Balance sheets
Sep 30, 2024 | Jun 30, 2024 | Mar 31, 2024 | Dec 31, 2023 | Sep 30, 2023 | Jun 30, 2023 | Mar 31, 2023 | Dec 31, 2022 | Sep 30, 2022 | Jun 1, 2022 | Mar 1, 2022 | Dec 1, 2021 | Sep 1, 2021 | Jun 1, 2021 | Dec 1, 2020 | ||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Total Assets | $179.6 M(+3.3%) | $173.8 M(+0.0%) | $173.8 M(+2.0%) | $170.4 M(-21.8%) | $217.9 M(+1.7%) | $214.2 M(+0.1%) | $214.0 M(+1.8%) | $210.3 M(+117.7%) | $96.6 M(+2.9%) | $93.8 M | - | $88.9 M | - | $87.7 M(+1.7%) | $86.2 M | |
Current Assets | $176.6 M(+3.1%) | $171.3 M(-0.3%) | $171.8 M(+1.9%) | $168.7 M(-22.1%) | $216.4 M(+1.8%) | $212.5 M(-0.1%) | $212.7 M(+1.7%) | $209.2 M(+119.0%) | $95.5 M(+3.1%) | $92.6 M | - | $87.5 M | - | $86.2 M(+1.4%) | $84.9 M | |
Non Current Assets | $3.0 M(+17.7%) | $2.5 M(+24.9%) | $2.0 M(+19.9%) | $1.7 M(+13.3%) | $1.5 M(-9.3%) | $1.7 M(+24.5%) | $1.3 M(+20.9%) | $1.1 M(+0.6%) | $1.1 M(-8.7%) | $1.2 M | - | $1.4 M | - | $1.5 M(+18.8%) | $1.3 M | |
Total Liabilities | $34.1 M(+7.1%) | $31.8 M(-3.9%) | $33.1 M(+7.0%) | $31.0 M(+2.0%) | $30.3 M(-1.8%) | $30.9 M(+0.7%) | $30.7 M(+8.4%) | $28.3 M(-88.8%) | $253.3 M(+0.6%) | $251.7 M | - | $279.3 M | - | $126.4 M(+3.6%) | $122.0 M | |
Current Liabilities | $32.4 M(+7.8%) | $30.0 M(-3.4%) | $31.1 M(+7.6%) | $28.9 M(+1.3%) | $28.5 M(+6.1%) | $26.9 M(-1.2%) | $27.2 M(+9.2%) | $24.9 M(+12.3%) | $22.2 M(+7.4%) | $20.7 M | - | $19.8 M | - | $16.5 M(+23.5%) | $13.3 M | |
Long Term Liabilities | $1.7 M(-4.3%) | $1.8 M(-11.2%) | $2.0 M(-0.8%) | $2.1 M(+13.3%) | $1.8 M(-54.7%) | $4.0 M(+15.5%) | $3.5 M(+2.3%) | $3.4 M(-98.5%) | $231.1 M(+0.0%) | $231.1 M | - | $259.6 M | - | $109.9 M(+1.2%) | $108.6 M | |
Shareholders Equity | $145.5 M(+2.5%) | $142.0 M(+0.9%) | $140.7 M(+0.9%) | $139.4 M(-25.7%) | $187.6 M(+2.3%) | $183.3 M(-0.0%) | $183.3 M(+0.7%) | $182.0 M(+216.1%) | -$156.7 M(+0.8%) | -$157.9 M | - | -$190.4 M | - | -$38.7 M(-8.3%) | -$35.7 M | |
Book Value | $145.5 M(+2.5%) | $142.0 M(+0.9%) | $140.7 M(+0.9%) | $139.4 M(-25.7%) | $187.6 M(+2.3%) | $183.3 M(-0.0%) | $183.3 M(+0.7%) | $182.0 M(+216.1%) | -$156.7 M(+0.8%) | -$157.9 M | - | -$190.4 M | - | -$38.7 M(-8.3%) | -$35.7 M | |
Working Capital | $144.3 M(+2.1%) | $141.3 M(+0.4%) | $140.7 M(+0.7%) | $139.8 M(-25.6%) | $187.9 M(+1.2%) | $185.6 M(+0.1%) | $185.4 M(+0.7%) | $184.3 M(+151.4%) | $73.3 M(+1.9%) | $72.0 M | - | $67.7 M | - | $69.7 M(-2.6%) | $71.6 M | |
