-73.25%20.62K
2.86%79.31K
3,007.85%2.4M
3,007.85%2.4M
1,289.61%79.31K
1,251.21%77.1K
Total non current assets
-45.08%2.2M
-52.63%2.45M
-52.63%2.45M
-80.82%2.54M
-76.77%3.65M
-75.05%4.01M
-68.60%5.18M
-68.60%5.18M
414.93%13.25M
502.39%15.7M
Total assets
-48.36%3.76M
-43.37%4.52M
-43.37%4.52M
-68.32%5.26M
-69.02%6.25M
-65.65%7.29M
-65.84%7.98M
-65.84%7.98M
76.31%16.61M
194.23%20.16M
Liabilities
Current liabilities
Payables
13.42%665.77K
-37.73%437.11K
-37.73%437.11K
15.60%523.29K
-51.97%863.18K
6.27%586.98K
-19.76%701.92K
-19.76%701.92K
-61.08%452.66K
79.00%1.8M
-accounts payable
28.94%662.32K
-29.69%403.44K
-29.69%403.44K
117.92%495.9K
-45.72%839.71K
69.90%513.65K
-11.79%573.79K
-11.79%573.79K
-75.44%227.56K
106.83%1.55M
-Total tax payable
11.25%3.45K
11.25%3.45K
11.25%3.45K
--3.1K
--3.1K
--3.1K
--3.1K
--3.1K
----
----
-Other payable
----
-75.83%30.22K
-75.83%30.22K
-89.21%24.3K
-91.86%20.36K
-71.92%70.22K
-44.24%125.03K
-44.24%125.03K
-4.80%225.1K
-2.28%250.23K
Current accrued expenses
-27.28%710.44K
-5.41%882.66K
-5.41%882.66K
-40.58%821.19K
-18.75%1.04M
-31.59%976.97K
37.79%933.13K
37.79%933.13K
115.82%1.38M
86.84%1.28M
Current debt and capital lease obligation
-61.08%578.78K
5.56%663.28K
5.56%663.28K
299.70%812.77K
602.14%1.4M
674.09%1.49M
227.04%628.34K
227.04%628.34K
-83.54%203.34K
-84.35%199.55K
-Current debt
-60.82%500K
17.65%500K
17.65%500K
--594.07K
--1.19M
--1.28M
--425K
--425K
----
----
-Current capital lease obligation
-62.68%78.78K
-19.70%163.28K
-19.70%163.28K
7.55%218.7K
7.75%215.02K
9.86%211.08K
5.84%203.34K
5.84%203.34K
467.92%203.34K
1,008.14%199.55K
Current deferred liabilities
-94.56%85.04K
-92.83%114.54K
-92.83%114.54K
-30.94%26.03K
-56.58%72K
943.92%1.56M
755.22%1.6M
755.22%1.6M
-51.71%37.69K
56.63%165.84K
Other current liabilities
----
-97.38%711
-97.38%711
----
----
----
-46.68%27.16K
-46.68%27.16K
----
----
Current liabilities
-55.79%2.04M
-46.04%2.1M
-46.04%2.1M
5.19%2.18M
-1.95%3.38M
98.68%4.61M
96.20%3.89M
96.20%3.89M
-33.41%2.08M
12.18%3.45M
Non current liabilities
Long term debt and capital lease obligation
--0
-55.02%136.65K
-55.02%136.65K
-61.87%134.79K
-52.99%190.75K
-46.64%245.74K
-40.10%303.78K
-40.10%303.78K
-46.52%353.49K
-56.62%405.76K
-Long term capital lease obligation
--0
-55.02%136.65K
-55.02%136.65K
-61.87%134.79K
-52.99%190.75K
-46.64%245.74K
-40.10%303.78K
-40.10%303.78K
35.88%353.49K
48.14%405.76K
Non current deferred liabilities
-72.62%16.19K
-72.62%16.19K
-72.62%16.19K
-96.18%59.12K
-73.51%59.12K
-86.61%59.12K
-97.64%59.12K
-97.64%59.12K
--1.55M
--223.16K
