Balance sheets
31 Dec 2022 | 30 Sept 2022 | 30 June 2022 | 31 Mar 2022 | 31 Dec 2021 | 30 Sept 2021 | 30 June 2021 | 31 Mar 2021 | 31 Dec 2020 | 30 Sept 2020 | 30 June 2020 | 31 Mar 2020 | ||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Total Assets | $50.1 M(+7.4%) | $46.6 M(+6.8%) | $43.7 M(+21.3%) | $36.0 M(-17.3%) | $43.5 M(-4.4%) | $45.5 M(+27.9%) | $35.6 M(-2.7%) | $36.6 M(-7.0%) | $39.3 M(+17.4%) | $33.5 M(+20.4%) | $27.8 M(+11.7%) | $24.9 M | |
Current Assets | $33.5 M(-3.0%) | $34.6 M(+174.9%) | $12.6 M(+272.0%) | $3.4 M(-16.4%) | $4.0 M(-62.3%) | $10.7 M(+132.9%) | $4.6 M(+0.8%) | $4.6 M(-54.5%) | $10.0 M(+135.3%) | $4.3 M(-9.2%) | $4.7 M(+274.6%) | $1.3 M | |
Non Current Assets | $16.5 M(+37.1%) | $12.1 M(-61.2%) | $31.1 M(-4.7%) | $32.6 M(-17.4%) | $39.5 M(+13.5%) | $34.8 M(+12.2%) | $31.0 M(-3.2%) | $32.0 M(+9.3%) | $29.3 M(+0.2%) | $29.2 M(+26.4%) | $23.1 M(-2.3%) | $23.7 M | |
Total Liabilities | $13.2 M(+41.4%) | $9.3 M(-65.1%) | $26.7 M(+92.8%) | $13.8 M(+10.1%) | $12.6 M(-42.1%) | $21.7 M(+45.9%) | $14.9 M(-23.8%) | $19.6 M(+26.5%) | $15.5 M(-1.6%) | $15.7 M(-48.5%) | $30.5 M(+59.1%) | $19.2 M | |
Current Liabilities | $12.5 M(+41.5%) | $8.8 M(-34.4%) | $13.4 M(+14.1%) | $11.8 M(+17.0%) | $10.1 M(-48.3%) | $19.5 M(+63.5%) | $11.9 M(-27.5%) | $16.4 M(+27.3%) | $12.9 M(+17.3%) | $11.0 M(-58.5%) | $26.5 M(+47.8%) | $17.9 M | |
Long Term Liabilities | $709.8 K(+40.6%) | $504.7 K(-96.2%) | $13.3 M(+541.0%) | $2.1 M(-17.6%) | $2.5 M(+10.6%) | $2.3 M(-24.3%) | $3.0 M(-4.7%) | $3.1 M(+22.4%) | $2.6 M(-45.5%) | $4.7 M(+18.0%) | $4.0 M(+225.7%) | $1.2 M | |
Shareholders Equity | $38.1 M(-3.9%) | $39.7 M(+118.9%) | $18.1 M(-20.3%) | $22.7 M(-27.2%) | $31.2 M(+31.4%) | $23.8 M(+14.9%) | $20.7 M(+21.5%) | $17.0 M(-28.6%) | $23.9 M(+34.1%) | $17.8 M(+764.8%) | -$2.7 M(-146.6%) | $5.7 M | |
Book Value | $38.1 M(+25.1%) | $30.5 M(+68.1%) | $18.1 M(-20.3%) | $22.7 M(-27.2%) | $31.2 M(+31.4%) | $23.8 M(+14.9%) | $20.7 M(+21.5%) | $17.0 M(-28.6%) | $23.9 M(+34.1%) | $17.8 M(+764.8%) | -$2.7 M(-146.6%) | $5.7 M | |
Working Capital | $21.1 M(-18.2%) | $25.7 M(+3077.5%) | -$864.8 K(+89.7%) | -$8.4 M(-39.5%) | -$6.0 M(+31.1%) | -$8.7 M(-19.7%) | -$7.3 M(+38.4%) | -$11.8 M(-314.8%) | -$2.9 M(+57.6%) | -$6.7 M(+69.1%) | -$21.8 M(-30.7%) | -$16.7 M | |
Cash And Cash Equivalents | $16.6 K(-98.3%) | $970.3 K(-88.1%) | $8.2 M(+11320.8%) | $71.6 K(-86.5%) | $529.0 K(-93.0%) | $7.6 M(+1391.1%) | $507.0 K(-42.6%) | $882.7 K(-88.5%) | $7.6 M(+359.5%) | $1.7 M(-7.2%) | $1.8 M(+561.6%) | $271.0 K | |
Accounts Payable | $3.0 M(+19.9%) | $2.5 M(-18.5%) | $3.1 M(-21.2%) | $3.9 M(+51.8%) | $2.6 M(+453.2%) | $464.0 K(-85.5%) | $3.2 M(-11.8%) | $3.6 M(+93.7%) | $1.9 M(+34.8%) | $1.4 M(+97.9%) | $700.0 K(-6.8%) | $751.0 K | |
