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Описание компании Thunder Bridge Acquisition II Ltd. отсутствует.

General
Code THBR
Type Common Stock
Name Thunder Bridge Acquisition II Ltd
Exchange NASDAQ
CurrencyCode USD
CurrencyName US Dollar
CurrencySymbol $
CountryName USA
CountryISO US
ISIN KYG8857S1167
PrimaryTicker THBR.US
CUSIP G8857S116
CIK 1769318
FiscalYearEnd December
IPODate 2019-10-04
Sector Financial Services
Industry Shell Companies
HomeCategory Domestic Primary
IsDelisted Да
DelistedDate 2021-06-10
Address 9912 Georgetown Pike, Great Falls, VA, United States, 22066
Listings
0
Code THBRU
Exchange US
Name Thunder Bridge Acquisition II Ltd
Phone 202 431 0507
FullTimeEmployees 0
UpdatedAt 2021-07-25
Highlights
MarketCapitalization 468768736
MarketCapitalizationMln 468.7687
WallStreetTargetPrice 18.5
DividendYield 0
EPSEstimateCurrentYear -0.28
EPSEstimateNextYear -0.31
EPSEstimateNextQuarter -0.07
EPSEstimateCurrentQuarter -0.06
MostRecentQuarter 2021-03-31
ProfitMargin 0
OperatingMarginTTM 0
ReturnOnAssetsTTM -0.0044
ReturnOnEquityTTM 0.1003
RevenueTTM 0
RevenuePerShareTTM 0
QuarterlyRevenueGrowthYOY 0
GrossProfitTTM 0
DilutedEpsTTM 0
QuarterlyEarningsGrowthYOY 4.68

Financials / Income Statement / quarterly / net Income

-26.36K
2019-06-30
720K
2019-09-30
1.39M
2019-12-31
1.78M
2020-03-31
-66.15K
2020-06-30
-140.06K
2020-09-30
-1.07M
2020-12-31
38.51M
2021-03-31

Financials / Income Statement / quarterly / ebitda

-26.36K
2019-06-30
-1.01M
2019-09-30
-750.88K
2019-12-31
-238.55K
2020-03-31
-153.26K
2020-06-30
-148.87K
2020-09-30
-1.08M
2020-12-31
-1.07M
2021-03-31

Earnings / History / epsActual

0.076
2019-06-30
0.1511
2019-09-30
0.0413
2019-12-31
-0.0015
2020-03-31
-0.0032
2020-06-30
-0.0248
2020-09-30
-0.0248
2020-12-31
-0.9319
2021-03-31
Valuation
TrailingPE 0
ForwardPE 0
PriceSalesTTM 0
PriceBookMRQ 1.6856
EnterpriseValue 469630432
EnterpriseValueRevenue 0
EnterpriseValueEbitda 0
SharesStats
SharesOutstanding 34500000
SharesFloat 34399950
PercentInsiders 0.29
PercentInstitutions 44.332
Technicals
52WeekHigh 0
52WeekLow 0
50DayMA 10.1517
200DayMA 11.0615
SharesShort 2668464
SharesShortPriorMonth 1272477
ShortRatio 4.42
ShortPercent 0.0776
Financials
Balance_Sheet
currency_symbol USD
quarterly
2021-03-31
date 2021-03-31
filing_date 2021-05-17
currency_symbol USD
totalAssets 349760550.00
otherCurrentAssets 93063.00
totalLiab 71660407.00
totalStockholderEquity -71490753.00
otherCurrentLiab 57614968.00
commonStock 863.00
retainedEarnings -71492479.00
otherLiab 361666759.00
otherAssets 349591759.00
cash 75728.00
totalCurrentLiabilities 59585407.00
netDebt 861679.00
shortLongTermDebt 937407.00
totalCurrentAssets 168791.00
netTangibleAssets 278100143.00
accountsPayable 1970439.00
commonStockTotalEquity 863.00
retainedEarningsTotalEquity -71492479.00
nonCurrrentAssetsOther 349591759.00
nonCurrentAssetsTotal 349591759.00
nonCurrentLiabilitiesOther 12075000.00
nonCurrentLiabilitiesTotal 12075000.00
liabilitiesAndStockholdersEquity 349760550.00
cashAndShortTermInvestments 75728.00
netWorkingCapital -59416616.00
netInvestedCapital 279037550.00
commonStockSharesOutstanding 43125000.00
2020-12-31
date 2020-12-31
filing_date 2021-05-04
currency_symbol USD
totalAssets 349776163.00
otherCurrentAssets 59330.00
totalLiab 110183544.00
totalStockholderEquity -109989656.00
otherCurrentLiab 97181794.00
