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FTCI FTC Solar

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  • 4.100
  • -0.040-0.97%
Close Jan 17 16:00 ET
  • 4.100
  • 0.0000.00%
Post 20:01 ET
52.70MMarket Cap-1.08P/E (TTM)

FTC Solar 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
-73.81%8.26M
-68.13%10.78M
-66.16%14.04M
-43.15%25.24M
-43.15%25.24M
-36.73%31.52M
-48.78%33.82M
-15.98%41.49M
-56.56%44.39M
-56.56%44.39M
-Cash and cash equivalents
-73.81%8.26M
-68.13%10.78M
-66.16%14.04M
-43.15%25.24M
-43.15%25.24M
-36.73%31.52M
-48.78%33.82M
-15.98%41.49M
-56.56%44.39M
-56.56%44.39M
Receivables
-47.68%37.35M
-40.47%41.51M
8.27%66.38M
33.08%65.28M
33.08%65.28M
34.85%71.38M
-8.26%69.73M
-53.64%61.31M
-54.39%49.05M
-54.39%49.05M
-Accounts receivable
-59.01%20.48M
-47.48%22.01M
32.49%49.47M
30.49%46.15M
30.49%46.15M
5.87%49.96M
-27.75%41.9M
-62.76%37.34M
-8.37%35.37M
-8.37%35.37M
-Related party accounts receivable
295.75%3.08M
--2.56M
--1.67M
--868K
--868K
--777K
----
----
--0
--0
-Other receivables
-43.48%14.76M
-41.22%17.17M
-2.73%24.46M
80.35%26.82M
80.35%26.82M
277.63%26.12M
48.54%29.22M
-38.38%25.15M
-79.58%14.87M
-79.58%14.87M
-Recievables adjustments allowances
82.23%-975K
83.27%-232K
-679.31%-9.23M
-622.72%-8.56M
-622.72%-8.56M
-364.92%-5.49M
16.34%-1.39M
86.65%-1.18M
69.42%-1.18M
69.42%-1.18M
Inventory
224.90%15.12M
182.23%17.06M
-55.35%3.84M
-73.88%3.91M
-73.88%3.91M
-73.10%4.66M
-55.80%6.05M
-3.45%8.61M
68.72%14.95M
68.72%14.95M
Prepaid assets
20.74%9.41M
16.78%10.14M
4.47%8.58M
-10.32%7.89M
-10.32%7.89M
-29.11%7.79M
-29.34%8.68M
-33.22%8.21M
-43.89%8.79M
-43.89%8.79M
Restricted cash
----
----
--1.9M
--0
--0
----
----
----
--107K
--107K
Current deferred assets
93.98%1.93M
53.47%620K
1,751.52%611K
--666K
--666K
--997K
--404K
--33K
--0
--0
Other current assets
-11.09%4.16M
253.99%4.21M
292.83%4.88M
294.16%5.54M
294.16%5.54M
253.74%4.68M
1.11%1.19M
-15.16%1.24M
-7.44%1.41M
-7.44%1.41M
Total current assets
-37.01%76.23M
-29.65%84.32M
-17.09%100.23M
-8.58%108.51M
-8.58%108.51M
-8.67%121.02M
-29.23%119.87M
-40.82%120.9M
-49.66%118.69M
-49.66%118.69M
Non current assets
Net PPE
11.87%4.13M
17.37%4.37M
-8.26%3.63M
27.52%3.64M
27.52%3.64M
18.00%3.69M
26.49%3.73M
24.23%3.96M
-13.85%2.86M
-13.85%2.86M
-Gross PPE
29.71%6.57M
32.08%6.53M
10.68%5.51M
42.60%5.25M
42.60%5.25M
34.26%5.06M
44.05%4.94M
40.06%4.98M
3.37%3.68M
3.37%3.68M
-Accumulated depreciation
-77.70%-2.44M
-77.14%-2.15M
-84.13%-1.88M
-94.68%-1.61M
-94.68%-1.61M
-113.37%-1.37M
-150.72%-1.22M
-176.69%-1.02M
-233.47%-827K
-233.47%-827K
Goodwill and other intangible assets
-3.10%7.56M
-6.68%7.43M
-10.86%7.61M
-8.74%7.9M
-8.74%7.9M
-8.69%7.8M
-10.71%7.97M
--8.54M
--8.65M
--8.65M
-Goodwill
3.89%7.42M
-0.06%7.17M
-4.62%7.21M
-2.45%7.35M
-2.45%7.35M
