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RENEW Financials

Balance sheets

30 Sept 202430 June 202431 Mar 202431 Dec 202330 Sept 202330 June 202331 Mar 202330 June 202231 Mar 202231 Dec 2021

Total Assets

$182.8 M(+1.6%)$179.9 M(+1.4%)$177.3 M(+1.6%)$174.6 M(-29.8%)$248.8 M(+1.2%)$245.9 M(+1.0%)$243.3 M(+2.1%)$238.2 M(+41871.7%)$567.6 K-

Current Assets

$251.3 K(+40.5%)$178.9 K(-50.0%)$357.5 K(+8.3%)$330.0 K(+309.6%)$80.6 K(-78.9%)$382.0 K(-44.4%)$687.0 K(-42.7%)$1.2 M--

Non Current Assets

$182.5 M(+1.6%)$179.7 M(+1.6%)$177.0 M(+1.6%)$174.3 M(-29.9%)$248.7 M(+1.3%)$245.5 M(+1.2%)$242.6 M(+2.4%)$237.0 M(+41660.4%)$567.6 K-

Total Liabilities

$19.5 M(-0.2%)$19.6 M(+2.5%)$19.1 M(+1.2%)$18.9 M(+6.3%)$17.7 M(+6.2%)$16.7 M(-6.7%)$17.9 M(-18.0%)$21.8 M(+3897.7%)$546.3 K-

Current Liabilities

$2.9 M(+20.0%)$2.5 M(+23.7%)$2.0 M(+29.4%)$1.5 M(+601.8%)$218.1 K(-27.6%)$301.3 K(+2.2%)$294.8 K(+28.8%)$229.0 K(-58.1%)$546.3 K-

Long Term Liabilities

$16.6 M(-3.1%)$17.1 M(+0.0%)$17.1 M(-1.3%)$17.3 M(-1.1%)$17.5 M(+6.8%)$16.4 M(-6.8%)$17.6 M(-18.5%)$21.6 M(+100.0%)$0.0-

Shareholders Equity

$163.3 M(+1.8%)$160.4 M(+1.3%)$158.2 M(+1.6%)$155.7 M(-32.6%)$231.0 M(+0.8%)$229.1 M(+1.6%)$225.4 M(+4.2%)$216.4 M(+1017123.1%)$21.3 K-

Book Value

$163.3 M(+1.8%)$160.4 M(+1.3%)$158.2 M(+1.6%)$155.7 M(-32.6%)$231.0 M(+0.8%)$229.1 M(+1.6%)$225.4 M(+4.2%)$216.4 M(+1017123.1%)$21.3 K-

Working Capital

-$2.7 M(-18.4%)-$2.3 M(-39.9%)-$1.6 M(-35.2%)-$1.2 M(-773.0%)-$137.6 K(-270.4%)$80.7 K(-79.4%)$392.2 K(-59.6%)$970.1 K--

Cash And Cash Equivalents

$199.8 K(+424.8%)$38.1 K(-68.5%)$120.7 K(+137.0%)$50.9 K(+88.8%)$27.0 K(-87.6%)$217.6 K(-48.4%)$421.8 K(-48.2%)$814.2 K--

Accounts Payable

----------

Accounts Receivable

----------

Short Term Debt

$1.6 M(+37.5%)$1.2 M(+60.0%)$750.0 K(+150.0%)$300.0 K----$201.4 K-

Long Term Debt

$4.1 M(+3.6%)$3.9 M(+1.1%)$3.9 M(+5.9%)$3.7 M(+9.5%)$3.4 M(+48.9%)$2.3 M(-32.8%)$3.4 M(-19.4%)$4.2 M--

Total Debt

$5.7 M(+11.6%)$5.1 M(+10.6%)$4.6 M(+16.8%)$4.0 M(+18.4%)$3.4 M(+48.9%)$2.3 M(-32.8%)$3.4 M(-19.4%)$4.2 M(+1968.3%)$201.4 K-