commonStock 863.00
retainedEarnings -109991382.00
otherLiab 343849406.00
otherAssets 349583138.00
cash 133695.00
totalCurrentLiabilities 98108544.00
netDebt 166305.00
shortLongTermDebt 300000.00
totalCurrentAssets 193025.00
netTangibleAssets 239592619.00
accountsPayable 926750.00
commonStockTotalEquity 863.00
retainedEarningsTotalEquity -109991382.00
nonCurrrentAssetsOther 349583138.00
nonCurrentAssetsTotal 349583138.00
nonCurrentLiabilitiesOther 12075000.00
nonCurrentLiabilitiesTotal 12075000.00
capitalSurpluse 2416019.00
liabilitiesAndStockholdersEquity 349777026.00
cashAndShortTermInvestments 133695.00
netWorkingCapital -733727.00
netInvestedCapital 337074411.00
commonStockSharesOutstanding 43125000.00
2020-09-30
date 2020-09-30
currency_symbol USD
totalAssets 350133752.00
totalLiab 12287997.00
totalStockholderEquity 337845755.00
commonStock 1027.00
retainedEarnings 3654291.00
otherLiab 344920745.00
otherAssets 349574326.00
cash 217982.00
totalCurrentLiabilities 212997.00
shortLongTermDebt 200000.00
totalCurrentAssets 559426.00
netTangibleAssets 5000010.00
accountsPayable 12997.00
nonCurrrentAssetsOther 349574326.00
nonCurrentAssetsTotal 349574326.00
nonCurrentLiabilitiesTotal 12075000.00
netWorkingCapital 346429.00
netInvestedCapital 338045755.00
commonStockSharesOutstanding 43125000.00
2020-06-30
date 2020-06-30
currency_symbol USD
totalAssets 350208213.00
totalLiab 12222399.00
totalStockholderEquity 337985814.00
commonStock 1026.00
retainedEarnings 3794350.00
otherLiab 345060813.00
otherAssets 349565514.00
cash 272257.00
totalCurrentLiabilities 147399.00
netDebt -272257.00
totalCurrentAssets 642699.00
netTangibleAssets 5000001.00
accountsPayable 147399.00
commonStockTotalEquity 332986839.00
nonCurrrentAssetsOther 349565514.00
nonCurrentAssetsTotal 349565514.00
nonCurrentLiabilitiesTotal 12075000.00
liabilitiesAndStockholdersEquity 350208213.00
netWorkingCapital 495300.00
netInvestedCapital 337985814.00
commonStockSharesOutstanding 43125000.00
2020-03-31
date 2020-03-31
currency_symbol USD
totalAssets 350186321.00
totalLiab 12134356.00
totalStockholderEquity 338051965.00
commonStock 1025.00
retainedEarnings 3860500.00
otherLiab 345126962.00
otherAssets 349478401.00
cash 304208.00
totalCurrentLiabilities 59356.00
netDebt -304208.00
totalCurrentAssets 707920.00
netTangibleAssets 5000003.00
accountsPayable 59356.00
commonStockTotalEquity 333052987.00
nonCurrrentAssetsOther 349478401.00
nonCurrentAssetsTotal 349478401.00
nonCurrentLiabilitiesTotal 12075000.00
liabilitiesAndStockholdersEquity 350186321.00
netWorkingCapital 648564.00
netInvestedCapital 338051965.00
commonStockSharesOutstanding 43125000.00
2019-12-31
date 2019-12-31
currency_symbol USD
totalAssets 348389700.00
totalLiab 12116730.00
totalStockholderEquity 5000001.00
commonStock 1023.00
retainedEarnings 2081500.00
otherLiab 343347961.00
otherAssets 347460852.00
cash 497550.00
totalCurrentLiabilities 41730.00
netDebt -497550.00
totalCurrentAssets 928840.00
netTangibleAssets 5000001.00
accountsPayable 41733.00
commonStockTotalEquity 331273980.00
liabilitiesAndStockholdersEquity 348389690.00
commonStockSharesOutstanding 43125000.00
2019-09-30
date 2019-09-30
currency_symbol USD
totalAssets 346980456.00
totalLiab 12100353.00
totalStockholderEquity 334880103.00
commonStock 1025.00
retainedEarnings 688640.00
otherLiab 341955100.00