Cash And Cash Equivalents | $127.2 M(+5.3%) | $120.8 M(-0.9%) | $122.0 M(-1.5%) | $123.9 M(+7.7%) | $115.0 M(+209.3%) | $37.2 M(-60.9%) | $95.1 M(-41.5%) | $162.6 M(+93.6%) | $84.0 M(+1.5%) | $82.8 M | - | $80.5 M | - | $81.7 M(+3.4%) | $79.0 M | |
Accounts Payable | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
Accounts Receivable | $8.0 M(+13.2%) | $7.1 M(-7.8%) | $7.7 M(+10.1%) | $7.0 M(+5.3%) | $6.6 M(-13.1%) | $7.6 M(-18.6%) | $9.4 M(+21.0%) | $7.8 M(+4.4%) | $7.4 M(-2.3%) | $7.6 M | - | $6.6 M | - | $4.0 M(-27.5%) | $5.5 M | |
Short Term Debt | $484.0 K(-7.6%) | $524.0 K(+7.8%) | $486.0 K(+1.0%) | $481.0 K(+18.5%) | $406.0 K(-2.6%) | $417.0 K(+65.5%) | $252.0 K(+0.4%) | $251.0 K(-14.9%) | $295.0 K(-15.2%) | $348.0 K | - | $449.0 K | - | $387.0 K(+72.0%) | $225.0 K | |
Long Term Debt | $171.0 K(-8.6%) | $187.0 K(-29.7%) | $266.0 K(-31.3%) | $387.0 K(+7.2%) | $361.0 K(-21.0%) | $457.0 K(+112.6%) | $215.0 K(+147.1%) | $87.0 K(-33.6%) | $131.0 K(+70.1%) | $77.0 K | - | $189.0 K | - | $276.0 K(+140.0%) | $115.0 K | |
Total Debt | $655.0 K(-7.9%) | $711.0 K(-5.5%) | $752.0 K(-13.4%) | $868.0 K(+13.2%) | $767.0 K(-12.2%) | $874.0 K(+87.2%) | $467.0 K(+38.2%) | $338.0 K(-20.7%) | $426.0 K(+0.2%) | $425.0 K(+100.0%) | $0.0(-100.0%) | $638.0 K(+100.0%) | $0.0(-100.0%) | $663.0 K(+95.0%) | $340.0 K | |
Debt To Equity | 0.0(0%) | 0.0(0%) | 0.0(0%) | 0.0(0%) | 0.0(0%) | 0.0(0%) | 0.0(0%) | 0.0(0%) | 0.0(0%) | 0.0 | - | 0.0 | - | -0.0(-100.0%) | -0.0 | |
Current Ratio | 5.5(-4.2%) | 5.7(+3.3%) | 5.5(-5.5%) | 5.8(-23.1%) | 7.6(-4.0%) | 7.9(+1.1%) | 7.8(-6.8%) | 8.4(+95.1%) | 4.3(-4.0%) | 4.5 | - | 4.4 | - | 5.2(-17.9%) | 6.4 | |
Quick Ratio | 5.5(-4.4%) | 5.7(+3.3%) | 5.5(-5.3%) | 5.8(-23.2%) | 7.6(-4.0%) | 7.9(+1.3%) | 7.8(-6.9%) | 8.4(+95.1%) | 4.3(-4.0%) | 4.5 | - | 4.4 | - | 5.2(-17.8%) | 6.4 | |
Inventory | $21.0 K(0%) | $21.0 K(-25.0%) | $28.0 K(-15.2%) | $33.0 K(0%) | $33.0 K(-2.9%) | $34.0 K(-10.5%) | $38.0 K(-15.6%) | $45.0 K(-10.0%) | $50.0 K(-3.9%) | $52.0 K | - | $88.0 K | - | $88.0 K(0%) | $88.0 K | |
Retained Earnings | -$376.5 M(+0.7%) | -$379.1 M(+0.2%) | -$379.8 M(+0.2%) | -$380.5 M(+0.4%) | -$381.9 M(+0.9%) | -$385.4 M(-0.1%) | -$385.2 M(+0.2%) | -$385.9 M(-97.3%) | -$195.6 M(+0.8%) | -$197.1 M | - | -$224.1 M | - | -$70.4 M(-4.7%) | -$67.2 M | |
