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Jeffs' Brands (JFBR)

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  • 0.8028
  • -0.0247-2.98%
Close Jan 23 16:00 ET
  • 0.7900
  • -0.0128-1.59%
Post 16:18 ET
2.54MMarket Cap-0.07P/E (TTM)

Jeffs' Brands (JFBR) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
115.49%6.07M
379.25%2.56M
379.25%2.56M
30.75%2.82M
-93.43%535K
-93.43%535K
3,113.43%2.15M
1,970.48%8.14M
1,970.48%8.14M
-55.33%67K
-Cash and cash equivalents
115.49%6.07M
379.25%2.56M
379.25%2.56M
30.75%2.82M
-93.43%535K
-93.43%535K
3,113.43%2.15M
1,970.48%8.14M
1,970.48%8.14M
-55.33%67K
Receivables
61.86%1.45M
-1.80%655K
-1.80%655K
29.38%894K
43.44%667K
43.44%667K
685.23%691K
15.67%465K
15.67%465K
-75.82%88K
-Accounts receivable
28.03%507K
-33.23%420K
-33.23%420K
202.29%396K
92.35%629K
92.35%629K
670.59%131K
-10.66%327K
-10.66%327K
-81.52%17K
-Related party accounts receivable
----
--112K
--112K
--53K
--0
--0
----
700.00%8K
700.00%8K
----
-Other receivables
111.24%940K
223.68%123K
223.68%123K
-20.54%445K
-70.77%38K
-70.77%38K
688.73%560K
271.43%130K
271.43%130K
-73.90%71K
Inventory
-6.04%4.09M
69.82%4.05M
69.82%4.05M
71.28%4.35M
33.22%2.39M
33.22%2.39M
38.83%2.54M
45.97%1.79M
45.97%1.79M
68.45%1.83M
Prepaid assets
----
-54.20%256K
-54.20%256K
----
-12.79%559K
-12.79%559K
----
--641K
--641K
----
Restricted cash
11.76%19K
0.00%17K
0.00%17K
--17K
--17K
--17K
----
--0
--0
----
Total current assets
43.85%11.62M
81.17%7.54M
81.17%7.54M
50.02%8.08M
-62.26%4.16M
-62.26%4.16M
171.20%5.39M
445.70%11.03M
445.70%11.03M
24.05%1.99M
Non current assets
Net PPE
2,398.64%3.67M
155.91%476K
155.91%476K
-31.31%147K
3.91%186K
3.91%186K
4,180.00%214K
5,866.67%179K
5,866.67%179K
400.00%5K
-Gross PPE
2,398.64%3.67M
155.91%476K
155.91%476K
-31.31%147K
3.91%186K
3.91%186K
--214K
5,866.67%179K
5,866.67%179K
----
Goodwill and other intangible assets
25.37%6.68M
-13.46%4.95M
-13.46%4.95M
-13.14%5.33M
28.35%5.71M
28.35%5.71M
29.48%6.14M
-11.33%4.45M
-11.33%4.45M
-10.62%4.74M
-Goodwill
--1.09M
----
----
----
----
----
----
----
----
----
-Other intangible assets
4.92%5.59M
-13.46%4.95M
-13.46%4.95M
-13.14%5.33M
28.35%5.71M
28.35%5.71M
29.48%6.14M
-11.33%4.45M
-11.33%4.45M
-10.62%4.74M
Investments and advances
-60.02%682K
-62.18%759K
-62.18%759K
-45.70%1.71M
--2.01M
--2.01M
--3.14M
--0
--0
----
Non current accounts receivable
--325K
----
----
----
----
----
----
----
----
----
Related parties assets
----
--112K
--112K
--53K
--0
--0
----
700.00%8K
700.00%8K
----
Non current deferred assets
----
--0
--0
42.34%195K
52.73%168K
52.73%168K
-84.13%137K
-69.95%110K
-69.95%110K
416.77%863K
Total non current assets
54.00%11.36M
-23.47%6.18M
-23.47%6.18M
-23.38%7.38M
70.32%8.08M
70.32%8.08M
71.73%9.63M
-12.04%4.74M
-12.04%4.74M
2.50%5.61M
Total assets
48.69%22.99M
12.13%13.72M
12.13%13.72M
2.95%15.46M
-22.42%12.24M
-22.42%12.24M
97.75%15.02M
112.83%15.78M
112.83%15.78M
7.38%7.59M
Liabilities