Other non current liabilities
----
----
----
----
----
----
----
----
----
--1.37M
Total non current liabilities
-94.69%16.19K
-57.88%152.84K
-57.88%152.84K
-89.81%193.91K
-87.53%249.87K
-90.47%304.86K
-90.79%362.9K
-90.79%362.9K
187.78%1.9M
114.13%2M
Total liabilities
-58.20%2.06M
-47.05%2.25M
-47.05%2.25M
-40.24%2.38M
-33.40%3.63M
-10.91%4.92M
-28.21%4.25M
-28.21%4.25M
5.29%3.98M
35.97%5.45M
Shareholders'equity
Share capital
-89.59%2.18K
4.61%2.18K
4.61%2.18K
-89.68%2.15K
9.95%20.93K
10.25%20.93K
-88.96%2.08K
-88.96%2.08K
-86.27%20.81K
-86.09%19.04K
-common stock
-89.59%2.18K
4.61%2.18K
4.61%2.18K
-89.68%2.15K
9.95%20.93K
10.25%20.93K
-88.96%2.08K
-88.96%2.08K
-86.27%20.81K
-86.09%19.04K
Retained earnings
-4.17%-33.9M
-6.52%-33.23M
-6.52%-33.23M
-49.28%-32.46M
-89.58%-32.31M
-109.73%-32.54M
-132.13%-31.19M
-132.13%-31.19M
-79.87%-21.74M
-42.11%-17.04M
Paid-in capital
1.99%36.57M
1.60%36.46M
1.60%36.46M
2.80%36.3M
9.80%35.87M
11.60%35.86M
12.88%35.88M
12.88%35.88M
90.81%35.32M
109.00%32.67M
Less: Treasury stock
0.00%965.21K
0.00%965.21K
0.00%965.21K
0.00%965.21K
3.76%965.21K
3.76%965.21K
3.76%965.21K
3.76%965.21K
3.76%965.21K
0.00%930.21K
Total stockholders'equity
-27.95%1.71M
-39.18%2.27M
-39.18%2.27M
-77.16%2.88M
-82.21%2.62M
-84.90%2.37M
-78.61%3.73M
-78.61%3.73M
123.86%12.63M
417.20%14.71M
Total equity
-27.95%1.71M
-39.18%2.27M
-39.18%2.27M
-77.16%2.88M
-82.21%2.62M
-84.90%2.37M
-78.61%3.73M
-78.61%3.73M
123.86%12.63M
417.20%14.71M
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 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 -30.86%563.32K-6.71%682K-6.71%682K-42.35%877.2K-41.57%338.3K-72.84%814.72K-85.17%731.08K-85.17%731.08K-58.68%1.52M-62.23%578.98K
-Cash and cash equivalents -30.86%563.32K-6.71%682K-6.71%682K-42.35%877.2K-41.57%338.3K-72.84%814.72K-85.17%731.08K-85.17%731.08K-58.68%1.52M-62.23%578.98K
Receivables -52.51%776.03K-31.40%1.12M-31.40%1.12M-3.42%1.48M-51.58%1.73M-2.28%1.63M-2.12%1.63M-2.12%1.63M-46.70%1.53M39.16%3.58M
-Accounts receivable -52.58%774.76K-31.48%1.12M-31.48%1.12M-3.50%1.48M-52.37%1.71M0.54%1.63M2.20%1.63M2.20%1.63M-45.92%1.53M78.12%3.58M
-Other receivables --1.26K--1.26K--1.26K--1.26K--28.31K--------------------
Prepaid assets ----21.14%116.5K21.14%116.5K------------32.10%96.17K32.10%96.17K--------
Current deferred assets -----71.31%87.99K-71.31%87.99K------------98.89%306.72K98.89%306.72K--------
Other current assets -73.32%220.59K58.92%62.87K58.92%62.87K20.24%363.67K76.35%525.85K80.24%826.8K-20.84%39.56K-20.84%39.56K4.61%302.44K115.00%298.18K