PB Ratio | 1.4(-6.9%) | 1.4(-19.4%) | 1.8(-20.4%) | 2.3(+3.7%) | 2.2(-30.1%) | 3.1(-19.2%) | 3.9(-16.8%) | 4.6 | - | - | - | - | - | - | - |
Income statements
Sep 30, 2024 | Jun 30, 2024 | Mar 31, 2024 | Dec 31, 2023 | Sep 30, 2023 | Jun 30, 2023 | Mar 31, 2023 | Dec 31, 2022 | Sep 30, 2022 | Jun 1, 2022 | Mar 1, 2022 | Dec 1, 2021 | Sep 1, 2021 | Jun 1, 2021 | Dec 1, 2020 | ||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
EPS | $0.0(+212.5%) | $0.0(+33.3%) | $0.0(-70.0%) | $0.0(-33.3%) | $0.0(+1600.0%) | -$0.0(-133.3%) | $0.0(+100.4%) | -$1.6(-12287.1%) | $0.0(-94.3%) | $0.2(+6043.6%) | -$0.0(+99.7%) | -$1.3(-216816.7%) | $0.0 | - | - | |
TTM EPS | $0.1(-7.8%) | $0.1(+18.5%) | $0.1(0%) | $0.1(+103.4%) | -$1.6(+1.1%) | -$1.6(-17.2%) | -$1.4(+0.7%) | -$1.4(-29.1%) | -$1.1(+1.2%) | -$1.1(+17.8%) | -$1.3(-0.3%) | -$1.3(-216716.7%) | $0.0 | - | - | |
Revenue | $16.1 M(+16.0%) | $13.9 M(-2.7%) | $14.3 M(+1.2%) | $14.1 M(-2.9%) | $14.5 M(+14.7%) | $12.7 M(+4.5%) | $12.1 M(+9.7%) | $11.1 M(-13.8%) | $12.8 M(+13.3%) | $11.3 M(-5.8%) | $12.0 M(+8.7%) | $11.1 M(-10.6%) | $12.4 M | - | - | |
TTM Revenue | $58.4 M(+2.8%) | $56.9 M(+2.2%) | $55.6 M(+4.0%) | $53.5 M(+6.0%) | $50.5 M(+3.5%) | $48.8 M(+2.8%) | $47.4 M(+0.2%) | $47.3 M(-0.0%) | $47.3 M(+1.0%) | $46.9 M(+31.9%) | $35.5 M(+51.3%) | $23.5 M(+89.4%) | $12.4 M | - | - | |
Total Expenses | $16.2 M(+5.9%) | $15.3 M(-1.2%) | $15.5 M(+0.9%) | $15.3 M(-0.2%) | $15.4 M(+3.9%) | $14.8 M(+8.5%) | $13.6 M(-82.9%) | $79.8 M(+511.5%) | $13.1 M(+3.7%) | $12.6 M(-2.0%) | $12.8 M(-13.4%) | $14.8 M(+21.7%) | $12.2 M | - | - | |
Operating Expenses | $13.0 M(+4.9%) | $12.4 M(+0.3%) | $12.4 M(-2.5%) | $12.7 M(+0.4%) | $12.6 M(+2.5%) | $12.3 M(+11.4%) | $11.1 M(-85.8%) | $77.9 M(+597.2%) | $11.2 M(+1.8%) | $11.0 M(-1.8%) | $11.2 M(-15.0%) | $13.1 M(+22.6%) | $10.7 M | - | - | |
Cost Of Goods Sold | $3.2 M(+10.3%) | $2.9 M(-7.1%) | $3.1 M(+16.9%) | $2.6 M(-3.0%) | $2.7 M(+11.2%) | $2.5 M(-4.4%) | $2.6 M(+30.9%) | $2.0 M(+4.0%) | $1.9 M(+16.9%) | $1.6 M(-3.2%) | $1.7 M(-0.8%) | $1.7 M(+15.2%) | $1.5 M | - | - | |
TTM Cost Of Goods Sold | $11.8 M(+3.9%) | $11.3 M(+3.9%) | $10.9 M(+5.1%) | $10.4 M(+7.0%) | $9.7 M(+9.5%) | $8.9 M(+10.5%) | $8.0 M(+12.6%) | $7.1 M(+4.1%) | $6.8 M(+6.6%) | $6.4 M(+33.6%) | $4.8 M(+53.1%) | $3.1 M(+115.2%) | $1.5 M | - | - | |
