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Spectaire Holdings (SPEC) Financials

Balance sheets

Jun 1, 2024Mar 1, 2024Dec 1, 2023Sep 1, 2023Jun 1, 2023Mar 1, 2023Dec 1, 2022Sep 1, 2022

Total Assets

$808.6 K(-12.4%)$922.6 K(-36.1%)$1.4 M(-93.8%)$23.2 M--$55.2 K-

Current Assets

$574.5 K(-14.2%)$669.3 K(-42.5%)$1.2 M(+2475.4%)$45.2 K--$24.8 K-

Non Current Assets

$234.1 K(-7.6%)$253.4 K(-9.1%)$278.9 K(-98.8%)$23.1 M--$30.4 K-

Total Liabilities

$22.7 M(-22.5%)$29.3 M(+2.2%)$28.6 M(+33.0%)$21.5 M--$849.1 K-

Current Liabilities

$22.3 M(-22.0%)$28.5 M(+7.5%)$26.5 M(+66.9%)$15.9 M--$849.1 K-

Long Term Liabilities

$425.5 K(-41.5%)$727.3 K(-65.4%)$2.1 M(-62.7%)$5.6 M--$0.0-

Shareholders Equity

-$21.9 M(+22.8%)-$28.3 M(-4.2%)-$27.2 M(-1763.6%)$1.6 M---$793.9 K-

Book Value

-$21.9 M(+22.8%)-$28.3 M(-4.2%)-$27.2 M(-1763.6%)$1.6 M---$793.9 K-

Working Capital

-$21.7 M(+22.2%)-$27.9 M(-9.8%)-$25.4 M(-60.0%)-$15.9 M---$824.3 K-

Cash And Cash Equivalents

$94.1 K(+199.7%)$31.4 K(-90.8%)$343.0 K(+100.0%)$0.0--$18.9 K-

Accounts Payable

$1.1 M(+3.6%)$1.1 M(-43.6%)$1.9 M(-65.5%)$5.5 M--$201.0 K-

Accounts Receivable

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Short Term Debt

$9.1 M(+6.2%)$8.6 M(+20.9%)$7.1 M(+246.4%)$2.1 M--$437.5 K-

Long Term Debt

$95.5 K(-17.9%)$116.3 K(-15.1%)$136.9 K---$0.0-

Total Debt

$9.2 M(+5.9%)$8.7 M(+20.2%)$7.3 M(+253.1%)$2.1 M(+100.0%)$0.0(0%)$0.0(-100.0%)$437.5 K(+100.0%)$0.0

Debt To Equity

-0.4(-35.5%)-0.3(-14.8%)-0.3(-121.4%)1.3---0.6-

Current Ratio

0.0(+50.0%)0.0(-50.0%)0.0(+100.0%)0.0--0.0-

Quick Ratio

0.0(0%)0.0(-33.3%)0.0---0.0-

Inventory

$163.8 K(0%)$163.8 K(-32.7%)$243.4 K---$0.0-

Retained Earnings

-$25.2 M(+15.2%)-$29.7 M(-9.2%)-$27.2 M(-27.1%)-$21.4 M---$1.1 M-

PB Ratio

-0.3(+55.7%)-0.7(+29.3%)-1.0-----

Income statements

Jun 1, 2024Mar 1, 2024Dec 1, 2023Sep 1, 2023Jun 1, 2023Mar 1, 2023Dec 1, 2022Sep 1, 2022

EPS

$0.2(+225.0%)-$0.2(-115.2%)$1.1(+523.9%)-$0.2(+68.7%)-$0.8(-180.2%)-$0.3(-3648.8%)$0.0(+8100.0%)-$0.0

TTM EPS

$0.8(+666.4%)-$0.1(+45.3%)-$0.3(+79.3%)-$1.3(-23.2%)-$1.1(-288.3%)-$0.3(-3593.7%)$0.0(+8000.0%)-$0.0

Revenue

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TTM Revenue

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Total Expenses

$2.1 M(+4.8%)$2.0 M(-83.1%)$11.9 M(+779.8%)$1.3 M(-54.2%)$2.9 M(-31.8%)$4.3 M(+1232.4%)-$381.4 K(-162.0%)$615.4 K

Operating Expenses

$2.1 M(+4.8%)$2.0 M(-83.1%)$11.9 M(+779.8%)$1.3 M(-54.2%)$2.9 M(-31.8%)$4.3 M(+1232.4%)-$381.4 K(-162.0%)$615.4 K

Cost Of Goods Sold

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TTM Cost Of Goods Sold

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Gross Profit

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TTM Gross Profit

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Gross Margin

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Operating Profit

-$2.1 M(-4.8%)-$2.0 M(+83.1%)-$11.9 M(-779.8%)-$1.3 M(+54.2%)-$2.9 M(+31.8%)-$4.3 M(-1232.4%)$381.4 K(+162.0%)-$615.4 K

TTM Operating Profit

-$17.3 M(+4.6%)-$18.2 M(+11.3%)-$20.5 M(-148.9%)-$8.2 M(-9.8%)-$7.5 M(-64.7%)-$4.6 M(-1845.7%)-$234.0 K(+62.0%)-$615.4 K

Operating Margin

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Net Income

$4.5 M(+280.5%)-$2.5 M(-115.5%)$16.2 M(+523.8%)-$3.8 M(+68.7%)-$12.2 M(-180.2%)-$4.4 M(-3627.6%)$123.5 K(+8921.4%)-$1400.0