Total current assets -52.38%1.56M-26.25%2.07M-26.25%2.07M-18.94%2.72M-41.73%2.6M-36.15%3.28M-59.22%2.8M-59.22%2.8M-50.98%3.36M5.04%4.46M
Non current assets
Net PPE -76.97%99.78K-36.10%303.57K-36.10%303.57K-58.94%345.84K-43.49%391.35K-40.77%433.28K-38.95%475.1K-38.95%475.1K121.26%842.18K87.10%692.49K
-Gross PPE -35.24%540.77K-15.06%736.19K-15.06%736.19K-37.09%769.75K-24.75%802.69K-23.60%835.01K-23.03%866.72K-23.03%866.72K67.64%1.22M53.58%1.07M
-Accumulated depreciation -9.77%-440.99K-10.47%-432.62K-10.47%-432.62K-11.13%-423.92K-9.93%-411.33K-11.18%-401.73K-12.57%-391.63K-12.57%-391.63K-9.21%-381.47K-15.33%-374.19K
Goodwill and other intangible assets -7.79%2.09M-7.64%2.13M-7.64%2.13M-82.36%2.17M-85.14%2.22M-85.20%2.26M-85.24%2.31M-85.24%2.31M463.76%12.33M569.36%14.93M
-Goodwill 0.00%1.13M0.00%1.13M0.00%1.13M-78.89%1.13M-85.17%1.13M-85.17%1.13M-85.17%1.13M-85.17%1.13M579.06%5.33M866.28%7.59M
-Other intangible assets -15.49%961.48K-14.91%1.01M-14.91%1.01M-85.00%1.05M-85.12%1.09M-85.22%1.14M-85.32%1.18M-85.32%1.18M399.20%7M408.19%7.35M
Investments and advances ------------------335.48K--557.13K----------------
Non current accounts receivable ------------------682K--682K----------------
Other non current assets -76.77%18.42K-99.23%18.42K-99.23%18.42K-74.00%20.62K-73.25%20.62K2.86%79.31K3,007.85%2.4M3,007.85%2.4M1,289.61%79.31K1,251.21%77.1K
Total non current assets -45.08%2.2M-52.63%2.45M-52.63%2.45M-80.82%2.54M-76.77%3.65M-75.05%4.01M-68.60%5.18M-68.60%5.18M414.93%13.25M502.39%15.7M
Total assets -48.36%3.76M-43.37%4.52M-43.37%4.52M-68.32%5.26M-69.02%6.25M-65.65%7.29M-65.84%7.98M-65.84%7.98M76.31%16.61M194.23%20.16M
Liabilities
Current liabilities
Payables 13.42%665.77K-37.73%437.11K-37.73%437.11K15.60%523.29K-51.97%863.18K6.27%586.98K-19.76%701.92K-19.76%701.92K-61.08%452.66K79.00%1.8M
-accounts payable 28.94%662.32K-29.69%403.44K-29.69%403.44K117.92%495.9K-45.72%839.71K69.90%513.65K-11.79%573.79K-11.79%573.79K-75.44%227.56K106.83%1.55M
-Total tax payable 11.25%3.45K11.25%3.45K11.25%3.45K--3.1K--3.1K--3.1K--3.1K--3.1K--------
-Other payable -----75.83%30.22K-75.83%30.22K-89.21%24.3K-91.86%20.36K-71.92%70.22K-44.24%125.03K-44.24%125.03K-4.80%225.1K-2.28%250.23K
Current accrued expenses -27.28%710.44K-5.41%882.66K-5.41%882.66K-40.58%821.19K-18.75%1.04M-31.59%976.97K37.79%933.13K37.79%933.13K115.82%1.38M86.84%1.28M
Current debt and capital lease obligation -61.08%578.78K5.56%663.28K5.56%663.28K299.70%812.77K602.14%1.4M674.09%1.49M227.04%628.34K227.04%628.34K-83.54%203.34K-84.35%199.55K
-Current debt -60.82%500K17.65%500K17.65%500K--594.07K--1.19M--1.28M--425K--425K--------