Debt To Equity

0.0(+33.3%)0.0(0%)0.0(0%)0.0(+200.0%)0.0(0%)0.0(0%)0.0(-50.0%)0.0(-99.8%)9.5-

Current Ratio

0.1(+28.6%)0.1(-61.1%)0.2(-18.2%)0.2(-40.5%)0.4(-70.9%)1.3(-45.5%)2.3(-55.5%)5.2--

Quick Ratio

----------

Inventory

----------

Retained Earnings

-$19.3 M(+0.6%)-$19.4 M(-3.5%)-$18.7 M(-1.0%)-$18.5 M(-4.9%)-$17.7 M(-8.2%)-$16.3 M(+5.2%)-$17.2 M(+16.0%)-$20.5 M(-550504.5%)-$3727.0-

PB Ratio

----------

Income statements

30 Sept 202430 June 202431 Mar 202431 Dec 202330 Sept 202330 June 202331 Mar 202330 June 202231 Mar 202231 Dec 2021

EPS

---------$0.0

TTM EPS

---------$0.0

Revenue

$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

TTM Revenue

$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

Total Expenses

$217.0 K(+9.4%)$198.3 K(-11.2%)$223.2 K(-82.3%)$1.3 M(+478.8%)$218.3 K(-29.9%)$311.5 K(+30.1%)$239.3 K(+6.2%)$225.4 K(+100.0%)$0.0(-100.0%)$3727.0

Operating Expenses

$217.0 K(+9.4%)$198.3 K(-11.2%)$223.2 K(-82.3%)$1.3 M(+478.8%)$218.3 K(-29.9%)$311.5 K(+30.1%)$239.3 K(+6.2%)$225.4 K(+100.0%)$0.0(-100.0%)$3727.0

Cost Of Goods Sold

---------$0.0

TTM Cost Of Goods Sold

---------$0.0

Gross Profit

---------$0.0

TTM Gross Profit

---------$0.0

Gross Margin

---------0.0%

Operating Profit

-$217.0 K(-9.4%)-$198.3 K(+11.2%)-$223.2 K(+82.3%)-$1.3 M(-478.8%)-$218.3 K(+29.9%)-$311.5 K(-30.1%)-$239.3 K(-6.2%)-$225.4 K(-100.0%)$0.0(+100.0%)-$3727.0

TTM Operating Profit

-$1.9 M(+0.1%)-$1.9 M(+5.6%)-$2.0 M(+0.8%)-$2.0 M(-164.3%)-$769.1 K(-39.6%)-$550.8 K(-18.5%)-$464.7 K(-102.8%)-$229.1 K(-6047.5%)-$3727.0(0%)-$3727.0

Operating Margin

---------0.0%

Net Income

$2.9 M(+38.1%)$2.1 M(-16.9%)$2.5 M(+18.2%)$2.1 M(+14.9%)$1.9 M(-49.8%)$3.7 M(+0.2%)$3.7 M(+1062.8%)-$385.4 K(-100.0%)$0.0(+100.0%)-$3727.0

TTM Net Income

$9.7 M(+12.1%)$8.7 M(-15.7%)$10.3 M(-10.3%)$11.4 M(+23.1%)$9.3 M(+25.1%)$7.4 M(+123.4%)$3.3 M(+954.6%)-$389.1 K(-10340.5%)-$3727.0(0%)-$3727.0

Net Margin

---------0.0%

EBIT

-$217.0 K(-9.4%)-$198.3 K(+11.2%)-$223.2 K(+82.3%)-$1.3 M(-478.8%)-$218.3 K(+29.9%)-$311.5 K(-30.1%)-$239.3 K(-6.2%)-$225.4 K(-100.0%)$0.0(+100.0%)-$3727.0

TTM EBIT

-$1.9 M(+0.1%)-$1.9 M(+5.6%)-$2.0 M(+0.8%)-$2.0 M(-164.3%)-$769.1 K(-39.6%)-$550.8 K(-18.5%)-$464.7 K(-102.8%)-$229.1 K(-6047.5%)-$3727.0(0%)-$3727.0