otherAssets 345867168.00
cash 944979.00
totalCurrentLiabilities 25353.00
netDebt -944979.00
totalCurrentAssets 1113288.00
netTangibleAssets 5000003.00
accountsPayable 25353.00
commonStockTotalEquity 329881125.00
nonCurrrentAssetsOther 345867168.00
nonCurrentAssetsTotal 345867168.00
nonCurrentLiabilitiesTotal 12075000.00
liabilitiesAndStockholdersEquity 346980456.00
commonStockSharesOutstanding 9469740.00
2019-06-30
date 2019-06-30
currency_symbol USD
totalAssets 169185.00
intangibleAssets 0.00
otherCurrentAssets 0.00
totalLiab 175540.00
totalStockholderEquity -6355.00
deferredLongTermLiab 168692.00
otherCurrentLiab 0.00
commonStock 863.00
retainedEarnings -31355.00
otherLiab 0.00
goodWill 0.00
otherAssets 168692.00
cash 493.00
totalCurrentLiabilities 175540.00
netDebt 134507.00
shortTermDebt 135000.00
shortLongTermDebt 135000.00
shortLongTermDebtTotal 135000.00
otherStockholderEquity 0.00
propertyPlantEquipment 0.00
totalCurrentAssets 493.00
longTermInvestments 0.00
netTangibleAssets -6355.00
shortTermInvestments 0.00
netReceivables 0.00
longTermDebt 0.00
inventory 0.00
accountsPayable 40540.00
totalPermanentEquity 0.00
noncontrollingInterestInConsolidatedEntity 0.00
temporaryEquityRedeemableNoncontrollingInterests 0.00
accumulatedOtherComprehensiveIncome 0.00
additionalPaidInCapital 0.00
commonStockTotalEquity 863.00
preferredStockTotalEquity 0.00
retainedEarningsTotalEquity 0.00
treasuryStock 0.00
accumulatedAmortization 0.00
nonCurrrentAssetsOther 168692.00
deferredLongTermAssetCharges 0.00
nonCurrentAssetsTotal 168692.00
capitalLeaseObligations 0.00
longTermDebtTotal 0.00
nonCurrentLiabilitiesOther 0.00
nonCurrentLiabilitiesTotal 0.00
negativeGoodwill 0.00
warrants 0.00
preferredStockRedeemable 0.00
capitalSurpluse 0.00
liabilitiesAndStockholdersEquity 169185.00
cashAndShortTermInvestments 0.00
propertyPlantAndEquipmentGross 0.00
accumulatedDepreciation 0.00
commonStockSharesOutstanding 9469740.00
2019-03-31
date 2019-03-31
currency_symbol USD
totalAssets 200000.00
intangibleAssets 0.00
otherCurrentAssets 0.00
totalLiab 200000.00
totalStockholderEquity 20000.00
deferredLongTermLiab 175652.00
otherCurrentLiab 0.00
commonStock 863.00
retainedEarnings -5000.00
otherLiab 0.00
goodWill 0.00
otherAssets 175652.00
cash 2750.00
totalCurrentLiabilities 200000.00
netDebt 100000.00
shortTermDebt 100000.00
shortLongTermDebt 0.00
shortLongTermDebtTotal 100000.00
otherStockholderEquity 0.00
propertyPlantEquipment 0.00
totalCurrentAssets 2750.00
longTermInvestments 0.00
netTangibleAssets 20000.00
shortTermInvestments 0.00
netReceivables 0.00
longTermDebt 0.00
inventory 0.00
accountsPayable 48402.00
totalPermanentEquity 0.00
noncontrollingInterestInConsolidatedEntity 0.00
temporaryEquityRedeemableNoncontrollingInterests 0.00
accumulatedOtherComprehensiveIncome 0.00
additionalPaidInCapital 0.00
commonStockTotalEquity 0.00
preferredStockTotalEquity 0.00
retainedEarningsTotalEquity 0.00
treasuryStock 0.00
accumulatedAmortization 0.00
nonCurrrentAssetsOther 200000.00
deferredLongTermAssetCharges 0.00
nonCurrentAssetsTotal 0.00
capitalLeaseObligations 0.00
longTermDebtTotal 0.00
nonCurrentLiabilitiesOther 0.00
nonCurrentLiabilitiesTotal 0.00
negativeGoodwill 0.00
warrants 0.00
preferredStockRedeemable 0.00
capitalSurpluse 0.00
liabilitiesAndStockholdersEquity 200000.00
cashAndShortTermInvestments 0.00
propertyPlantAndEquipmentGross 0.00