-2.51%7.14M
-4.19%7.17M
--7.56M
--7.54M
--7.54M
-Other intangible assets
-79.15%137K
-66.67%264K
-59.16%399K
-51.30%542K
-51.30%542K
-45.93%657K
-44.73%792K
--977K
--1.11M
--1.11M
Investments and advances
125.71%1.27M
69.89%1.53M
12.22%1.01M
--240K
--240K
--564K
--900K
--900K
--0
--0
Related parties assets
295.75%3.08M
--2.56M
--1.67M
--868K
--868K
--777K
----
----
--0
--0
Other non current assets
-21.31%2.51M
-45.85%2.7M
-46.29%2.55M
-33.71%2.79M
-33.71%2.79M
-25.91%3.19M
17.04%4.98M
20.74%4.74M
7.00%4.2M
7.00%4.2M
Total non current assets
1.48%15.47M
-8.76%16.03M
-18.41%14.8M
-7.30%14.56M
-7.30%14.56M
-4.56%15.24M
9.00%17.57M
154.97%18.14M
116.93%15.71M
116.93%15.71M
Total assets
-32.71%91.69M
-26.98%100.35M
-17.27%115.03M
-8.43%123.07M
-8.43%123.07M
-8.23%136.26M
-25.91%137.44M
-34.23%139.04M
-44.70%134.4M
-44.70%134.4M
Liabilities
Current liabilities
Payables
88.28%19.12M
-35.56%17.77M
-51.18%12.21M
-51.00%8.19M
-51.00%8.19M
-64.01%10.15M
-22.17%27.57M
-45.85%25.01M
-57.69%16.71M
-57.69%16.71M
-accounts payable
91.60%18.74M
-35.01%17.58M
-49.13%12.06M
-49.50%7.98M
-49.50%7.98M
-63.70%9.78M
-22.54%27.05M
-48.58%23.7M
-59.76%15.8M
-59.76%15.8M
-Total tax payable
0.81%374K
-64.18%187K
-88.36%152K
-77.15%207K
-77.15%207K
-70.60%371K
3.37%522K
1,401.15%1.31M
313.70%906K
313.70%906K
Current accrued expenses
-15.93%20.27M
61.21%19.4M
49.02%26.04M
61.34%30.99M
61.34%30.99M
77.44%24.11M
-51.09%12.03M
-33.15%17.47M
-59.03%19.21M
-59.03%19.21M
Current provisions
15.65%8.95M
-6.76%7.26M
-13.52%6.99M
-9.06%7.28M
-9.06%7.28M
-6.82%7.74M
23.86%7.79M
--8.09M
98.51%8M
98.51%8M
Current debt and capital lease obligation
17.52%872K
7.26%857K
-5.60%742K
77.46%740K
77.46%740K
68.64%742K
79.95%799K
--786K
-7.74%417K
-7.74%417K
-Current capital lease obligation
17.52%872K
7.26%857K
-5.60%742K
77.46%740K
77.46%740K
68.64%742K
79.95%799K
--786K
-7.74%417K
-7.74%417K
Current deferred liabilities
-60.24%4.44M
3.30%2.6M
-43.32%4.9M
-68.08%3.61M
-68.08%3.61M
127.66%11.18M
-63.49%2.51M
178.68%8.64M
696.34%11.32M
696.34%11.32M
Current liabilities
3.16%57.35M
0.78%51.32M
-13.50%54.53M
-9.41%54.67M
-9.41%54.67M
-9.58%55.59M
-35.45%50.92M
-25.36%63.04M
-35.29%60.34M
-35.29%60.34M
Non current liabilities
Long term debt and capital lease obligation
-32.60%883K
-26.05%1.11M
-44.44%934K
43.00%1.12M
43.00%1.12M
31.53%1.31M
36.96%1.5M
41.26%1.68M
-41.34%786K
-41.34%786K
-Long term capital lease obligation
-32.60%883K
-26.05%1.11M
-44.44%934K
43.00%1.12M
43.00%1.12M
31.53%1.31M
36.96%1.5M
41.26%1.68M
-41.34%786K
-41.34%786K
Other non current liabilities
-42.19%3.06M
-34.48%3.68M
-27.44%4.41M
-29.49%4.81M
-29.49%4.81M
18.02%5.29M
9.04%5.62M
8.62%6.07M
22.57%6.82M
22.57%6.82M
Total non current liabilities
-40.28%3.94M
-32.71%4.79M
-31.12%5.34M
-22.00%5.93M
-22.00%5.93M
