CA Stock MarketDetailed Quotes

SURE SureNano Sciences Ltd

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  • 0.040
  • 0.0000.00%
15min DelayMarket Closed Nov 1 14:06 ET
858.31KMarket Cap-4000P/E (TTM)

SureNano Sciences Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-77.65%40.16K
-64.51%92.49K
-51.33%134.8K
-51.33%134.8K
-51.57%158.4K
-45.30%179.68K
-46.91%260.62K
-58.48%276.99K
-58.48%276.99K
-63.14%327.04K
-Cash and cash equivalents
-77.65%40.16K
-64.51%92.49K
-51.33%134.8K
-51.33%134.8K
-51.57%158.4K
-45.30%179.68K
-46.91%260.62K
-58.48%276.99K
-58.48%276.99K
-63.14%327.04K
Receivables
-74.56%1.09K
6.00%2.23K
-88.15%2.53K
-88.15%2.53K
-80.11%1.14K
-92.19%4.27K
-89.97%2.1K
26.53%21.32K
26.53%21.32K
-68.78%5.75K
-Accounts receivable
-74.56%1.09K
6.00%2.23K
-88.15%2.53K
-88.15%2.53K
-80.11%1.14K
-92.19%4.27K
-89.97%2.1K
26.53%21.32K
26.53%21.32K
-68.78%5.75K
Prepaid assets
3.40%21.08K
63.74%5.14K
-9.06%10.16K
-9.06%10.16K
25.10%16.06K
14.10%20.39K
25.44%3.14K
346.72%11.17K
346.72%11.17K
--12.84K
Total current assets
-69.50%62.33K
-62.44%99.85K
-52.34%147.49K
-52.34%147.49K
-49.19%175.6K
-49.04%204.34K
-48.31%265.86K
-54.92%309.48K
-54.92%309.48K
-61.84%345.63K
Non current assets
Net PPE
-36.36%4.38K
-33.33%5K
-30.77%5.63K
-30.77%5.63K
-64.29%6.25K
-63.33%6.88K
-62.50%7.5K
--8.13K
--8.13K
--17.5K
-Gross PPE
0.00%10K
0.00%10K
0.00%10K
0.00%10K
-50.00%10K
-50.00%10K
-50.00%10K
--10K
--10K
--20K
-Accumulated depreciation
-80.00%-5.63K
-100.00%-5K
-133.33%-4.38K
-133.33%-4.38K
-50.00%-3.75K
-150.00%-3.13K
---2.5K
---1.88K
---1.88K
---2.5K
Total non current assets
-36.36%4.38K
-33.33%5K
-30.77%5.63K
-30.77%5.63K
-64.29%6.25K
-63.33%6.88K
-62.50%7.5K
--8.13K
--8.13K
--17.5K
Total assets
-68.42%66.7K
-61.64%104.85K
-51.79%153.11K
-51.79%153.11K
-49.92%181.85K
-49.68%211.21K
-48.84%273.36K
-53.73%317.61K
-53.73%317.61K
-59.91%363.13K
Liabilities
Current liabilities
Payables
121.86%227.49K
144.22%207.16K
199.31%173.29K
199.31%173.29K
208.14%136.47K
356.85%102.54K
1,395.52%84.83K
58.64%57.9K
58.64%57.9K
--44.29K
-accounts payable
118.22%9.12K
73.65%20.29K
165.02%16.5K
165.02%16.5K
-16.88%10.74K
-81.39%4.18K
105.98%11.68K
-69.95%6.22K
-69.95%6.22K
--12.92K
-Due to related parties current
122.02%218.38K
155.49%186.88K
203.44%156.8K
203.44%156.8K
300.77%125.73K
--98.36K
--73.14K
227.38%51.67K
227.38%51.67K
--31.37K
Current liabilities
121.86%227.49K
144.22%207.16K
199.31%173.29K
199.31%173.29K
208.14%136.47K
356.85%102.54K
1,395.52%84.83K
58.64%57.9K
58.64%57.9K