Gross Profit | $13.0 M(+17.5%) | $11.0 M(-1.5%) | $11.2 M(-2.5%) | $11.5 M(-2.9%) | $11.8 M(+15.5%) | $10.2 M(+6.8%) | $9.6 M(+5.1%) | $9.1 M(-16.9%) | $11.0 M(+12.7%) | $9.7 M(-6.2%) | $10.4 M(+10.4%) | $9.4 M(-14.1%) | $10.9 M | - | - | |
TTM Gross Profit | $46.7 M(+2.5%) | $45.5 M(+1.8%) | $44.7 M(+3.8%) | $43.1 M(+5.8%) | $40.7 M(+2.1%) | $39.9 M(+1.3%) | $39.4 M(-2.0%) | $40.2 M(-0.7%) | $40.5 M(+0.1%) | $40.4 M(+31.7%) | $30.7 M(+51.0%) | $20.3 M(+86.0%) | $10.9 M | - | - | |
Gross Margin | 80.3%(+1.3%) | 79.3%(+1.3%) | 78.3%(-3.6%) | 81.3%(+0.0%) | 81.2%(+0.7%) | 80.7%(+2.3%) | 78.8%(-4.2%) | 82.3%(-3.6%) | 85.3%(-0.5%) | 85.8%(-0.4%) | 86.2%(+1.6%) | 84.8%(-3.9%) | 88.2% | - | - | |
Operating Profit | -$72.0 K(+94.8%) | -$1.4 M(-17.1%) | -$1.2 M(+2.5%) | -$1.2 M(-48.0%) | -$820.0 K(+61.0%) | -$2.1 M(-41.0%) | -$1.5 M(+97.8%) | -$68.8 M(-33440.0%) | -$205.0 K(+83.5%) | -$1.2 M(-55.4%) | -$802.0 K(+78.6%) | -$3.7 M(-1875.4%) | $211.0 K | - | - | |
TTM Operating Profit | -$3.9 M(+16.2%) | -$4.6 M(+13.4%) | -$5.3 M(+5.5%) | -$5.6 M(+92.3%) | -$73.2 M(-0.8%) | -$72.6 M(-1.2%) | -$71.7 M(-1.0%) | -$71.0 M(-1083.7%) | -$6.0 M(-7.5%) | -$5.6 M(-28.7%) | -$4.3 M(-22.7%) | -$3.5 M(-1775.4%) | $211.0 K | - | - | |
Operating Margin | -0.5%(+95.5%) | -10.0%(-20.3%) | -8.3%(+3.6%) | -8.6%(-52.5%) | -5.6%(+66.0%) | -16.6%(-34.9%) | -12.3%(+98.0%) | -621.1%(-38716.3%) | -1.6%(+85.4%) | -11.0%(-65.0%) | -6.7%(+80.3%) | -33.8%(-2088.8%) | 1.7% | - | - | |
Net Income | $2.5 M(+231.4%) | $764.0 K(+21.3%) | $630.0 K(-55.0%) | $1.4 M(-60.3%) | $3.5 M(+1812.1%) | -$206.0 K(-129.6%) | $695.0 K(+100.4%) | -$190.3 M(-12327.0%) | $1.6 M(-94.3%) | $27.4 M(+6046.4%) | -$461.0 K(+99.7%) | -$153.8 M(-229613.4%) | $67.0 K | - | - | |
TTM Net Income | $5.3 M(-15.7%) | $6.3 M(+18.1%) | $5.4 M(-1.2%) | $5.4 M(+102.9%) | -$186.2 M(+1.1%) | -$188.2 M(-17.2%) | -$160.6 M(+0.7%) | -$161.7 M(-29.1%) | -$125.3 M(+1.2%) | -$126.8 M(+17.8%) | -$154.2 M(-0.3%) | -$153.7 M(-229513.4%) | $67.0 K | - | - | |
Net Margin | 15.7%(+186.0%) | 5.5%(+24.5%) | 4.4%(-55.5%) | 9.9%(-59.1%) | 24.2%(+1596.3%) | -1.6%(-128.3%) | 5.7%(+100.3%) | -1718.5%(-14290.5%) | 12.1% | - | -3.8%(+99.7%) | -1388.0%(-257133.3%) | 0.5% | - | - | |
EBIT | $2.3 M(+266.0%) | $621.0 K(+32.4%) | $469.0 K(-67.4%) | $1.4 M(-59.4%) | $3.5 M(+2250.9%) | -$165.0 K(-122.8%) | $722.0 K(+100.4%) | -$190.2 M(-12007.3%) | $1.6 M(-94.2%) | $27.4 M(+8467.7%) | -$328.0 K(+99.8%) | -$153.6 M(-103862.8%) | $148.0 K | - | - | |