accumulatedDepreciation 0.00
commonStockSharesOutstanding 1470600.00
yearly
2020-12-31
date 2020-12-31
filing_date 2021-05-04
currency_symbol USD
totalAssets 349776163.00
otherCurrentAssets 59330.00
totalLiab 110183544.00
totalStockholderEquity -109989656.00
otherCurrentLiab 97181794.00
commonStock 863.00
retainedEarnings -109991382.00
otherLiab 343849406.00
otherAssets 349583138.00
cash 133695.00
totalCurrentLiabilities 98108544.00
netDebt 166305.00
shortLongTermDebt 300000.00
totalCurrentAssets 193025.00
netTangibleAssets 239592619.00
accountsPayable 926750.00
commonStockTotalEquity 863.00
retainedEarningsTotalEquity -109991382.00
nonCurrrentAssetsOther 349583138.00
nonCurrentAssetsTotal 349583138.00
nonCurrentLiabilitiesOther 12075000.00
nonCurrentLiabilitiesTotal 12075000.00
capitalSurpluse 2416019.00
liabilitiesAndStockholdersEquity 349777026.00
cashAndShortTermInvestments 133695.00
netWorkingCapital -733727.00
netInvestedCapital 337074411.00
commonStockSharesOutstanding 43125000.00
2019-12-31
date 2019-12-31
currency_symbol USD
totalAssets 348389695.00
totalLiab 12116733.00
totalStockholderEquity 336272962.00
otherCurrentLiab 23387415.00
commonStock 1023.00
retainedEarnings 2081499.00
otherLiab 343347961.00
otherAssets 347460852.00
cash 497549.00
totalCurrentLiabilities 41733.00
netDebt -497549.00
totalCurrentAssets 928843.00
netTangibleAssets 5000001.00
accountsPayable 41733.00
commonStockTotalEquity 331273984.00
nonCurrrentAssetsOther 347460852.00
nonCurrentAssetsTotal 347460852.00
nonCurrentLiabilitiesTotal 12075000.00
liabilitiesAndStockholdersEquity 348389695.00
netWorkingCapital 887110.00
netInvestedCapital 336272962.00
commonStockSharesOutstanding 43125000.00
2018-12-31
date 2018-12-31
currency_symbol USD
commonStockSharesOutstanding 43125000.00
Cash_Flow
currency_symbol USD
quarterly
2021-03-31
date 2021-03-31
filing_date 2021-05-17
currency_symbol USD
changeToLiabilities 406282.00
netBorrowings 637407.00
totalCashFromFinancingActivities 637407.00
changeToOperatingActivities -33733.00
netIncome 38507524.00
changeInCash -57967.00
beginPeriodCashFlow 133695.00
endPeriodCashFlow 75728.00
totalCashFromOperatingActivities -695374.00
changeToNetincome -39566826.00
capitalExpenditures 0
cashFlowsOtherOperating -42354.00
cashAndCashEquivalentsChanges -57967.00
changeInWorkingCapital 372549.00
otherNonCashItems -8621.00
freeCashFlow -695374.00
2020-12-31
date 2020-12-31
currency_symbol USD
investments 0.00
changeToLiabilities 613757.00
netBorrowings 100000.00
totalCashFromFinancingActivities 100000.00
changeToOperatingActivities 282113.00
netIncome -74865722.00
changeInCash -84285.00
beginPeriodCashFlow 217982.00
endPeriodCashFlow 133695.00
totalCashFromOperatingActivities -184285.00
changeToNetincome 73785567.00
capitalExpenditures 0
changeInWorkingCapital 895868.00
otherNonCashItems -8812.00
freeCashFlow -184287.00
2020-09-30
date 2020-09-30
currency_symbol USD
changeToLiabilities -134402.00
netBorrowings 200000.00
totalCashFromFinancingActivities 200000.00
changeToOperatingActivities 28998.00
netIncome -140059.00
changeInCash -54275.00
beginPeriodCashFlow 272257.00
endPeriodCashFlow 217982.00
totalCashFromOperatingActivities -254275.00
changeToNetincome -8812.00
capitalExpenditures 0
changeInWorkingCapital -105404.00
otherNonCashItems -8812.00
freeCashFlow -254275.00
2020-06-30