20.47%6.6M
7.75%7.12M
14.35%7.75M
10.17%7.61M
10.17%7.61M
Total liabilities
-1.45%61.29M
-3.33%56.11M
-15.43%59.87M
-10.82%60.6M
-10.82%60.6M
-7.12%62.19M
-32.11%58.04M
-22.41%70.8M
-32.16%67.95M
-32.16%67.95M
Shareholders'equity
Share capital
8.33%13K
8.33%13K
18.18%13K
18.18%13K
18.18%13K
20.00%12K
20.00%12K
10.00%11K
22.22%11K
22.22%11K
-common stock
8.33%13K
8.33%13K
18.18%13K
18.18%13K
18.18%13K
20.00%12K
20.00%12K
10.00%11K
22.22%11K
22.22%11K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-16.51%-335.51M
-18.13%-320.15M
-18.15%-307.91M
-20.21%-299.14M
-20.21%-299.14M
-26.11%-287.96M
-33.70%-271.02M
-47.21%-260.61M
-66.75%-248.85M
-66.75%-248.85M
Paid-in capital
0.99%366.13M
3.97%364.81M
10.53%363.53M
14.76%361.89M
14.76%361.89M
16.87%362.53M
15.96%350.88M
10.70%328.9M
7.96%315.35M
7.96%315.35M
Less: Treasury stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Gains losses not affecting retained earnings
54.88%-231K
7.59%-438K
-618.18%-474K
-380.33%-293K
-380.33%-293K
-46.29%-512K
-482.26%-474K
-203.13%-66K
-971.43%-61K
-971.43%-61K
Total stockholders'equity
-58.95%30.41M
-44.28%44.24M
-19.17%55.16M
-5.99%62.47M
-5.99%62.47M
-9.14%74.07M
-20.61%79.39M
-43.21%68.24M
-53.49%66.45M
-53.49%66.45M
Total equity
-58.95%30.41M
-44.28%44.24M
-19.17%55.16M
-5.99%62.47M
-5.99%62.47M
-9.14%74.07M
-20.61%79.39M
-43.21%68.24M
-53.49%66.45M
-53.49%66.45M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
--
--
--
--
--
--
(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 -73.81%8.26M -68.13%10.78M -66.16%14.04M -43.15%25.24M -43.15%25.24M -36.73%31.52M -48.78%33.82M -15.98%41.49M -56.56%44.39M -56.56%44.39M
-Cash and cash equivalents -73.81%8.26M -68.13%10.78M -66.16%14.04M -43.15%25.24M -43.15%25.24M -36.73%31.52M -48.78%33.82M -15.98%41.49M -56.56%44.39M -56.56%44.39M
Receivables -47.68%37.35M -40.47%41.51M 8.27%66.38M 33.08%65.28M 33.08%65.28M 34.85%71.38M -8.26%69.73M -53.64%61.31M -54.39%49.05M -54.39%49.05M
-Accounts receivable -59.01%20.48M -47.48%22.01M 32.49%49.47M 30.49%46.15M 30.49%46.15M 5.87%49.96M -27.75%41.9M -62.76%37.34M -8.37%35.37M -8.37%35.37M
-Related party accounts receivable 295.75%3.08M --2.56M --1.67M --868K --868K --777K ---- ---- --0 --0
-Other receivables -43.48%14.76M -41.22%17.17M -2.73%24.46M 80.35%26.82M 80.35%26.82M 277.63%26.12M 48.54%29.22M -38.38%25.15M -79.58%14.87M -79.58%14.87M
-Recievables adjustments allowances 82.23%-975K 83.27%-232K -679.31%-9.23M -622.72%-8.56M -622.72%-8.56M -364.92%-5.49M 16.34%-1.39M 86.65%-1.18M 69.42%-1.18M 69.42%-1.18M
Inventory 224.90%15.12M 182.23%17.06M -55.35%3.84M -73.88%3.91M -73.88%3.91M -73.10%4.66M -55.80%6.05M -3.45%8.61M 68.72%14.95M 68.72%14.95M
Prepaid assets 20.74%9.41M 16.78%10.14M 4.47%8.58M -10.32%7.89M -10.32%7.89M -29.11%7.79M -29.34%8.68M -33.22%8.21M -43.89%8.79M -43.89%8.79M