TTM Net Income

$14.4 M(+714.1%)-$2.3 M(+44.2%)-$4.2 M(+79.3%)-$20.3 M(-23.2%)-$16.4 M(-288.3%)-$4.2 M(-3568.1%)$122.1 K(+8821.4%)-$1400.0

Net Margin

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EBIT

$5.5 M(+4486.1%)-$124.9 K(-100.6%)$20.1 M(+1591.5%)-$1.3 M(+86.8%)-$10.2 M(-136.8%)-$4.3 M(-499.4%)$1.1 M(+275.7%)-$615.4 K

TTM EBIT

$24.1 M(+186.3%)$8.4 M(+99.0%)$4.2 M(+128.6%)-$14.8 M(-5.2%)-$14.1 M(-265.4%)-$3.9 M(-926.8%)$466.0 K(+175.7%)-$615.4 K

EBITDA

$5.5 M(+5777.1%)-$97.0 K(-100.5%)$20.1 M(+1591.5%)-$1.3 M(+86.8%)-$10.2 M(-136.8%)-$4.3 M(-499.1%)$1.1 M(+275.7%)-$615.4 K

TTM EBITDA

$24.2 M(+185.9%)$8.5 M(+99.5%)$4.2 M(+128.7%)-$14.8 M(-5.2%)-$14.1 M(-265.5%)-$3.8 M(-926.2%)$466.0 K(+175.7%)-$615.4 K

Selling, General & Administrative Expenses

$1.5 M(+45.0%)$1.1 M--$2.3 M(-38.3%)$3.7 M--

TTM SGA

$2.6 M(-23.0%)$3.3 M--$6.0 M(+61.7%)$3.7 M--

Depreciation And Amortization

$28.5 K(+2.5%)$27.8 K(-30.9%)$40.2 K(+700.0%)-$6700.0(-281.1%)$3700.0(+23.3%)$3000.0--

TTM D&A

$89.8 K(+38.1%)$65.0 K(+61.7%)$40.2 K(+100.0%)$0.0(-100.0%)$6700.0(+123.3%)$3000.0--

Interest Expense

$957.3 K(-59.8%)$2.4 M--$2.0 M(+5158.1%)$37.7 K--

TTM Interest Expense

$3.3 M(-23.5%)$4.4 M--$2.0 M(+5258.1%)$37.7 K--

Income Tax

$0.0(0%)$0.0--$0.0(0%)$0.0--

TTM Income Tax

$0.0(0%)$0.0--$0.0(0%)$0.0--

PE Ratio

0.4-----1292.4-

PS Ratio

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Cashflow statements

Jun 1, 2024Mar 1, 2024Dec 1, 2023Sep 1, 2023Jun 1, 2023Mar 1, 2023Dec 1, 2022Sep 1, 2022

Cash From Operations

-$3.1 M(-15.1%)-$2.7 M(+57.9%)-$6.3 M(-315.5%)$2.9 M(+217.5%)-$2.5 M(-70.8%)-$1.5 M--$619.7 K

TTM CFO

-$9.1 M(-6.6%)-$8.6 M(-16.3%)-$7.4 M(-617.2%)-$1.0 M(+77.6%)-$4.6 M(-120.0%)-$2.1 M--$619.7 K

Cash From Investing

-$9300.0(-304.4%)-$2300.0(+99.9%)-$3.3 M(-162.7%)$5.2 M(+366.4%)-$1.9 M(-17937.0%)-$10.8 K-$0.0

TTM CFI

$1.9 M(+11893.9%)-$16.3 K(+34.3%)-$24.8 K(-100.8%)$3.2 M(+265.0%)-$2.0 M(-18037.0%)-$10.8 K-$0.0

Cash From Financing

$3.1 M(+33.3%)$2.4 M(-76.2%)$9.9 M(+219.2%)-$8.3 M(-1677.0%)-$469.0 K(-107.1%)$6.6 M--$7000.0

TTM CFF

$7.1 M(+103.6%)$3.5 M(-54.8%)$7.7 M(+449.7%)-$2.2 M(-136.1%)$6.1 M(-7.1%)$6.6 M--$7000.0

Free Cash Flow

-$3.1 M(-15.4%)-$2.7 M(+58.3%)-$6.4 M(-316.5%)$3.0 M(+217.9%)-$2.5 M(-70.0%)-$1.5 M--$619.7 K

TTM FCF

-$9.2 M(-6.6%)-$8.6 M(-16.1%)-$7.4 M(-624.0%)-$1.0 M(+77.7%)-$4.6 M(-119.8%)-$2.1 M--$619.7 K

CAPEX

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TTM CAPEX

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Dividends Paid

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TTM Dividends Paid

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TTM Dividend Per Share

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TTM Dividend Yield

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Payout Ratio

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