Current liabilities
Payables
-4.63%1.2M
-53.07%832K
-53.07%832K
-29.19%1.25M
641.84%1.77M
641.84%1.77M
-13.82%1.77M
-55.08%239K
-55.08%239K
106.12%2.06M
-accounts payable
65.64%863K
-35.40%458K
-35.40%458K
-18.97%521K
441.22%709K
441.22%709K
-17.56%643K
-21.56%131K
-21.56%131K
490.91%780K
-Due to related parties current
----
-90.85%15K
-90.85%15K
3.33%31K
412.50%164K
412.50%164K
-92.33%30K
-87.92%32K
-87.92%32K
66.38%391K
-Other payable
-52.56%333K
-60.11%359K
-60.11%359K
-36.07%702K
1,084.21%900K
1,084.21%900K
24.21%1.1M
-24.00%76K
-24.00%76K
40.32%884K
Current accrued expenses
136.82%952K
76.36%649K
76.36%649K
--402K
62.83%368K
62.83%368K
----
-60.00%226K
-60.00%226K
----
Current debt and capital lease obligation
3,136.23%2.23M
8.54%89K
8.54%89K
--69K
-34.92%82K
-34.92%82K
----
-86.41%126K
-86.41%126K
2,880.39%1.52M
-Current debt
--271K
----
----
----
----
----
----
-90.72%86K
-90.72%86K
2,880.39%1.52M
-Current capital lease obligation
2,743.48%1.96M
8.54%89K
8.54%89K
--69K
105.00%82K
105.00%82K
----
--40K
--40K
----
Current deferred liabilities
--513K
----
----
----
----
----
----
----
----
----
Other current liabilities
----
----
----
----
----
----
----
----
----
--200K
Current liabilities
170.73%5M
-25.69%1.72M
-25.69%1.72M
4.18%1.85M
260.63%2.31M
260.63%2.31M
-53.09%1.77M
-69.14%640K
-69.14%640K
260.21%3.78M
Non current liabilities
Long term debt and capital lease obligation
56,071.43%7.86M
342.22%199K
342.22%199K
-84.09%14K
-54.08%45K
-54.08%45K
-96.51%88K
-97.30%98K
-97.30%98K
-36.03%2.53M
-Long term debt
--6.8M
----
----
----
----
----
----
----
----
-36.03%2.53M
-Long term capital lease obligation
7,492.86%1.06M
342.22%199K
342.22%199K
-84.09%14K
-54.08%45K
-54.08%45K
--88K
--98K
--98K
----
Non current deferred liabilities
--456K
--33K
--33K
----
--0
--0
----
----
----
53.90%611K
Derivative product liabilities
-76.44%1.51M
352.36%6.22M
352.36%6.22M
241.65%6.41M
-37.95%1.38M
-37.95%1.38M
--1.88M
1,517.52%2.22M
1,517.52%2.22M
----
Total non current liabilities
53.10%9.83M
354.37%6.45M
354.37%6.45M
227.05%6.42M
-38.63%1.42M
-38.63%1.42M
-37.40%1.96M
-43.35%2.31M
-43.35%2.31M
-27.81%3.14M
Total liabilities
79.36%14.82M
119.07%8.17M
119.07%8.17M
121.34%8.27M
26.20%3.73M
26.20%3.73M
-45.97%3.73M
-52.04%2.95M
-52.04%2.95M
28.17%6.91M
Shareholders'equity
Share capital
--0
--0
--0
--0
--0
--0
--0
--0
--0
0.00%1.25M
-common stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
0.00%1.25M
Retained earnings
-54.90%-18.82M
-94.30%-16.08M
-94.30%-16.08M
-120.69%-12.15M
-125.01%-8.28M
-125.01%-8.28M
-83.35%-5.51M
-149.02%-3.68M
-149.02%-3.68M
-281.09%-3M
Paid-in capital
39.49%26.98M
28.89%21.64M
28.89%21.64M
15.23%19.34M
1.75%16.79M
1.75%16.79M
--16.79M
504.36%16.5M
504.36%16.5M
----
Gains losses not affecting retained earnings
----
----
----
----
----
----
----
----
----
88.99%2.3M
Other equity interest
----
----
----
----
----
----
----
----
----
--135K
Total stockholders'equity
13.46%8.16M
-34.71%5.56M
-34.71%5.56M
-36.24%7.19M
-33.62%8.51M
-33.62%8.51M
1,554.11%11.28M
923.22%12.82M
923.22%12.82M
-59.38%682K
Total equity
13.46%8.16M
-34.71%5.56M
-34.71%5.56M
-36.24%7.19M
-33.62%8.51M
-33.62%8.51M
1,554.11%11.28M
923.22%12.82M
923.22%12.82M
-59.38%682K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 115.49%6.07M379.25%2.56M379.25%2.56M30.75%2.82M-93.43%535K-93.43%535K3,113.43%2.15M1,970.48%8.14M1,970.48%8.14M-55.33%67K
-Cash and cash equivalents 115.49%6.07M379.25%2.56M379.25%2.56M30.75%2.82M-93.43%535K-93.43%535K3,113.43%2.15M1,970.48%8.14M1,970.48%8.14M-55.33%67K
Receivables 61.86%1.45M-1.80%655K-1.80%655K29.38%894K43.44%667K43.44%667K685.23%691K15.67%465K15.67%465K-75.82%88K
-Accounts receivable 28.03%507K-33.23%420K-33.23%420K202.29%396K92.35%629K92.35%629K670.59%131K-10.66%327K-10.66%327K-81.52%17K
-Related party accounts receivable ------112K--112K--53K--0--0----700.00%8K700.00%8K----
-Other receivables 111.24%940K223.68%123K223.68%123K-20.54%445K-70.77%38K-70.77%38K688.73%560K271.43%130K271.43%130K-73.90%71K
Inventory -6.04%4.09M69.82%4.05M69.82%4.05M71.28%4.35M33.22%2.39M33.22%2.39M38.83%2.54M45.97%1.79M45.97%1.79M68.45%1.83M
Prepaid assets -----54.20%256K-54.20%256K-----12.79%559K-12.79%559K------641K--641K----
Restricted cash 11.76%19K0.00%17K0.00%17K--17K--17K--17K------0--0----
Total current assets 43.85%11.62M81.17%7.54M81.17%7.54M50.02%8.08M-62.26%4.16M-62.26%4.16M171.20%5.39M445.70%11.03M445.70%11.03M24.05%1.99M
Non current assets
Net PPE 2,398.64%3.67M155.91%476K155.91%476K-31.31%147K3.91%186K3.91%186K4,180.00%214K5,866.67%179K5,866.67%179K400.00%5K
-Gross PPE 2,398.64%3.67M155.91%476K155.91%476K-31.31%147K3.91%186K3.91%186K--214K5,866.67%179K5,866.67%179K----
Goodwill and other intangible assets 25.37%6.68M-13.46%4.95M-13.46%4.95M-13.14%5.33M28.35%5.71M28.35%5.71M29.48%6.14M-11.33%4.45M-11.33%4.45M-10.62%4.74M
-Goodwill --1.09M------------------------------------
-Other intangible assets 4.92%5.59M-13.46%4.95M-13.46%4.95M-13.14%5.33M28.35%5.71M28.35%5.71M29.48%6.14M-11.33%4.45M-11.33%4.45M-10.62%4.74M
Investments and advances -60.02%682K-62.18%759K-62.18%759K-45.70%1.71M--2.01M--2.01M--3.14M--0--0----
Non current accounts receivable --325K------------------------------------
Related parties assets ------112K--112K--53K--0--0----700.00%8K700.00%8K----
Non current deferred assets ------0--042.34%195K52.73%168K52.73%168K-84.13%137K-69.95%110K-69.95%110K416.77%863K
Total non current assets 54.00%11.36M-23.47%6.18M-23.47%6.18M-23.38%7.38M70.32%8.08M70.32%8.08M71.73%9.63M-12.04%4.74M-12.04%4.74M2.50%5.61M
Total assets 48.69%22.99M12.13%13.72M12.13%13.72M2.95%15.46M-22.42%12.24M-22.42%12.24M97.75%15.02M112.83%15.78M112.83%15.78M7.38%7.59M
Liabilities
Current liabilities
Payables -4.63%1.2M-53.07%832K-53.07%832K-29.19%1.25M641.84%1.77M641.84%1.77M-13.82%1.77M-55.08%239K-55.08%239K106.12%2.06M