Restricted cash ---- ---- --1.9M --0 --0 ---- ---- ---- --107K --107K
Current deferred assets 93.98%1.93M 53.47%620K 1,751.52%611K --666K --666K --997K --404K --33K --0 --0
Other current assets -11.09%4.16M 253.99%4.21M 292.83%4.88M 294.16%5.54M 294.16%5.54M 253.74%4.68M 1.11%1.19M -15.16%1.24M -7.44%1.41M -7.44%1.41M
Total current assets -37.01%76.23M -29.65%84.32M -17.09%100.23M -8.58%108.51M -8.58%108.51M -8.67%121.02M -29.23%119.87M -40.82%120.9M -49.66%118.69M -49.66%118.69M
Non current assets
Net PPE 11.87%4.13M 17.37%4.37M -8.26%3.63M 27.52%3.64M 27.52%3.64M 18.00%3.69M 26.49%3.73M 24.23%3.96M -13.85%2.86M -13.85%2.86M
-Gross PPE 29.71%6.57M 32.08%6.53M 10.68%5.51M 42.60%5.25M 42.60%5.25M 34.26%5.06M 44.05%4.94M 40.06%4.98M 3.37%3.68M 3.37%3.68M
-Accumulated depreciation -77.70%-2.44M -77.14%-2.15M -84.13%-1.88M -94.68%-1.61M -94.68%-1.61M -113.37%-1.37M -150.72%-1.22M -176.69%-1.02M -233.47%-827K -233.47%-827K
Goodwill and other intangible assets -3.10%7.56M -6.68%7.43M -10.86%7.61M -8.74%7.9M -8.74%7.9M -8.69%7.8M -10.71%7.97M --8.54M --8.65M --8.65M
-Goodwill 3.89%7.42M -0.06%7.17M -4.62%7.21M -2.45%7.35M -2.45%7.35M -2.51%7.14M -4.19%7.17M --7.56M --7.54M --7.54M
-Other intangible assets -79.15%137K -66.67%264K -59.16%399K -51.30%542K -51.30%542K -45.93%657K -44.73%792K --977K --1.11M --1.11M
Investments and advances 125.71%1.27M 69.89%1.53M 12.22%1.01M --240K --240K --564K --900K --900K --0 --0
Related parties assets 295.75%3.08M --2.56M --1.67M --868K --868K --777K ---- ---- --0 --0
Other non current assets -21.31%2.51M -45.85%2.7M -46.29%2.55M -33.71%2.79M -33.71%2.79M -25.91%3.19M 17.04%4.98M 20.74%4.74M 7.00%4.2M 7.00%4.2M
Total non current assets 1.48%15.47M -8.76%16.03M -18.41%14.8M -7.30%14.56M -7.30%14.56M -4.56%15.24M 9.00%17.57M 154.97%18.14M 116.93%15.71M 116.93%15.71M
Total assets -32.71%91.69M -26.98%100.35M -17.27%115.03M -8.43%123.07M -8.43%123.07M -8.23%136.26M -25.91%137.44M -34.23%139.04M -44.70%134.4M -44.70%134.4M
Liabilities
Current liabilities
Payables 88.28%19.12M -35.56%17.77M -51.18%12.21M -51.00%8.19M -51.00%8.19M -64.01%10.15M -22.17%27.57M -45.85%25.01M -57.69%16.71M -57.69%16.71M
-accounts payable 91.60%18.74M -35.01%17.58M -49.13%12.06M -49.50%7.98M -49.50%7.98M -63.70%9.78M -22.54%27.05M -48.58%23.7M -59.76%15.8M -59.76%15.8M
-Total tax payable 0.81%374K -64.18%187K -88.36%152K -77.15%207K -77.15%207K -70.60%371K 3.37%522K 1,401.15%1.31M 313.70%906K 313.70%906K
Current accrued expenses -15.93%20.27M 61.21%19.4M 49.02%26.04M 61.34%30.99M 61.34%30.99M 77.44%24.11M -51.09%12.03M -33.15%17.47M -59.03%19.21M -59.03%19.21M
Current provisions 15.65%8.95M -6.76%7.26M -13.52%6.99M -9.06%7.28M -9.06%7.28M -6.82%7.74M 23.86%7.79M --8.09M 98.51%8M 98.51%8M
