US Stock MarketDetailed Quotes

FDCT FDCTECH INC

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  • 0.014850
  • -0.001850-11.08%
15min DelayClose May 1 16:00 ET
5.77MMarket Cap3.71P/E (TTM)

FDCTECH 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
400.59%1.23M
-5.81%127.06K
-53.02%139.84K
183.10%264.83K
183.10%264.83K
5,688.38%246.06K
5,265.47%134.89K
6,200.66%297.64K
316.37%93.55K
316.37%93.55K
-Cash and cash equivalents
400.59%1.23M
-5.81%127.06K
-53.02%139.84K
183.10%264.83K
183.10%264.83K
5,688.38%246.06K
5,265.47%134.89K
6,200.66%297.64K
316.37%93.55K
316.37%93.55K
Receivables
1,363.17%1.63M
3,000.91%2.86M
-44.21%53.08K
470.05%120.58K
470.05%120.58K
125.57%111.65K
143.68%92.15K
306.74%95.15K
27.88%21.15K
27.88%21.15K
-Accounts receivable
2,783.65%1.63M
7,591.39%2.86M
32.20%53.08K
210.04%65.58K
210.04%65.58K
14.46%56.65K
-1.76%37.15K
71.64%40.15K
27.88%21.15K
27.88%21.15K
-Notes receivable
--0
--0
--0
--55K
--55K
--55K
--55K
--55K
--0
--0
Current deferred assets
----
----
----
----
----
----
--20.72K
--82.87K
----
----
Other current assets
228.51%1.04M
187.84%1.14M
0.03%421.92K
-11.86%435.81K
-11.86%435.81K
-55.05%315.72K
39,692,600.00%396.93K
--421.79K
1,673.69%494.47K
1,673.69%494.47K
Total current assets
479.51%3.9M
540.18%4.13M
-31.49%614.85K
34.81%821.23K
34.81%821.23K
-10.94%673.43K
-38.39%644.69K
192.10%897.46K
810.76%609.17K
810.76%609.17K
Non current assets
Net PPE
2,913.75%1.1M
-2.27%39.05K
-23.74%36.75K
-17.31%38.06K
-17.31%38.06K
--36.38K
--39.96K
--48.19K
--46.02K
--46.02K
-Gross PPE
--1.1M
--39.05K
----
----
----
----
----
----
----
----
Goodwill and other intangible assets
8.03%3.57M
7.06%3.5M
6.14%3.46M
6.16%3.41M
6.16%3.41M
422.21%3.3M
398.27%3.27M
447.56%3.26M
407.75%3.21M
407.75%3.21M
-Other intangible assets
8.03%3.57M
7.06%3.5M
6.14%3.46M
6.16%3.41M
6.16%3.41M
422.21%3.3M
398.27%3.27M
447.56%3.26M
407.75%3.21M
407.75%3.21M
Other non current assets
----
----
----
----
----
27.99%110.48K
----
--22.5K
--22.5K
--22.5K
Total non current assets
35.23%4.66M
6.94%3.54M
4.99%3.49M
5.10%3.45M
5.10%3.45M
379.91%3.45M
306.65%3.31M
305.67%3.33M
418.58%3.28M
418.58%3.28M
Total assets
107.82%8.57M
93.96%7.66M
-2.75%4.11M
9.75%4.27M
9.75%4.27M
179.49%4.12M
112.47%3.95M
274.89%4.23M
456.10%3.89M
456.10%3.89M
Liabilities
Current liabilities
Payables
21.87%769.5K
27.44%746.23K
15.92%676.57K
-8.24%634.33K
-8.24%634.33K
5.03%631.44K
27.73%585.54K
66.56%583.65K
185.80%691.32K
185.80%691.32K
-accounts payable
21.60%530.8K
29.70%519.45K
11.77%456.6K
-3.53%429.5K
-3.53%429.5K
24.35%436.5K
48.88%400.5K
116.12%408.5K
282.16%445.22K
282.16%445.22K
-Total tax payable
22.45%238.7K
22.55%226.78K
25.58%219.97K
24.06%204.83K
24.06%204.83K
25.60%194.94K
27.26%185.04K
29.37%175.15K
31.68%165.11K
