US Stock MarketDetailed Quotes

GCTK Glucotrack

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  • 2.3500
  • -0.0129-0.55%
Close May 21 16:00 ET
  • 2.4799
  • +0.1299+5.53%
Post 16:22 ET
12.87MMarket Cap-1119P/E (TTM)

Glucotrack 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
49.25%1.5M
94.29%4.49M
94.29%4.49M
112.53%6.89M
127.66%8.77M
-79.06%1M
-61.86%2.31M
-61.86%2.31M
-53.70%3.24M
-51.17%3.85M
-Cash and cash equivalents
49.25%1.5M
94.29%4.49M
94.29%4.49M
112.53%6.89M
127.66%8.77M
-79.06%1M
-61.86%2.31M
-61.86%2.31M
-53.70%3.24M
-51.17%3.85M
Other current assets
116.75%440K
461.19%376K
461.19%376K
50.27%281K
-53.78%171K
-54.07%203K
55.81%67K
55.81%67K
187.69%187K
436.23%370K
Total current assets
60.61%1.94M
104.62%4.87M
104.62%4.87M
109.13%7.17M
111.77%8.95M
-76.95%1.21M
-61.03%2.38M
-61.03%2.38M
-53.79%3.43M
-49.18%4.22M
Non current assets
Net PPE
354.29%159K
-32.50%27K
-32.50%27K
-61.36%17K
-44.90%27K
-55.13%35K
-63.30%40K
-63.30%40K
-67.65%44K
-77.42%49K
-Gross PPE
360.00%161K
-32.50%27K
-32.50%27K
-61.36%17K
-44.90%27K
-55.13%35K
-92.44%40K
-92.44%40K
-67.65%44K
-77.42%49K
-Accumulated depreciation
---2K
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Other non current assets
0.00%10K
-47.37%10K
-47.37%10K
-76.92%9K
-77.27%10K
-80.00%10K
-62.75%19K
-62.75%19K
-50.00%39K
-43.59%44K
Total non current assets
275.56%169K
-37.29%37K
-37.29%37K
-68.67%26K
-60.22%37K
-64.84%45K
-63.13%59K
-63.13%59K
-61.21%83K
-68.47%93K
Total assets
68.35%2.11M
101.19%4.91M
101.19%4.91M
104.93%7.2M
108.06%8.98M
-76.66%1.25M
-61.09%2.44M
-61.09%2.44M
-54.00%3.51M
-49.84%4.32M
Liabilities
Current liabilities
Payables
55.52%1.01M
24.85%839K
24.85%839K
75.18%1.25M
34.85%832K
10.51%652K
6.50%672K
6.50%672K
10.54%713K
-15.48%617K
-accounts payable
55.52%1.01M
24.85%839K
24.85%839K
75.18%1.25M
34.85%832K
10.51%652K
6.50%672K
6.50%672K
10.54%713K
-15.48%617K
Current debt and capital lease obligation
--24K
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----
----
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-Current capital lease obligation
--24K
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--0
--0
Other current liabilities
12.41%444K
97.36%673K
97.36%673K
-18.65%205K
-31.45%218K
25.80%395K
--341K
--341K
14.03%252K
8.16%318K
Current liabilities
41.55%1.48M
49.26%1.51M
49.26%1.51M
50.67%1.45M
12.30%1.05M
14.30%1.05M
14.72%1.01M
14.72%1.01M
7.46%965K
-13.82%935K
Non current liabilities
Long term debt and capital lease obligation
28.50%248K
0.51%196K
0.51%196K
-3.66%184K
-1.56%189K
-8.96%193K
-14.10%195K
-14.10%195K
-18.38%191K
-18.64%192K
-Long term debt
1.04%195K
0.51%196K
0.51%196K
-3.66%184K
-1.56%189K
-6.31%193K
-7.14%195K