date 2020-06-30
currency_symbol USD
changeToLiabilities 88043.00
netBorrowings 200000.00
totalCashFromFinancingActivities 200000.00
changeToOperatingActivities 33271.00
netIncome -66150.00
changeInCash -31951.00
beginPeriodCashFlow 304208.00
endPeriodCashFlow 272257.00
totalCashFromOperatingActivities -31951.00
changeToNetincome -87115.00
capitalExpenditures 0
changeInWorkingCapital 121314.00
otherNonCashItems -87115.00
freeCashFlow -31951.00
2020-03-31
date 2020-03-31
currency_symbol USD
changeToLiabilities 17623.00
netBorrowings 200000.00
totalCashFromFinancingActivities 200000.00
changeToOperatingActivities 27582.00
netIncome 1779001.00
changeInCash -193341.00
beginPeriodCashFlow 497549.00
endPeriodCashFlow 304208.00
totalCashFromOperatingActivities -193341.00
changeToNetincome -2017547.00
capitalExpenditures 0
changeInWorkingCapital 45205.00
otherNonCashItems -2017547.00
freeCashFlow -193341.00
2019-12-31
date 2019-12-31
currency_symbol USD
changeToLiabilities 20174.00
totalCashflowsFromInvestingActivities -31363605.00
netBorrowings 200000.00
totalCashFromFinancingActivities 31478737.00
changeToOperatingActivities -302194.00
netIncome 1392860.00
changeInCash -447430.00
beginPeriodCashFlow 944980.00
endPeriodCashFlow 497550.00
totalCashFromOperatingActivities -447430.00
otherCashflowsFromInvestingActivities -31363605.00
otherCashflowsFromFinancingActivities 345542032.00
changeToNetincome -1817397.00
capitalExpenditures 0
changeInWorkingCapital -246600.00
otherNonCashItems -1593680.00
freeCashFlow -447430.00
2019-09-30
date 2019-09-30
currency_symbol USD
changeToLiabilities -897.00
totalCashflowsFromInvestingActivities -345000000.00
netBorrowings -135000.00
totalCashFromFinancingActivities 346260860.00
changeToOperatingActivities -168309.00
netIncome 719995.00
changeInCash 944490.00
beginPeriodCashFlow 490.00
endPeriodCashFlow 944490.00
totalCashFromOperatingActivities -316370.00
otherCashflowsFromInvestingActivities -345000000.00
changeToInventory -11315000.00
salePurchaseOfStock 346750000.00
otherCashflowsFromFinancingActivities 188785979.00
changeToNetincome -867168.00
capitalExpenditures 50864000
changeInWorkingCapital -169210.00
otherNonCashItems -867170.00
freeCashFlow -316370.00
2019-06-30
date 2019-06-30
currency_symbol USD
investments 0.00
changeToLiabilities 26250.00
totalCashflowsFromInvestingActivities -345000000.00
netBorrowings 25000.00
totalCashFromFinancingActivities -4400.00
changeToOperatingActivities -168309.00
netIncome -26355.00
changeInCash 490.00
endPeriodCashFlow 490.00
totalCashFromOperatingActivities 4890.00
depreciation 0.00
otherCashflowsFromInvestingActivities -345000000.00
dividendsPaid 0.00
changeToInventory 0.00
changeToAccountReceivables 0.00
salePurchaseOfStock -5000.00
otherCashflowsFromFinancingActivities -27152.00
changeToNetincome -867168.00
capitalExpenditures 0
changeReceivables 0.00
cashFlowsOtherOperating 0.00
exchangeRateChanges 0.00
cashAndCashEquivalentsChanges 0.00
changeInWorkingCapital 26250.00
freeCashFlow 4890.00
2019-03-31
date 2019-03-31
currency_symbol USD
investments 0.00
changeToLiabilities 0.00
totalCashflowsFromInvestingActivities -345000000.00
netBorrowings 110000.00
totalCashFromFinancingActivities 10000.00
changeToOperatingActivities -168309.00
netIncome -10000.00
changeInCash 2750.00
totalCashFromOperatingActivities -10000.00
depreciation 0.00