EBITDA

-$896.3 K(-276.5%)-$238.1 K(+64.6%)-$672.5 K(+62.0%)-$1.8 M(-752.1%)-$208.0 K(+49.7%)-$413.6 K(+68.3%)-$1.3 M(-427.5%)-$247.1 K(-100.0%)$0.0(+100.0%)-$3727.0

TTM EBITDA

-$3.6 M(-23.8%)-$2.9 M(+5.7%)-$3.1 M(+17.1%)-$3.7 M(-92.1%)-$1.9 M(-12.1%)-$1.7 M(-10.7%)-$1.6 M(-518.2%)-$250.8 K(-6628.7%)-$3727.0(0%)-$3727.0

Selling, General & Administrative Expenses

-------$225.4 K(+100.0%)$0.0(-100.0%)$3727.0

TTM SG&A

-------$229.1 K(+6047.5%)$3727.0(0%)$3727.0

Depreciation And Amortization

---------$0.0

TTM D&A

---------$0.0

Interest Expense

---------$0.0

TTM Interest Expense

---------$0.0

Income Tax

---------$0.0

TTM Income Tax

---------$0.0

PE Ratio

----------

PS Ratio

----------

Cashflow statements

30 Sept 202430 June 202431 Mar 202431 Dec 202330 Sept 202330 June 202331 Mar 202330 June 202231 Mar 202231 Dec 2021

Cash From Operations

-$88.3 K(-6.8%)-$82.7 K(+54.1%)-$180.2 K(+62.1%)-$476.0 K(-149.7%)-$190.7 K(-42.1%)-$134.1 K(-10.1%)-$121.9 K(+78.9%)-$577.7 K(-100.0%)$0.0(0%)$0.0

TTM CFO

-$827.2 K(+11.0%)-$929.6 K(+5.3%)-$981.1 K(-6.3%)-$922.7 K(-106.6%)-$446.7 K(-74.5%)-$256.0 K(+63.4%)-$699.6 K(-21.1%)-$577.7 K(-100.0%)$0.0(0%)$0.0

Cash From Investing

-$450.0 K(0%)-$450.0 K(0%)-$450.0 K(-100.6%)$77.1 M(+100.0%)$0.0(0%)$0.0(0%)$0.0--$0.0

TTM CFI

$75.8 M(-0.6%)$76.2 M(-0.6%)$76.7 M(-0.6%)$77.1 M(+100.0%)$0.0(0%)$0.0(0%)$0.0--$0.0

Cash From Financing

$700.0 K(+55.6%)$450.0 K(-35.7%)$700.0 K(+100.9%)-$76.6 M(-100.0%)$0.0(+100.0%)-$70.0 K(-100.0%)$0.0(-100.0%)$238.3 M(+100.0%)$0.0(0%)$0.0

TTM CFF

-$74.8 M(+0.9%)-$75.5 M(+0.7%)-$76.0 M(+0.9%)-$76.7 M(-109480.8%)-$70.0 K(0%)-$70.0 K(-100.0%)$238.3 M(0%)$238.3 M(+100.0%)$0.0(0%)$0.0

Free Cash Flow

-$88.3 K(-6.8%)-$82.7 K(+54.1%)-$180.2 K(+62.1%)-$476.0 K(-149.7%)-$190.7 K(-42.1%)-$134.1 K(-10.1%)-$121.9 K(+78.9%)-$577.7 K(-100.0%)$0.0(0%)$0.0

TTM FCF

-$827.2 K(+11.0%)-$929.6 K(+5.3%)-$981.1 K(-6.3%)-$922.7 K(-106.6%)-$446.7 K(-74.5%)-$256.0 K(+63.4%)-$699.6 K(-21.1%)-$577.7 K(-100.0%)$0.0(0%)$0.0

CAPEX

---------$0.0

TTM CAPEX

---------$0.0

Dividends Paid

---------$0.0

TTM Dividends Paid

---------$0.0

TTM Dividend Per Share

----------

TTM Dividend Yield

----------

Payout Ratio

---------0.0%