TTM EBIT | $4.8 M(-21.0%) | $6.1 M(+14.8%) | $5.3 M(-4.6%) | $5.5 M(+103.0%) | -$186.1 M(+1.0%) | -$188.0 M(-17.2%) | -$160.4 M(+0.7%) | -$161.4 M(-29.3%) | -$124.9 M(+1.1%) | -$126.3 M(+17.9%) | -$153.7 M(-0.2%) | -$153.4 M(-103762.8%) | $148.0 K | - | - | |
EBITDA | $2.5 M(+205.8%) | $812.0 K(+73.1%) | $469.0 K(-71.0%) | $1.6 M(-56.6%) | $3.7 M(+33754.6%) | $11.0 K(-98.5%) | $722.0 K(+100.4%) | -$190.2 M(-12007.3%) | $1.6 M(-94.2%) | $27.4 M(+8467.7%) | -$328.0 K(+99.8%) | -$153.6 M(-103862.8%) | $148.0 K | - | - | |
TTM EBITDA | $5.4 M(-18.8%) | $6.6 M(+13.8%) | $5.8 M(-4.2%) | $6.1 M(+103.3%) | -$185.7 M(+1.1%) | -$187.8 M(-17.1%) | -$160.4 M(+0.7%) | -$161.4 M(-29.3%) | -$124.9 M(+1.1%) | -$126.3 M(+17.9%) | -$153.7 M(-0.2%) | -$153.4 M(-103762.8%) | $148.0 K | - | - | |
Selling, General & Administrative Expenses | $9.2 M(-2.5%) | $9.5 M(+1.2%) | $9.3 M(-3.5%) | $9.7 M(+0.7%) | $9.6 M(+0.5%) | $9.6 M(+13.4%) | $8.4 M(-88.8%) | $75.4 M(+774.4%) | $8.6 M(+3.5%) | $8.3 M(-1.6%) | $8.5 M(-13.3%) | $9.8 M(+14.1%) | $8.6 M | - | - | |
TTM SGA | $37.7 M(-1.0%) | $38.1 M(-0.3%) | $38.2 M(+2.4%) | $37.3 M(-63.8%) | $103.0 M(+1.0%) | $102.0 M(+1.2%) | $100.7 M(-0.0%) | $100.8 M(+186.5%) | $35.2 M(+0.2%) | $35.1 M(+31.1%) | $26.8 M(+46.2%) | $18.3 M(+114.0%) | $8.6 M | - | - | |
Depreciation And Amortization | $580.0 K(+56.8%) | $370.0 K | - | - | $538.0 K(+48.2%) | $363.0 K | - | - | - | $388.0 K | - | - | - | - | - | |
TTM D&A | $950.0 K(+4.6%) | $908.0 K | - | - | $901.0 K(+148.2%) | $363.0 K | - | - | - | $388.0 K | - | - | - | - | - | |
Interest Expense | $4000.0(-20.0%) | $5000.0(0%) | $5000.0(0%) | $5000.0(0%) | $5000.0(+66.7%) | $3000.0(+50.0%) | $2000.0(0%) | $2000.0(+100.0%) | $1000.0(-50.0%) | $2000.0(-33.3%) | $3000.0(0%) | $3000.0(0%) | $3000.0 | - | - | |
TTM Interest Expense | $19.0 K(-5.0%) | $20.0 K(+11.1%) | $18.0 K(+20.0%) | $15.0 K(+25.0%) | $12.0 K(+50.0%) | $8000.0(+14.3%) | $7000.0(-12.5%) | $8000.0(-11.1%) | $9000.0(-18.2%) | $11.0 K(+22.2%) | $9000.0(+50.0%) | $6000.0(+100.0%) | $3000.0 | - | - | |
Income Tax | -$263.0 K(-77.7%) | -$148.0 K(+10.8%) | -$166.0 K(-574.3%) | $35.0 K(+105.9%) | $17.0 K(-55.3%) | $38.0 K(+52.0%) | $25.0 K(-72.5%) | $91.0 K(+127.5%) | $40.0 K(+29.0%) | $31.0 K(-76.2%) | $130.0 K(-35.6%) | $202.0 K(+159.0%) | $78.0 K | - | - | |