Current debt and capital lease obligation 17.52%872K 7.26%857K -5.60%742K 77.46%740K 77.46%740K 68.64%742K 79.95%799K --786K -7.74%417K -7.74%417K
-Current capital lease obligation 17.52%872K 7.26%857K -5.60%742K 77.46%740K 77.46%740K 68.64%742K 79.95%799K --786K -7.74%417K -7.74%417K
Current deferred liabilities -60.24%4.44M 3.30%2.6M -43.32%4.9M -68.08%3.61M -68.08%3.61M 127.66%11.18M -63.49%2.51M 178.68%8.64M 696.34%11.32M 696.34%11.32M
Current liabilities 3.16%57.35M 0.78%51.32M -13.50%54.53M -9.41%54.67M -9.41%54.67M -9.58%55.59M -35.45%50.92M -25.36%63.04M -35.29%60.34M -35.29%60.34M
Non current liabilities
Long term debt and capital lease obligation -32.60%883K -26.05%1.11M -44.44%934K 43.00%1.12M 43.00%1.12M 31.53%1.31M 36.96%1.5M 41.26%1.68M -41.34%786K -41.34%786K
-Long term capital lease obligation -32.60%883K -26.05%1.11M -44.44%934K 43.00%1.12M 43.00%1.12M 31.53%1.31M 36.96%1.5M 41.26%1.68M -41.34%786K -41.34%786K
Other non current liabilities -42.19%3.06M -34.48%3.68M -27.44%4.41M -29.49%4.81M -29.49%4.81M 18.02%5.29M 9.04%5.62M 8.62%6.07M 22.57%6.82M 22.57%6.82M
Total non current liabilities -40.28%3.94M -32.71%4.79M -31.12%5.34M -22.00%5.93M -22.00%5.93M 20.47%6.6M 7.75%7.12M 14.35%7.75M 10.17%7.61M 10.17%7.61M
Total liabilities -1.45%61.29M -3.33%56.11M -15.43%59.87M -10.82%60.6M -10.82%60.6M -7.12%62.19M -32.11%58.04M -22.41%70.8M -32.16%67.95M -32.16%67.95M
Shareholders'equity
Share capital 8.33%13K 8.33%13K 18.18%13K 18.18%13K 18.18%13K 20.00%12K 20.00%12K 10.00%11K 22.22%11K 22.22%11K
-common stock 8.33%13K 8.33%13K 18.18%13K 18.18%13K 18.18%13K 20.00%12K 20.00%12K 10.00%11K 22.22%11K 22.22%11K
-Preferred stock --0 --0 --0 --0 --0 --0 --0 --0 --0 --0
Retained earnings -16.51%-335.51M -18.13%-320.15M -18.15%-307.91M -20.21%-299.14M -20.21%-299.14M -26.11%-287.96M -33.70%-271.02M -47.21%-260.61M -66.75%-248.85M -66.75%-248.85M
Paid-in capital 0.99%366.13M 3.97%364.81M 10.53%363.53M 14.76%361.89M 14.76%361.89M 16.87%362.53M 15.96%350.88M 10.70%328.9M 7.96%315.35M 7.96%315.35M
Less: Treasury stock --0 --0 --0 --0 --0 --0 --0 --0 --0 --0
Gains losses not affecting retained earnings 54.88%-231K 7.59%-438K -618.18%-474K -380.33%-293K -380.33%-293K -46.29%-512K -482.26%-474K -203.13%-66K -971.43%-61K -971.43%-61K
Total stockholders'equity -58.95%30.41M -44.28%44.24M -19.17%55.16M -5.99%62.47M -5.99%62.47M -9.14%74.07M -20.61%79.39M -43.21%68.24M -53.49%66.45M -53.49%66.45M
Total equity -58.95%30.41M -44.28%44.24M -19.17%55.16M -5.99%62.47M -5.99%62.47M -9.14%74.07M -20.61%79.39M -43.21%68.24M -53.49%66.45M -53.49%66.45M
Currency Unit USD USD USD USD USD USD USD USD USD USD
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 -- -- -- -- -- --
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