31.68%165.11K
-Due to related parties current
----
----
----
--0
--0
--0
--0
--0
--81K
--81K
Current debt and capital lease obligation
-32.15%429.78K
-31.32%432.95K
-85.86%87.71K
644.41%637.51K
644.41%637.51K
636.54%633.47K
636.15%630.37K
627.76%620.26K
-92.02%85.64K
-92.02%85.64K
-Current debt
-32.15%429.78K
-31.32%432.95K
-85.86%87.71K
644.41%637.51K
644.41%637.51K
636.54%633.47K
636.15%630.37K
627.76%620.26K
-92.02%85.64K
-92.02%85.64K
Other current liabilities
253.74%491.94K
280.32%640.63K
126.55%51.68K
217.46%99.49K
217.46%99.49K
13,906,800.00%139.07K
--168.45K
--22.81K
--31.34K
--31.34K
Current liabilities
20.46%1.69M
31.46%1.82M
-33.49%815.95K
69.66%1.37M
69.66%1.37M
104.30%1.4M
154.46%1.38M
181.59%1.23M
-48.57%808.3K
-48.57%808.3K
Non current liabilities
Long term debt and capital lease obligation
-9.26%124.82K
-9.12%126.94K
-8.99%129.07K
-8.85%131.19K
-8.85%131.19K
-5.82%137.56K
-6.04%139.69K
-4.91%141.81K
-11.06%143.94K
-11.06%143.94K
-Long term debt
-9.26%124.82K
-9.12%126.94K
-8.99%129.07K
-8.85%131.19K
-8.85%131.19K
-5.82%137.56K
-6.04%139.69K
-4.91%141.81K
-11.06%143.94K
-11.06%143.94K
Non current deferred liabilities
--340.83K
--349.33K
----
----
----
----
----
----
----
----
Other non current liabilities
----
----
----
----
----
--1
--1
----
----
----
Total non current liabilities
227.23%493.86K
225.43%493.65K
-4.81%145.1K
-4.74%145.9K
-4.74%145.9K
-1.91%150.92K
-1.84%151.69K
-1.33%152.44K
-7.56%153.16K
-7.56%153.16K
Total liabilities
40.53%2.19M
50.61%2.31M
-30.32%961.05K
57.80%1.52M
57.80%1.52M
84.87%1.55M
119.88%1.54M
133.70%1.38M
-44.66%961.46K
-44.66%961.46K
Shareholders'equity
Share capital
80.50%33.76K
122.06%33.76K
122.06%33.76K
47.64%21.53K
47.64%21.53K
101.29%18.7K
66.43%15.2K
73.86%15.2K
100.10%14.58K
100.10%14.58K
-common stock
82.26%33.36K
125.36%33.36K
125.36%33.36K
48.98%21.13K
48.98%21.13K
105.85%18.3K
69.48%14.8K
77.40%14.8K
105.91%14.18K
105.91%14.18K
-Preferred stock
0.00%400
0.00%400
0.00%400
0.00%400
0.00%400
0.00%400
0.00%400
0.00%400
0.00%400
0.00%400
Retained earnings
29.41%-2.97M
8.29%-3.65M
-26.31%-4.57M
-34.18%-4.34M
-34.18%-4.34M
-70.14%-4.21M
-100.83%-3.98M
-110.97%-3.62M
-116.25%-3.23M
-116.25%-3.23M
Paid-in capital
15.94%6.35M
24.01%6.35M
24.01%6.35M
18.26%5.73M
18.26%5.73M
76.89%5.48M
63.42%5.12M
128.17%5.12M
979.13%4.84M
979.13%4.84M
Gains losses not affecting retained earnings
-55.41%-9.59K
-44.80%-8.93K
---7.18K
---6.17K
---6.17K
---6.17K
---6.17K
----
--0
--0
Other equity interest
----
----
----
----
----
--1
----
--1
--1
--1
Total stockholders'equity
165.24%3.41M
136.97%2.72M
19.03%1.8M
-13.51%1.41M
-13.51%1.41M
102.62%1.28M
-0.95%1.15M
182.24%1.52M
256.59%1.63M
256.59%1.63M
Noncontrolling interests
131.92%2.98M
107.49%2.62M
0.99%1.34M
3.31%1.34M
3.31%1.34M
--1.28M
--1.26M
--1.33M
--1.3M
--1.3M
Total equity
148.59%6.38M
121.53%5.35M
10.60%3.15M
-6.03%2.75M
-6.03%2.75M
305.10%2.57M
108.02%2.41M
430.04%2.85M
381.96%2.93M
381.96%2.93M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(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 400.59%1.23M-5.81%127.06K-53.02%139.84K183.10%264.83K183.10%264.83K5,688.38%246.06K5,265.47%134.89K6,200.66%297.64K316.37%93.55K316.37%93.55K
-Cash and cash equivalents 400.59%1.23M-5.81%127.06K-53.02%139.84K183.10%264.83K183.10%264.83K5,688.38%246.06K5,265.47%134.89K6,200.66%297.64K316.37%93.55K316.37%93.55K
Receivables 1,363.17%1.63M3,000.91%2.86M-44.21%53.08K470.05%120.58K470.05%120.58K125.57%111.65K143.68%92.15K306.74%95.15K27.88%21.15K27.88%21.15K
-Accounts receivable 2,783.65%1.63M7,591.39%2.86M32.20%53.08K210.04%65.58K210.04%65.58K14.46%56.65K-1.76%37.15K71.64%40.15K27.88%21.15K27.88%21.15K
-Notes receivable --0--0--0--55K--55K--55K--55K--55K--0--0
Current deferred assets --------------------------20.72K--82.87K--------
Other current assets 228.51%1.04M187.84%1.14M0.03%421.92K-11.86%435.81K-11.86%435.81K-55.05%315.72K39,692,600.00%396.93K--421.79K1,673.69%494.47K1,673.69%494.47K
Total current assets 479.51%3.9M540.18%4.13M-31.49%614.85K34.81%821.23K34.81%821.23K-10.94%673.43K-38.39%644.69K192.10%897.46K810.76%609.17K810.76%609.17K
Non current assets
Net PPE 2,913.75%1.1M-2.27%39.05K-23.74%36.75K-17.31%38.06K-17.31%38.06K--36.38K--39.96K--48.19K--46.02K--46.02K
-Gross PPE --1.1M--39.05K--------------------------------
Goodwill and other intangible assets 8.03%3.57M7.06%3.5M6.14%3.46M6.16%3.41M6.16%3.41M422.21%3.3M398.27%3.27M447.56%3.26M407.75%3.21M407.75%3.21M
-Other intangible assets 8.03%3.57M7.06%3.5M6.14%3.46M6.16%3.41M6.16%3.41M422.21%3.3M398.27%3.27M447.56%3.26M407.75%3.21M407.75%3.21M
Other non current assets --------------------27.99%110.48K------22.5K--22.5K--22.5K
Total non current assets 35.23%4.66M6.94%3.54M4.99%3.49M5.10%3.45M5.10%3.45M379.91%3.45M306.65%3.31M305.67%3.33M418.58%3.28M418.58%3.28M
Total assets 107.82%8.57M93.96%7.66M-2.75%4.11M9.75%4.27M9.75%4.27M179.49%4.12M112.47%3.95M274.89%4.23M456.10%3.89M456.10%3.89M
Liabilities
Current liabilities
Payables 21.87%769.5K27.44%746.23K15.92%676.57K-8.24%634.33K-8.24%634.33K5.03%631.44K27.73%585.54K66.56%583.65K185.80%691.32K185.80%691.32K
-accounts payable 21.60%530.8K29.70%519.45K11.77%456.6K-3.53%429.5K-3.53%429.5K24.35%436.5K48.88%400.5K116.12%408.5K282.16%445.22K282.16%445.22K
-Total tax payable 22.45%238.7K22.55%226.78K25.58%219.97K24.06%204.83K24.06%204.83K25.60%194.94K27.26%185.04K29.37%175.15K31.68%165.11K31.68%165.11K
-Due to related parties current --------------0--0--0--0--0--81K--81K
Current debt and capital lease obligation -32.15%429.78K-31.32%432.95K-85.86%87.71K644.41%637.51K644.41%637.51K636.54%633.47K636.15%630.37K627.76%620.26K-92.02%85.64K-92.02%85.64K
-Current debt -32.15%429.78K-31.32%432.95K-85.86%87.71K644.41%637.51K644.41%637.51K636.54%633.47K636.15%630.37K627.76%620.26K-92.02%85.64K-92.02%85.64K
Other current liabilities 253.74%491.94K280.32%640.63K126.55%51.68K217.46%99.49K217.46%99.49K13,906,800.00%139.07K--168.45K--22.81K--31.34K--31.34K
Current liabilities 20.46%1.69M31.46%1.82M-33.49%815.95K69.66%1.37M69.66%1.37M104.30%1.4M154.46%1.38M181.59%1.23M-48.57%808.3K-48.57%808.3K
Non current liabilities
Long term debt and capital lease obligation -9.26%124.82K-9.12%126.94K-8.99%129.07K-8.85%131.19K-8.85%131.19K-5.82%137.56K-6.04%139.69K-4.91%141.81K-11.06%143.94K-11.06%143.94K
-Long term debt -9.26%124.82K-9.12%126.94K-8.99%129.07K-8.85%131.19K-8.85%131.19K-5.82%137.56K-6.04%139.69K-4.91%141.81K-11.06%143.94K-11.06%143.94K
Non current deferred liabilities --340.83K--349.33K--------------------------------
Other non current liabilities ----------------------1--1------------
Total non current liabilities 227.23%493.86K225.43%493.65K-4.81%145.1K-4.74%145.9K-4.74%145.9K-1.91%150.92K-1.84%151.69K-1.33%152.44K-7.56%153.16K-7.56%153.16K
Total liabilities 40.53%2.19M50.61%2.31M-30.32%961.05K57.80%1.52M57.80%1.52M84.87%1.55M119.88%1.54M133.70%1.38M-44.66%961.46K-44.66%961.46K
Shareholders'equity
Share capital 80.50%33.76K122.06%33.76K122.06%33.76K47.64%21.53K47.64%21.53K101.29%18.7K66.43%15.2K73.86%15.2K100.10%14.58K100.10%14.58K
-common stock 82.26%33.36K125.36%33.36K125.36%33.36K48.98%21.13K48.98%21.13K105.85%18.3K69.48%14.8K77.40%14.8K105.91%14.18K105.91%14.18K
-Preferred stock 0.00%4000.00%4000.00%4000.00%4000.00%4000.00%4000.00%4000.00%4000.00%4000.00%400
Retained earnings 29.41%-2.97M8.29%-3.65M-26.31%-4.57M-34.18%-4.34M-34.18%-4.34M-70.14%-4.21M-100.83%-3.98M-110.97%-3.62M-116.25%-3.23M-116.25%-3.23M
Paid-in capital 15.94%6.35M24.01%6.35M24.01%6.35M18.26%5.73M18.26%5.73M76.89%5.48M63.42%5.12M128.17%5.12M979.13%4.84M979.13%4.84M
Gains losses not affecting retained earnings -55.41%-9.59K-44.80%-8.93K---7.18K---6.17K---6.17K---6.17K---6.17K------0--0
Other equity interest ----------------------1------1--1--1
Total stockholders'equity 165.24%3.41M136.97%2.72M19.03%1.8M-13.51%1.41M-13.51%1.41M102.62%1.28M-0.95%1.15M182.24%1.52M256.59%1.63M256.59%1.63M
Noncontrolling interests 131.92%2.98M107.49%2.62M0.99%1.34M3.31%1.34M3.31%1.34M--1.28M--1.26M--1.33M--1.3M--1.3M
Total equity 148.59%6.38M121.53%5.35M10.60%3.15M-6.03%2.75M-6.03%2.75M305.10%2.57M108.02%2.41M430.04%2.85M381.96%2.93M381.96%2.93M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

Analyst Rating

No Data

Price Target

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