otherCashflowsFromInvestingActivities -345000000.00
dividendsPaid 0.00
changeToInventory 0.00
changeToAccountReceivables 0.00
salePurchaseOfStock 30000.00
otherCashflowsFromFinancingActivities -127250.00
changeToNetincome -867168.00
capitalExpenditures 0
changeReceivables 0.00
cashFlowsOtherOperating 0.00
exchangeRateChanges 0.00
cashAndCashEquivalentsChanges 0.00
freeCashFlow -10000.00
yearly
2020-12-31
date 2020-12-31
filing_date 2021-05-04
currency_symbol USD
investments 0.00
changeToLiabilities 585021.00
netBorrowings 300000.00
totalCashFromFinancingActivities 300000.00
changeToOperatingActivities 371964.00
netIncome -73292930.00
changeInCash -363852.00
beginPeriodCashFlow 497549.00
endPeriodCashFlow 133695.00
totalCashFromOperatingActivities -663852.00
changeToNetincome 73794379.00
capitalExpenditures 0
cashFlowsOtherOperating -1750322.00
cashAndCashEquivalentsChanges -363852.00
changeInWorkingCapital 956983.00
otherNonCashItems -2122286.00
freeCashFlow -663854.00
2019-12-31
date 2019-12-31
currency_symbol USD
changeToLiabilities 45527.00
totalCashflowsFromInvestingActivities -376363605.00
netBorrowings 300000.00
totalCashFromFinancingActivities 346266460.00
changeToOperatingActivities -470503.00
netIncome 2081500.00
changeInCash 497550.00
endPeriodCashFlow 497550.00
totalCashFromOperatingActivities -768910.00
otherCashflowsFromInvestingActivities -376363605.00
salePurchaseOfStock 346775000.00
otherCashflowsFromFinancingActivities 346487011.00
changeToNetincome -2684565.00
capitalExpenditures 0
changeInWorkingCapital -389560.00
otherNonCashItems -2460850.00
freeCashFlow -768910.00
Income_Statement
currency_symbol USD
quarterly
2021-03-31
date 2021-03-31
filing_date 2021-05-17
currency_symbol USD
incomeBeforeTax 38507524.00
netIncome 38507524.00
ebit 38507524.00
ebitda -1067923.00
nonOperatingIncomeNetOther 39575447.00
operatingIncome -1067923.00
interestIncome 8621.00
netInterestIncome 8621.00
totalRevenue 0.00
totalOperatingExpenses 1067923.00
totalOtherIncomeExpenseNet 39566826.00
netIncomeFromContinuingOps 38507524.00
netIncomeApplicableToCommonShares 38507524.00
2020-12-31
date 2020-12-31
currency_symbol USD
incomeBeforeTax -1071343.00
netIncome -1071343.00
sellingGeneralAdministrative 1080155.00
ebit -1080155.00
ebitda -1080155.00
operatingIncome -1080155.00
interestIncome 8812.00
netInterestIncome 8812.00
totalRevenue 0.00
totalOperatingExpenses 1080155.00
netIncomeFromContinuingOps -1071343.00
netIncomeApplicableToCommonShares -74865722.00
2020-09-30
date 2020-09-30
currency_symbol USD
incomeBeforeTax -140059.00
netIncome -140059.00
sellingGeneralAdministrative 148871.00
ebit -148871.00
ebitda -148871.00
operatingIncome -148871.00
interestIncome 8812.00
netInterestIncome 8812.00
totalRevenue 0.00
totalOperatingExpenses 148871.00
netIncomeFromContinuingOps -140059.00
netIncomeApplicableToCommonShares -140059.00
2020-06-30
date 2020-06-30
currency_symbol USD
incomeBeforeTax -66150.00
netIncome -66150.00
sellingGeneralAdministrative 153264.00
ebit -66150.00
ebitda -153264.00
operatingIncome -153264.00
otherOperatingExpenses 153264.00
interestIncome 87114.00
netInterestIncome 87114.00
totalRevenue 0.00
totalOperatingExpenses 153264.00
netIncomeFromContinuingOps -66150.00
netIncomeApplicableToCommonShares -66150.00
2020-03-31
date 2020-03-31
currency_symbol USD
incomeBeforeTax 1779001.00