TTM Income Tax | -$542.0 K(-106.9%) | -$262.0 K(-244.7%) | -$76.0 K(-166.1%) | $115.0 K(-32.8%) | $171.0 K(-11.9%) | $194.0 K(+3.7%) | $187.0 K(-36.0%) | $292.0 K(-27.5%) | $403.0 K(-8.6%) | $441.0 K(+7.6%) | $410.0 K(+46.4%) | $280.0 K(+259.0%) | $78.0 K | - | - | |
PE Ratio | 32.7(+3.6%) | 31.6(-31.3%) | 45.9(-20.0%) | 57.4 | - | - | - | - | - | - | - | - | - | - | - | |
PS Ratio | 3.4(-7.2%) | 3.6(-20.3%) | 4.5(-23.1%) | 5.9(-27.3%) | 8.1(-30.7%) | 11.7(-21.4%) | 14.9(-16.4%) | 17.9 | - | - | - | - | - | - | - |
Cashflow statements
Sep 30, 2024 | Jun 30, 2024 | Mar 31, 2024 | Dec 31, 2023 | Sep 30, 2023 | Jun 30, 2023 | Mar 31, 2023 | Dec 31, 2022 | Sep 30, 2022 | Jun 1, 2022 | Mar 1, 2022 | Dec 1, 2021 | Sep 1, 2021 | Jun 1, 2021 | Dec 1, 2020 | ||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Cash From Operations | $9.8 M(+76.7%) | $5.5 M | - | - | $10.4 M(+61.8%) | $6.4 M | - | - | - | -$1.0 M | - | - | - | - | - | |
TTM CFO | $15.3 M(-4.3%) | $15.9 M | - | - | $16.9 M(+161.8%) | $6.4 M | - | - | - | -$1.0 M | - | - | - | - | - | |
Cash From Investing | -$6.1 M(+23.2%) | -$7.9 M | - | - | -$56.5 M(+56.9%) | -$131.0 M | - | - | - | -$183.0 K | - | - | - | - | - | |
TTM CFI | -$14.0 M(+78.2%) | -$64.5 M | - | - | -$187.5 M(-43.1%) | -$131.0 M | - | - | - | -$183.0 K | - | - | - | - | - | |
Cash From Financing | -$381.0 K(-59.4%) | -$239.0 K | - | - | -$1.2 M(-87.5%) | -$632.0 K | - | - | - | $5.3 M | - | - | - | - | - | |
TTM CFF | -$620.0 K(+56.5%) | -$1.4 M | - | - | -$1.8 M(-187.5%) | -$632.0 K | - | - | - | $5.3 M | - | - | - | - | - | |
Free Cash Flow | $9.4 M(+78.1%) | $5.3 M | - | - | $10.2 M(+63.6%) | $6.2 M | - | - | - | -$1.2 M | - | - | - | - | - | |
TTM FCF | $14.6 M(-5.6%) | $15.5 M | - | - | $16.5 M(+163.6%) | $6.2 M | - | - | - | -$1.2 M | - | - | - | - | - | |
CAPEX | $395.0 K(+49.1%) | $265.0 K | - | - | $216.0 K(+6.4%) | $203.0 K | - | - | - | $183.0 K | - | - | - | - | - | |
TTM CAPEX | $660.0 K(+37.2%) | $481.0 K | - | - | $419.0 K(+106.4%) | $203.0 K | - | - | - | $183.0 K | - | - | - | - | - | |
Dividends Paid | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
TTM Dividends Paid | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
TTM Dividend Per Share | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
TTM Dividend Yield | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | |
Payout Ratio | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |