US Stock MarketDetailed Quotes

RSASF RESAAS SERVICES INC

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  • 0.190000
  • +0.010000+5.56%
15min DelayClose Feb 11 16:00 ET
15.21MMarket Cap-27.14P/E (TTM)

RESAAS SERVICES INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-16.80%28.67K
17.16%97.84K
478.66%315.65K
169.40%647.51K
169.40%647.51K
-93.61%34.46K
-89.36%83.51K
-10.78%54.55K
57.81%240.35K
57.81%240.35K
-Cash and cash equivalents
-16.80%28.67K
17.16%97.84K
478.66%315.65K
169.40%647.51K
169.40%647.51K
-93.61%34.46K
-89.36%83.51K
-10.78%54.55K
57.81%240.35K
57.81%240.35K
Receivables
13.89%72.45K
-91.35%8.15K
-25.30%45.36K
-27.02%43.11K
-27.02%43.11K
158.15%63.62K
275.19%94.23K
174.43%60.72K
207.20%59.08K
207.20%59.08K
-Accounts receivable
13.89%72.45K
-88.71%8.15K
6.40%45.36K
-27.02%43.11K
-27.02%43.11K
158.15%63.62K
187.45%72.2K
92.66%42.63K
207.20%59.08K
207.20%59.08K
-Accrued interest receivable
----
----
----
----
----
----
--622
--468
----
----
-Taxes receivable
----
----
----
----
----
----
--21.42K
--17.62K
----
----
Prepaid assets
-93.01%900
959.65%28.83K
500.37%49.15K
1,482.76%69.15K
1,482.76%69.15K
-79.72%12.88K
-95.79%2.72K
-86.53%8.19K
-92.53%4.37K
-92.53%4.37K
Total current assets
-8.05%102.02K
-25.29%134.83K
232.23%410.15K
150.09%759.77K
150.09%759.77K
-82.32%110.96K
-79.37%180.47K
-14.29%123.45K
32.06%303.8K
32.06%303.8K
Non current assets
Net PPE
-36.12%29.62K
-33.50%33.74K
-31.30%37.86K
-29.41%41.98K
-29.41%41.98K
-28.02%46.36K
629.19%50.74K
428.91%55.11K
478.48%59.47K
478.48%59.47K
-Gross PPE
0.00%153.34K
0.00%153.34K
0.00%153.34K
0.00%153.34K
0.00%153.34K
0.00%153.34K
21.04%153.34K
21.04%153.34K
24.57%153.34K
24.57%153.34K
-Accumulated depreciation
-15.65%-123.72K
-16.57%-119.6K
-17.56%-115.47K
-18.63%-111.35K
-18.63%-111.35K
-20.29%-106.97K
14.30%-102.6K
15.51%-98.23K
16.80%-93.86K
16.80%-93.86K
Goodwill and other intangible assets
-49.09%2.59K
-48.86%2.78K
-48.63%2.97K
-61.29%4.73K
-61.29%4.73K
-93.74%5.08K
-95.58%5.43K
-96.48%5.77K
-94.06%12.22K
-94.06%12.22K
-Other intangible assets
--2.59K
-48.86%2.78K
-48.63%2.97K
-61.29%4.73K
-61.29%4.73K
----
-95.58%5.43K
-96.48%5.77K
-94.06%12.22K
-94.06%12.22K
Non current prepaid assets
----
----
----
--0
--0
--25K
--25K
--25K
--25K
--25K
Other non current assets
---1
----
----
----
----
----
----
----
----
----
Total non current assets
-57.88%32.2K
-55.01%36.51K
-52.46%40.83K
-51.69%46.71K
-51.69%46.71K
-47.46%76.44K
-37.38%81.16K
-50.83%85.88K
-55.25%96.69K
-55.25%96.69K
Total assets
-28.38%134.22K
-34.51%171.34K
115.43%450.98K
101.37%806.48K
101.37%806.48K
-75.75%187.4K
-73.95%261.63K
-34.31%209.34K
-10.23%400.49K
-10.23%400.49K
Liabilities
Current liabilities
Current debt and capital lease obligation
-19.70%561.94K
-13.43%470.7K
34.43%480.08K
67.92%492.72K
67.92%492.72K
188.10%699.78K
166.64%543.73K
67.71%357.13K
191.00%293.42K
191.00%293.42K
-Current debt
-20.30%545.56K
-14.02%454.6K
35.60%464.27K
71.08%477.18K
71.08%477.18K
201.34%684.5K
161.52%528.72K
64.14%342.38K
197.05%278.93K
197.05%278.93K
-Current capital lease obligation
7.23%16.38K
7.23%16.09K
7.23%15.82K
7.23%15.54K
7.23%15.54K
-2.99%15.27K
757.60%15.01K
238.72%14.75K
109.10%14.49K
109.10%14.49K
Current deferred liabilities
-52.65%31.13K
-90.45%10.8K
-39.40%28.42K