0.35%44.29K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
121.86%227.49K
144.22%207.16K
199.31%173.29K
199.31%173.29K
208.14%136.47K
356.85%102.54K
1,395.52%84.83K
58.64%57.9K
58.64%57.9K
0.35%44.29K
Shareholders'equity
Share capital
0.00%1.44M
0.00%1.44M
0.00%1.44M
0.00%1.44M
0.00%1.44M
0.00%1.44M
0.00%1.44M
0.00%1.44M
0.00%1.44M
0.00%1.44M
-common stock
0.00%1.44M
0.00%1.44M
0.00%1.44M
0.00%1.44M
0.00%1.44M
0.00%1.44M
0.00%1.44M
0.00%1.44M
0.00%1.44M
0.00%1.44M
Retained earnings
-15.52%-2.01M
-17.56%-1.95M
-17.66%-1.87M
-17.66%-1.87M
-17.92%-1.8M
-19.85%-1.74M
-25.70%-1.66M
-31.97%-1.59M
-31.97%-1.59M
-55.39%-1.53M
Other equity interest
0.00%405.06K
0.00%405.06K
0.00%405.06K
0.00%405.06K
-0.00%405.06K
-0.25%405.06K
-0.35%405.06K
-1.51%405.06K
-1.51%405.06K
0.31%405.07K
Total stockholders'equity
-247.95%-160.79K
-154.27%-102.31K
-107.77%-20.18K
-107.77%-20.18K
-85.77%45.38K
-72.65%108.67K
-64.34%188.53K
-60.04%259.71K
-60.04%259.71K
-62.99%318.84K
Total equity
-247.95%-160.79K
-154.27%-102.31K
-107.77%-20.18K
-107.77%-20.18K
-85.77%45.38K
-72.65%108.67K
-64.34%188.53K
-60.04%259.71K
-60.04%259.71K
-62.99%318.84K
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
--
--
(Q2)Sep 30, 2024 (Q1)Jun 30, 2024 (FY)Mar 31, 2024 (Q4)Mar 31, 2024 (Q3)Dec 31, 2023 (Q2)Sep 30, 2023 (Q1)Jun 30, 2023 (FY)Mar 31, 2023 (Q4)Mar 31, 2023 (Q3)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -77.65%40.16K -64.51%92.49K -51.33%134.8K -51.33%134.8K -51.57%158.4K -45.30%179.68K -46.91%260.62K -58.48%276.99K -58.48%276.99K -63.14%327.04K
-Cash and cash equivalents -77.65%40.16K -64.51%92.49K -51.33%134.8K -51.33%134.8K -51.57%158.4K -45.30%179.68K -46.91%260.62K -58.48%276.99K -58.48%276.99K -63.14%327.04K
Receivables -74.56%1.09K 6.00%2.23K -88.15%2.53K -88.15%2.53K -80.11%1.14K -92.19%4.27K -89.97%2.1K 26.53%21.32K 26.53%21.32K -68.78%5.75K
-Accounts receivable -74.56%1.09K 6.00%2.23K -88.15%2.53K -88.15%2.53K -80.11%1.14K -92.19%4.27K -89.97%2.1K 26.53%21.32K 26.53%21.32K -68.78%5.75K
Prepaid assets 3.40%21.08K 63.74%5.14K -9.06%10.16K -9.06%10.16K 25.10%16.06K 14.10%20.39K 25.44%3.14K 346.72%11.17K 346.72%11.17K --12.84K
Total current assets -69.50%62.33K -62.44%99.85K -52.34%147.49K -52.34%147.49K -49.19%175.6K -49.04%204.34K -48.31%265.86K -54.92%309.48K -54.92%309.48K -61.84%345.63K
Non current assets
Net PPE -36.36%4.38K -33.33%5K -30.77%5.63K -30.77%5.63K -64.29%6.25K -63.33%6.88K -62.50%7.5K --8.13K --8.13K --17.5K
-Gross PPE 0.00%10K 0.00%10K 0.00%10K 0.00%10K -50.00%10K -50.00%10K -50.00%10K --10K --10K --20K
-Accumulated depreciation -80.00%-5.63K -100.00%-5K -133.33%-4.38K -133.33%-4.38K -50.00%-3.75K -150.00%-3.13K ---2.5K ---1.88K ---1.88K ---2.5K
Total non current assets -36.36%4.38K -33.33%5K -30.77%5.63K -30.77%5.63K -64.29%6.25K -63.33%6.88K -62.50%7.5K --8.13K --8.13K --17.5K
Total assets -68.42%66.7K -61.64%104.85K -51.79%153.11K -51.79%153.11K -49.92%181.85K -49.68%211.21K -48.84%273.36K -53.73%317.61K -53.73%317.61K -59.91%363.13K
Liabilities
Current liabilities
Payables 121.86%227.49K 144.22%207.16K 199.31%173.29K 199.31%173.29K 208.14%136.47K 356.85%102.54K 1,395.52%84.83K 58.64%57.9K 58.64%57.9K --44.29K
-accounts payable 118.22%9.12K 73.65%20.29K 165.02%16.5K 165.02%16.5K -16.88%10.74K -81.39%4.18K 105.98%11.68K -69.95%6.22K -69.95%6.22K --12.92K
-Due to related parties current 122.02%218.38K 155.49%186.88K 203.44%156.8K 203.44%156.8K 300.77%125.73K --98.36K --73.14K 227.38%51.67K 227.38%51.67K --31.37K
Current liabilities 121.86%227.49K 144.22%207.16K 199.31%173.29K 199.31%173.29K 208.14%136.47K 356.85%102.54K 1,395.52%84.83K 58.64%57.9K 58.64%57.9K 0.35%44.29K
Non current liabilities
Total non current liabilities --0 --0 --0 --0 --0 --0 --0 --0 --0 --0
Total liabilities 121.86%227.49K 144.22%207.16K 199.31%173.29K 199.31%173.29K 208.14%136.47K 356.85%102.54K 1,395.52%84.83K 58.64%57.9K 58.64%57.9K 0.35%44.29K
Shareholders'equity
Share capital 0.00%1.44M 0.00%1.44M 0.00%1.44M 0.00%1.44M 0.00%1.44M 0.00%1.44M 0.00%1.44M 0.00%1.44M 0.00%1.44M 0.00%1.44M
-common stock 0.00%1.44M 0.00%1.44M 0.00%1.44M 0.00%1.44M 0.00%1.44M 0.00%1.44M 0.00%1.44M 0.00%1.44M 0.00%1.44M 0.00%1.44M
Retained earnings -15.52%-2.01M -17.56%-1.95M -17.66%-1.87M -17.66%-1.87M -17.92%-1.8M -19.85%-1.74M -25.70%-1.66M -31.97%-1.59M -31.97%-1.59M -55.39%-1.53M
Other equity interest 0.00%405.06K 0.00%405.06K 0.00%405.06K 0.00%405.06K -0.00%405.06K -0.25%405.06K -0.35%405.06K -1.51%405.06K -1.51%405.06K 0.31%405.07K
Total stockholders'equity -247.95%-160.79K -154.27%-102.31K -107.77%-20.18K -107.77%-20.18K -85.77%45.38K -72.65%108.67K -64.34%188.53K -60.04%259.71K -60.04%259.71K -62.99%318.84K
Total equity -247.95%-160.79K -154.27%-102.31K -107.77%-20.18K -107.77%-20.18K -85.77%45.38K -72.65%108.67K -64.34%188.53K -60.04%259.71K -60.04%259.71K -62.99%318.84K
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 -- --

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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