-7.14%195K
-4.98%191K
-2.54%192K
-Long term capital lease obligation
--53K
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--0
--0
Total non current liabilities
28.50%248K
0.51%196K
0.51%196K
-3.66%184K
-1.56%189K
-8.96%193K
-14.10%195K
-14.10%195K
-18.38%191K
-18.64%192K
Total liabilities
39.52%1.73M
41.39%1.71M
41.39%1.71M
41.70%1.64M
9.94%1.24M
9.93%1.24M
8.83%1.21M
8.83%1.21M
2.12%1.16M
-14.69%1.13M
Shareholders'equity
Share capital
80.00%27K
33.33%20K
33.33%20K
33.33%20K
33.33%20K
0.00%15K
0.00%15K
0.00%15K
0.00%15K
-92.54%15K
-common stock
80.00%27K
33.33%20K
33.33%20K
33.33%20K
33.33%20K
0.00%15K
0.00%15K
0.00%15K
0.00%15K
-92.54%15K
Retained earnings
-9.30%-112.78M
-7.80%-109.85M
-7.80%-109.85M
-6.79%-107.44M
-5.55%-105.22M
-4.70%-103.19M
-4.55%-101.9M
-4.55%-101.9M
-4.85%-100.61M
-4.76%-99.69M
Paid-in capital
9.57%113.03M
9.57%112.97M
9.57%112.97M
9.75%112.94M
9.82%112.91M
0.38%103.16M
0.47%103.1M
0.47%103.1M
0.48%102.91M
0.58%102.82M
Gains losses not affecting retained earnings
0.00%22K
-5.88%16K
-5.88%16K
13.33%34K
-9.68%28K
2,100.00%22K
383.33%17K
383.33%17K
650.00%30K
287.50%31K
Other equity interest
1,460.00%78K
1,100.00%48K
1,100.00%48K
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-54.55%5K
--4K
--4K
-28.00%18K
-10.00%9K
Total stockholders'equity
3,318.18%376K
159.92%3.2M
159.92%3.2M
135.97%5.56M
142.73%7.74M
-99.74%11K
-76.14%1.23M
-76.14%1.23M
-63.77%2.36M
-56.22%3.19M
Total equity
3,318.18%376K
159.92%3.2M
159.92%3.2M
135.97%5.56M
142.73%7.74M
-99.74%11K
-76.14%1.23M
-76.14%1.23M
-63.77%2.36M
-56.22%3.19M
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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(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 49.25%1.5M94.29%4.49M94.29%4.49M112.53%6.89M127.66%8.77M-79.06%1M-61.86%2.31M-61.86%2.31M-53.70%3.24M-51.17%3.85M
-Cash and cash equivalents 49.25%1.5M94.29%4.49M94.29%4.49M112.53%6.89M127.66%8.77M-79.06%1M-61.86%2.31M-61.86%2.31M-53.70%3.24M-51.17%3.85M
Other current assets 116.75%440K461.19%376K461.19%376K50.27%281K-53.78%171K-54.07%203K55.81%67K55.81%67K187.69%187K436.23%370K
Total current assets 60.61%1.94M104.62%4.87M104.62%4.87M109.13%7.17M111.77%8.95M-76.95%1.21M-61.03%2.38M-61.03%2.38M-53.79%3.43M-49.18%4.22M
Non current assets
Net PPE 354.29%159K-32.50%27K-32.50%27K-61.36%17K-44.90%27K-55.13%35K-63.30%40K-63.30%40K-67.65%44K-77.42%49K
-Gross PPE 360.00%161K-32.50%27K-32.50%27K-61.36%17K-44.90%27K-55.13%35K-92.44%40K-92.44%40K-67.65%44K-77.42%49K
-Accumulated depreciation ---2K------------------------------------
Other non current assets 0.00%10K-47.37%10K-47.37%10K-76.92%9K-77.27%10K-80.00%10K-62.75%19K-62.75%19K-50.00%39K-43.59%44K