-Current capital lease obligation -62.68%78.78K-19.70%163.28K-19.70%163.28K7.55%218.7K7.75%215.02K9.86%211.08K5.84%203.34K5.84%203.34K467.92%203.34K1,008.14%199.55K
Current deferred liabilities -94.56%85.04K-92.83%114.54K-92.83%114.54K-30.94%26.03K-56.58%72K943.92%1.56M755.22%1.6M755.22%1.6M-51.71%37.69K56.63%165.84K
Other current liabilities -----97.38%711-97.38%711-------------46.68%27.16K-46.68%27.16K--------
Current liabilities -55.79%2.04M-46.04%2.1M-46.04%2.1M5.19%2.18M-1.95%3.38M98.68%4.61M96.20%3.89M96.20%3.89M-33.41%2.08M12.18%3.45M
Non current liabilities
Long term debt and capital lease obligation --0-55.02%136.65K-55.02%136.65K-61.87%134.79K-52.99%190.75K-46.64%245.74K-40.10%303.78K-40.10%303.78K-46.52%353.49K-56.62%405.76K
-Long term capital lease obligation --0-55.02%136.65K-55.02%136.65K-61.87%134.79K-52.99%190.75K-46.64%245.74K-40.10%303.78K-40.10%303.78K35.88%353.49K48.14%405.76K
Non current deferred liabilities -72.62%16.19K-72.62%16.19K-72.62%16.19K-96.18%59.12K-73.51%59.12K-86.61%59.12K-97.64%59.12K-97.64%59.12K--1.55M--223.16K
Other non current liabilities --------------------------------------1.37M
Total non current liabilities -94.69%16.19K-57.88%152.84K-57.88%152.84K-89.81%193.91K-87.53%249.87K-90.47%304.86K-90.79%362.9K-90.79%362.9K187.78%1.9M114.13%2M
Total liabilities -58.20%2.06M-47.05%2.25M-47.05%2.25M-40.24%2.38M-33.40%3.63M-10.91%4.92M-28.21%4.25M-28.21%4.25M5.29%3.98M35.97%5.45M
Shareholders'equity
Share capital -89.59%2.18K4.61%2.18K4.61%2.18K-89.68%2.15K9.95%20.93K10.25%20.93K-88.96%2.08K-88.96%2.08K-86.27%20.81K-86.09%19.04K
-common stock -89.59%2.18K4.61%2.18K4.61%2.18K-89.68%2.15K9.95%20.93K10.25%20.93K-88.96%2.08K-88.96%2.08K-86.27%20.81K-86.09%19.04K
Retained earnings -4.17%-33.9M-6.52%-33.23M-6.52%-33.23M-49.28%-32.46M-89.58%-32.31M-109.73%-32.54M-132.13%-31.19M-132.13%-31.19M-79.87%-21.74M-42.11%-17.04M
Paid-in capital 1.99%36.57M1.60%36.46M1.60%36.46M2.80%36.3M9.80%35.87M11.60%35.86M12.88%35.88M12.88%35.88M90.81%35.32M109.00%32.67M
Less: Treasury stock 0.00%965.21K0.00%965.21K0.00%965.21K0.00%965.21K3.76%965.21K3.76%965.21K3.76%965.21K3.76%965.21K3.76%965.21K0.00%930.21K
Total stockholders'equity -27.95%1.71M-39.18%2.27M-39.18%2.27M-77.16%2.88M-82.21%2.62M-84.90%2.37M-78.61%3.73M-78.61%3.73M123.86%12.63M417.20%14.71M
Total equity -27.95%1.71M-39.18%2.27M-39.18%2.27M-77.16%2.88M-82.21%2.62M-84.90%2.37M-78.61%3.73M-78.61%3.73M123.86%12.63M417.20%14.71M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------

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