-36.65%40.47K
-36.65%40.47K
16.92%65.75K
51.18%113.13K
-22.33%46.9K
-22.69%63.88K
-22.69%63.88K
Current liabilities
-38.64%738.75K
-40.92%680.35K
-9.57%778.16K
4.83%829.54K
4.83%829.54K
57.86%1.2M
54.43%1.15M
8.52%860.54K
12.86%791.3K
12.86%791.3K
Non current liabilities
Long term debt and capital lease obligation
-52.96%14.55K
-46.19%18.75K
-40.87%22.88K
-36.59%26.94K
-36.59%26.94K
-33.06%30.92K
--34.84K
--38.69K
--42.48K
--42.48K
-Long term capital lease obligation
-52.96%14.55K
-46.19%18.75K
-40.87%22.88K
-36.59%26.94K
-36.59%26.94K
-33.06%30.92K
--34.84K
--38.69K
--42.48K
--42.48K
Total non current liabilities
-52.96%14.55K
-46.19%18.75K
-40.87%22.88K
-36.59%26.94K
-36.59%26.94K
-33.06%30.92K
--34.84K
--38.69K
--42.48K
--42.48K
Total liabilities
-39.00%753.3K
-41.07%699.1K
-10.92%801.04K
2.72%856.48K
2.72%856.48K
52.67%1.23M
59.11%1.19M
13.40%899.23K
18.92%833.78K
18.92%833.78K
Shareholders'equity
Share capital
3.58%42.05M
3.55%42.04M
3.55%42.04M
3.65%42.01M
3.65%42.01M
0.16%40.6M
0.16%40.6M
2.62%40.6M
2.78%40.53M
2.78%40.53M
-common stock
3.58%42.05M
3.55%42.04M
3.55%42.04M
3.65%42.01M
3.65%42.01M
0.16%40.6M
0.16%40.6M
2.62%40.6M
2.78%40.53M
2.78%40.53M
Retained earnings
-2.01%-58.03M
-2.39%-57.84M
-2.52%-57.59M
-4.11%-57.15M
-4.11%-57.15M
-4.47%-56.88M
-4.30%-56.49M
-4.00%-56.17M
-2.21%-54.9M
-2.21%-54.9M
Other equity interest
0.77%15.35M
2.05%15.28M
2.13%15.2M
8.35%15.09M
8.35%15.09M
9.77%15.24M
7.78%14.97M
6.50%14.88M
-0.62%13.93M
-0.62%13.93M
Total stockholders'equity
40.90%-619.08K
42.93%-527.76K
49.26%-350.06K
88.46%-49.99K
88.46%-49.99K
-2,810.34%-1.05M
-457.58%-924.78K
-45.47%-689.89K
-69.92%-433.29K
-69.92%-433.29K
Total equity
40.90%-619.08K
42.93%-527.76K
49.26%-350.06K
88.46%-49.99K
88.46%-49.99K
-2,810.34%-1.05M
-457.58%-924.78K
-45.47%-689.89K
-69.92%-433.29K
-69.92%-433.29K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments -16.80%28.67K17.16%97.84K478.66%315.65K169.40%647.51K169.40%647.51K-93.61%34.46K-89.36%83.51K-10.78%54.55K57.81%240.35K57.81%240.35K
-Cash and cash equivalents -16.80%28.67K17.16%97.84K478.66%315.65K169.40%647.51K169.40%647.51K-93.61%34.46K-89.36%83.51K-10.78%54.55K57.81%240.35K57.81%240.35K
Receivables 13.89%72.45K-91.35%8.15K-25.30%45.36K-27.02%43.11K-27.02%43.11K158.15%63.62K275.19%94.23K174.43%60.72K207.20%59.08K207.20%59.08K
-Accounts receivable 13.89%72.45K-88.71%8.15K6.40%45.36K-27.02%43.11K-27.02%43.11K158.15%63.62K187.45%72.2K92.66%42.63K207.20%59.08K207.20%59.08K
-Accrued interest receivable --------------------------622--468--------
-Taxes receivable --------------------------21.42K--17.62K--------
Prepaid assets -93.01%900959.65%28.83K500.37%49.15K1,482.76%69.15K1,482.76%69.15K-79.72%12.88K-95.79%2.72K-86.53%8.19K-92.53%4.37K-92.53%4.37K
Total current assets -8.05%102.02K-25.29%134.83K232.23%410.15K150.09%759.77K150.09%759.77K-82.32%110.96K-79.37%180.47K-14.29%123.45K32.06%303.8K32.06%303.8K
Non current assets
Net PPE -36.12%29.62K-33.50%33.74K-31.30%37.86K-29.41%41.98K-29.41%41.98K-28.02%46.36K629.19%50.74K428.91%55.11K478.48%59.47K478.48%59.47K
-Gross PPE 0.00%153.34K0.00%153.34K0.00%153.34K0.00%153.34K0.00%153.34K0.00%153.34K21.04%153.34K21.04%153.34K24.57%153.34K24.57%153.34K
-Accumulated depreciation -15.65%-123.72K-16.57%-119.6K-17.56%-115.47K-18.63%-111.35K-18.63%-111.35K-20.29%-106.97K14.30%-102.6K15.51%-98.23K16.80%-93.86K16.80%-93.86K
Goodwill and other intangible assets -49.09%2.59K-48.86%2.78K-48.63%2.97K-61.29%4.73K-61.29%4.73K-93.74%5.08K-95.58%5.43K-96.48%5.77K-94.06%12.22K-94.06%12.22K
-Other intangible assets --2.59K-48.86%2.78K-48.63%2.97K-61.29%4.73K-61.29%4.73K-----95.58%5.43K-96.48%5.77K-94.06%12.22K-94.06%12.22K
Non current prepaid assets --------------0--0--25K--25K--25K--25K--25K
Other non current assets ---1------------------------------------
Total non current assets -57.88%32.2K-55.01%36.51K-52.46%40.83K-51.69%46.71K-51.69%46.71K-47.46%76.44K-37.38%81.16K-50.83%85.88K-55.25%96.69K-55.25%96.69K
Total assets -28.38%134.22K-34.51%171.34K115.43%450.98K101.37%806.48K101.37%806.48K-75.75%187.4K-73.95%261.63K-34.31%209.34K-10.23%400.49K-10.23%400.49K
Liabilities
Current liabilities
Current debt and capital lease obligation -19.70%561.94K-13.43%470.7K34.43%480.08K67.92%492.72K67.92%492.72K188.10%699.78K166.64%543.73K67.71%357.13K191.00%293.42K191.00%293.42K
-Current debt -20.30%545.56K-14.02%454.6K35.60%464.27K71.08%477.18K71.08%477.18K201.34%684.5K161.52%528.72K64.14%342.38K197.05%278.93K197.05%278.93K
-Current capital lease obligation 7.23%16.38K7.23%16.09K7.23%15.82K7.23%15.54K7.23%15.54K-2.99%15.27K757.60%15.01K238.72%14.75K109.10%14.49K109.10%14.49K
Current deferred liabilities -52.65%31.13K-90.45%10.8K-39.40%28.42K-36.65%40.47K-36.65%40.47K16.92%65.75K51.18%113.13K-22.33%46.9K-22.69%63.88K-22.69%63.88K
Current liabilities -38.64%738.75K-40.92%680.35K-9.57%778.16K4.83%829.54K4.83%829.54K57.86%1.2M54.43%1.15M8.52%860.54K12.86%791.3K12.86%791.3K
Non current liabilities
Long term debt and capital lease obligation -52.96%14.55K-46.19%18.75K-40.87%22.88K-36.59%26.94K-36.59%26.94K-33.06%30.92K--34.84K--38.69K--42.48K--42.48K
-Long term capital lease obligation -52.96%14.55K-46.19%18.75K-40.87%22.88K-36.59%26.94K-36.59%26.94K-33.06%30.92K--34.84K--38.69K--42.48K--42.48K
Total non current liabilities -52.96%14.55K-46.19%18.75K-40.87%22.88K-36.59%26.94K-36.59%26.94K-33.06%30.92K--34.84K--38.69K--42.48K--42.48K
Total liabilities -39.00%753.3K-41.07%699.1K-10.92%801.04K2.72%856.48K2.72%856.48K52.67%1.23M59.11%1.19M13.40%899.23K18.92%833.78K18.92%833.78K
Shareholders'equity
Share capital 3.58%42.05M3.55%42.04M3.55%42.04M3.65%42.01M3.65%42.01M0.16%40.6M0.16%40.6M2.62%40.6M2.78%40.53M2.78%40.53M
-common stock 3.58%42.05M3.55%42.04M3.55%42.04M3.65%42.01M3.65%42.01M0.16%40.6M0.16%40.6M2.62%40.6M2.78%40.53M2.78%40.53M
Retained earnings -2.01%-58.03M-2.39%-57.84M-2.52%-57.59M-4.11%-57.15M-4.11%-57.15M-4.47%-56.88M-4.30%-56.49M-4.00%-56.17M-2.21%-54.9M-2.21%-54.9M
Other equity interest 0.77%15.35M2.05%15.28M2.13%15.2M8.35%15.09M8.35%15.09M9.77%15.24M7.78%14.97M6.50%14.88M-0.62%13.93M-0.62%13.93M
Total stockholders'equity 40.90%-619.08K42.93%-527.76K49.26%-350.06K88.46%-49.99K88.46%-49.99K-2,810.34%-1.05M-457.58%-924.78K-45.47%-689.89K-69.92%-433.29K-69.92%-433.29K
Total equity 40.90%-619.08K42.93%-527.76K49.26%-350.06K88.46%-49.99K88.46%-49.99K-2,810.34%-1.05M-457.58%-924.78K-45.47%-689.89K-69.92%-433.29K-69.92%-433.29K
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

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