Total non current assets 275.56%169K-37.29%37K-37.29%37K-68.67%26K-60.22%37K-64.84%45K-63.13%59K-63.13%59K-61.21%83K-68.47%93K
Total assets 68.35%2.11M101.19%4.91M101.19%4.91M104.93%7.2M108.06%8.98M-76.66%1.25M-61.09%2.44M-61.09%2.44M-54.00%3.51M-49.84%4.32M
Liabilities
Current liabilities
Payables 55.52%1.01M24.85%839K24.85%839K75.18%1.25M34.85%832K10.51%652K6.50%672K6.50%672K10.54%713K-15.48%617K
-accounts payable 55.52%1.01M24.85%839K24.85%839K75.18%1.25M34.85%832K10.51%652K6.50%672K6.50%672K10.54%713K-15.48%617K
Current debt and capital lease obligation --24K------------------------------------
-Current capital lease obligation --24K------------------------------0--0
Other current liabilities 12.41%444K97.36%673K97.36%673K-18.65%205K-31.45%218K25.80%395K--341K--341K14.03%252K8.16%318K
Current liabilities 41.55%1.48M49.26%1.51M49.26%1.51M50.67%1.45M12.30%1.05M14.30%1.05M14.72%1.01M14.72%1.01M7.46%965K-13.82%935K
Non current liabilities
Long term debt and capital lease obligation 28.50%248K0.51%196K0.51%196K-3.66%184K-1.56%189K-8.96%193K-14.10%195K-14.10%195K-18.38%191K-18.64%192K
-Long term debt 1.04%195K0.51%196K0.51%196K-3.66%184K-1.56%189K-6.31%193K-7.14%195K-7.14%195K-4.98%191K-2.54%192K
-Long term capital lease obligation --53K------------------------------0--0
Total non current liabilities 28.50%248K0.51%196K0.51%196K-3.66%184K-1.56%189K-8.96%193K-14.10%195K-14.10%195K-18.38%191K-18.64%192K
Total liabilities 39.52%1.73M41.39%1.71M41.39%1.71M41.70%1.64M9.94%1.24M9.93%1.24M8.83%1.21M8.83%1.21M2.12%1.16M-14.69%1.13M
Shareholders'equity
Share capital 80.00%27K33.33%20K33.33%20K33.33%20K33.33%20K0.00%15K0.00%15K0.00%15K0.00%15K-92.54%15K
-common stock 80.00%27K33.33%20K33.33%20K33.33%20K33.33%20K0.00%15K0.00%15K0.00%15K0.00%15K-92.54%15K
Retained earnings -9.30%-112.78M-7.80%-109.85M-7.80%-109.85M-6.79%-107.44M-5.55%-105.22M-4.70%-103.19M-4.55%-101.9M-4.55%-101.9M-4.85%-100.61M-4.76%-99.69M
Paid-in capital 9.57%113.03M9.57%112.97M9.57%112.97M9.75%112.94M9.82%112.91M0.38%103.16M0.47%103.1M0.47%103.1M0.48%102.91M0.58%102.82M
Gains losses not affecting retained earnings 0.00%22K-5.88%16K-5.88%16K13.33%34K-9.68%28K2,100.00%22K383.33%17K383.33%17K650.00%30K287.50%31K
Other equity interest 1,460.00%78K1,100.00%48K1,100.00%48K---------54.55%5K--4K--4K-28.00%18K-10.00%9K
Total stockholders'equity 3,318.18%376K159.92%3.2M159.92%3.2M135.97%5.56M142.73%7.74M-99.74%11K-76.14%1.23M-76.14%1.23M-63.77%2.36M-56.22%3.19M
Total equity 3,318.18%376K159.92%3.2M159.92%3.2M135.97%5.56M142.73%7.74M-99.74%11K-76.14%1.23M-76.14%1.23M-63.77%2.36M-56.22%3.19M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------

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