netIncome 1779001.00
sellingGeneralAdministrative 238547.00
ebit 1779001.00
ebitda -238547.00
operatingIncome -238547.00
otherOperatingExpenses 238547.00
interestIncome 2017548.00
netInterestIncome 2017548.00
totalRevenue 0.00
totalOperatingExpenses 238547.00
netIncomeFromContinuingOps 1779001.00
netIncomeApplicableToCommonShares 1779001.00
2019-12-31
date 2019-12-31
currency_symbol USD
incomeBeforeTax 1392860.00
netIncome 1392860.00
ebit 1392860.00
ebitda -750875.00
operatingIncome -750880.00
otherOperatingExpenses 750880.00
interestExpense 2143735.00
totalOperatingExpenses 750880.00
totalOtherIncomeExpenseNet 1582086.00
netIncomeFromContinuingOps 1582086.00
netIncomeApplicableToCommonShares -149858.00
2019-09-30
date 2019-09-30
currency_symbol USD
incomeBeforeTax 719995.00
netIncome 719995.00
sellingGeneralAdministrative 147173.00
ebit 719995.00
ebitda -1014341.00
operatingIncome -147173.00
otherOperatingExpenses 147173.00
totalRevenue 0.00
totalOperatingExpenses 147173.00
totalOtherIncomeExpenseNet 867168.00
netIncomeFromContinuingOps 719995.00
netIncomeApplicableToCommonShares -107299.00
2019-06-30
date 2019-06-30
currency_symbol USD
researchDevelopment 0.00
effectOfAccountingCharges 0.00
incomeBeforeTax -26355.00
minorityInterest 0.00
netIncome -26355.00
sellingGeneralAdministrative 26355.00
grossProfit 0.00
ebit -26355.00
ebitda -26355.00
nonOperatingIncomeNetOther 0.00
operatingIncome -26355.00
otherOperatingExpenses 26355.00
interestExpense 0.00
interestIncome 0.00
netInterestIncome 0.00
extraordinaryItems 0.00
nonRecurring 0.00
otherItems 0.00
incomeTaxExpense 0.00
totalRevenue 0.00
totalOperatingExpenses 26355.00
costOfRevenue 0.00
totalOtherIncomeExpenseNet -26355.00
discontinuedOperations 0.00
netIncomeFromContinuingOps -26355.00
netIncomeApplicableToCommonShares -26355.00
preferredStockAndOtherAdjustments 0.00
2019-03-31
date 2019-03-31
currency_symbol USD
researchDevelopment 0.00
effectOfAccountingCharges 0.00
incomeBeforeTax -5000.00
minorityInterest 0.00
netIncome -5000.00
sellingGeneralAdministrative 0.00
grossProfit 0.00
ebit 0.00
nonOperatingIncomeNetOther 0.00
operatingIncome 0.00
otherOperatingExpenses 0.00
interestExpense 0.00
extraordinaryItems 0.00
nonRecurring 0.00
otherItems 0.00
incomeTaxExpense 0.00
totalRevenue 0.00
totalOperatingExpenses 0.00
costOfRevenue 0.00
totalOtherIncomeExpenseNet -5000.00
discontinuedOperations 0.00
netIncomeFromContinuingOps -5000.00
netIncomeApplicableToCommonShares -5000.00
preferredStockAndOtherAdjustments 0.00
yearly
2020-12-31
date 2020-12-31
filing_date 2021-05-04
currency_symbol USD
incomeBeforeTax -73292930.00
netIncome -73292930.00
sellingGeneralAdministrative 1620837.00
ebit -73292930.00
ebitda -1620837.00
nonOperatingIncomeNetOther -71672093.00
operatingIncome -1620837.00
interestExpense 0.00
interestIncome 2122286.00
netInterestIncome 2122286.00
totalRevenue 0.00
totalOperatingExpenses 1620837.00
netIncomeFromContinuingOps -73292930.00
netIncomeApplicableToCommonShares -73292930.00
2019-12-31
date 2019-12-31
currency_symbol USD
incomeBeforeTax 2081500.00
netIncome 2081500.00
ebit 2081500.00
ebitda -62235.00
operatingIncome -62240.00
otherOperatingExpenses 62240.00
interestExpense 0.00
totalOperatingExpenses 62240.00
totalOtherIncomeExpenseNet 2270726.00
netIncomeFromContinuingOps 2270726.00
netIncomeApplicableToCommonShares 2270726.00