-accounts payable 65.64%863K-35.40%458K-35.40%458K-18.97%521K441.22%709K441.22%709K-17.56%643K-21.56%131K-21.56%131K490.91%780K
-Due to related parties current -----90.85%15K-90.85%15K3.33%31K412.50%164K412.50%164K-92.33%30K-87.92%32K-87.92%32K66.38%391K
-Other payable -52.56%333K-60.11%359K-60.11%359K-36.07%702K1,084.21%900K1,084.21%900K24.21%1.1M-24.00%76K-24.00%76K40.32%884K
Current accrued expenses 136.82%952K76.36%649K76.36%649K--402K62.83%368K62.83%368K-----60.00%226K-60.00%226K----
Current debt and capital lease obligation 3,136.23%2.23M8.54%89K8.54%89K--69K-34.92%82K-34.92%82K-----86.41%126K-86.41%126K2,880.39%1.52M
-Current debt --271K-------------------------90.72%86K-90.72%86K2,880.39%1.52M
-Current capital lease obligation 2,743.48%1.96M8.54%89K8.54%89K--69K105.00%82K105.00%82K------40K--40K----
Current deferred liabilities --513K------------------------------------
Other current liabilities --------------------------------------200K
Current liabilities 170.73%5M-25.69%1.72M-25.69%1.72M4.18%1.85M260.63%2.31M260.63%2.31M-53.09%1.77M-69.14%640K-69.14%640K260.21%3.78M
Non current liabilities
Long term debt and capital lease obligation 56,071.43%7.86M342.22%199K342.22%199K-84.09%14K-54.08%45K-54.08%45K-96.51%88K-97.30%98K-97.30%98K-36.03%2.53M
-Long term debt --6.8M---------------------------------36.03%2.53M
-Long term capital lease obligation 7,492.86%1.06M342.22%199K342.22%199K-84.09%14K-54.08%45K-54.08%45K--88K--98K--98K----
Non current deferred liabilities --456K--33K--33K------0--0------------53.90%611K
Derivative product liabilities -76.44%1.51M352.36%6.22M352.36%6.22M241.65%6.41M-37.95%1.38M-37.95%1.38M--1.88M1,517.52%2.22M1,517.52%2.22M----
Total non current liabilities 53.10%9.83M354.37%6.45M354.37%6.45M227.05%6.42M-38.63%1.42M-38.63%1.42M-37.40%1.96M-43.35%2.31M-43.35%2.31M-27.81%3.14M
Total liabilities 79.36%14.82M119.07%8.17M119.07%8.17M121.34%8.27M26.20%3.73M26.20%3.73M-45.97%3.73M-52.04%2.95M-52.04%2.95M28.17%6.91M
Shareholders'equity
Share capital --0--0--0--0--0--0--0--0--00.00%1.25M
-common stock --0--0--0--0--0--0--0--0--00.00%1.25M
Retained earnings -54.90%-18.82M-94.30%-16.08M-94.30%-16.08M-120.69%-12.15M-125.01%-8.28M-125.01%-8.28M-83.35%-5.51M-149.02%-3.68M-149.02%-3.68M-281.09%-3M
Paid-in capital 39.49%26.98M28.89%21.64M28.89%21.64M15.23%19.34M1.75%16.79M1.75%16.79M--16.79M504.36%16.5M504.36%16.5M----
Gains losses not affecting retained earnings ------------------------------------88.99%2.3M
Other equity interest --------------------------------------135K
Total stockholders'equity 13.46%8.16M-34.71%5.56M-34.71%5.56M-36.24%7.19M-33.62%8.51M-33.62%8.51M1,554.11%11.28M923.22%12.82M923.22%12.82M-59.38%682K
Total equity 13.46%8.16M-34.71%5.56M-34.71%5.56M-36.24%7.19M-33.62%8.51M-33.62%8.51M1,554.11%11.28M923.22%12.82M923.22%12.82M-59.38%682K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion----Unqualified Opinion----Unqualified Opinion----
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