Accounts Receivable | - | - | $106.0 K(-86.7%) | $798.9 K(+11.6%) | $716.0 K(-8.1%) | $779.0 K(-25.6%) | $1.0 M(+5.6%) | $991.3 K(+137.7%) | $417.0 K(-12.4%) | $476.0 K(+112.5%) | $224.0 K(+30.2%) | $172.0 K | |
Short Term Debt | $548.1 K(+4.5%) | $524.7 K(-48.3%) | $1.0 M(-38.2%) | $1.6 M(+40.7%) | $1.2 M(-6.0%) | $1.2 M(-34.3%) | $1.9 M(-4.8%) | $2.0 M(+4.2%) | $1.9 M(+4.7%) | $1.8 M(-35.7%) | $2.8 M(-67.8%) | $8.8 M | |
Long Term Debt | $315.0 K(-9.0%) | $346.0 K(-34.2%) | $525.8 K(-31.2%) | $763.9 K(-13.5%) | $883.0 K(+29.5%) | $682.0 K(-52.5%) | $1.4 M(-11.1%) | $1.6 M(-24.5%) | $2.1 M(-50.1%) | $4.3 M(+16.3%) | $3.7 M(+296.5%) | $931.0 K | |
Total Debt | $863.1 K(-0.9%) | $870.7 K(-43.5%) | $1.5 M(-36.0%) | $2.4 M(+17.4%) | $2.1 M(+6.5%) | $1.9 M(-42.1%) | $3.3 M(-7.6%) | $3.6 M(-11.0%) | $4.0 M(-33.8%) | $6.1 M(-6.3%) | $6.5 M(-33.0%) | $9.7 M | |
Debt To Equity | 0.0(0%) | 0.0(-50.0%) | 0.0(-33.3%) | 0.1(+100.0%) | 0.0(-40.0%) | 0.1(-58.3%) | 0.1(-25.0%) | 0.2(+23.1%) | 0.1(-53.6%) | 0.3(+112.8%) | -2.2(-238.8%) | 1.6 | |
Current Ratio | 2.7(-31.4%) | 3.9(+317.0%) | 0.9(+224.1%) | 0.3(-27.5%) | 0.4(-27.3%) | 0.6(+41.0%) | 0.4(+39.3%) | 0.3(-64.1%) | 0.8(+100.0%) | 0.4(+116.7%) | 0.2(+157.1%) | 0.1 | |
Quick Ratio | - | - | 0.9(+232.1%) | 0.3(-28.2%) | 0.4(-29.1%) | 0.6(+44.7%) | 0.4(+40.7%) | 0.3(-64.9%) | 0.8(+108.1%) | 0.4(+117.7%) | 0.2(+142.9%) | 0.1 | |
Inventory | - | - | $10.1 K(-90.6%) | $107.0 K(-35.1%) | $165.0 K(+63.4%) | $101.0 K(-12.2%) | $115.0 K(-5.7%) | $122.0 K(-5.4%) | $129.0 K(-26.3%) | $175.0 K(-29.4%) | $248.0 K(+100.0%) | $0.0 | |
Retained Earnings | -$157.4 M(+3.7%) | -$163.5 M(+3.3%) | -$169.1 M(-6.4%) | -$158.9 M(-7.6%) | -$147.6 M(+3.0%) | -$152.2 M(-4.0%) | -$146.4 M(+1.7%) | -$148.9 M(-6.6%) | -$139.7 M(+0.4%) | -$140.2 M(+6.0%) | -$149.2 M(-16.5%) | -$128.0 M | |
PB Ratio | 5.3(-85.2%) | 36.1(-68.4%) | 114.3(+42.8%) | 80.0(+42.3%) | 56.2(-67.7%) | 173.9(-10.4%) | 194.1(-61.5%) | 503.5(+79.1%) | 281.1(-24.7%) | 373.3(+111.0%) | -3406.5(-1396.8%) | 262.7 |
Income statements
31 Dec 2022 | 30 Sept 2022 | 30 June 2022 | 31 Mar 2022 | 31 Dec 2021 | 30 Sept 2021 | 30 June 2021 | 31 Mar 2021 | 31 Dec 2020 | 30 Sept 2020 | 30 June 2020 | 31 Mar 2020 | ||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|
EPS | -$0.1(+86.1%) | -$0.9(-110.2%) | -$0.4(+6.8%) | -$0.4(-83.3%) | -$0.2(-2.9%) | -$0.2(-159.2%) | -$0.1(+79.1%) | -$0.4(-21600.0%) | $0.0(-99.5%) | $0.4(+132.9%) | -$1.2(-5670.0%) | -$0.0 | |
TTM EPS | -$1.8(+6.2%) | -$2.0(-47.5%) | -$1.3(-31.9%) | -$1.0(-1.0%) | -$1.0(-32.2%) | -$0.8(-444.4%) | -$0.1(+88.5%) | -$1.2(-51.8%) | -$0.8(+33.7%) | -$1.2(+37.9%) | -$1.9(-109.1%) | -$0.9 | |
Revenue | - | - | $5.4 M(-78.8%) | $25.6 M(+146084.0%) | $17.5 K | - | $5.2 M(+2.5%) | $5.0 M(+12.6%) | $4.5 M(+36.2%) | $3.3 M(+41.7%) | $2.3 M(+539.0%) | $362.0 K | |
TTM Revenue | - | - | $31.0 M(+0.8%) | $30.8 M(+201.5%) | $10.2 M | - | $17.9 M(+18.9%) | $15.1 M(+44.8%) | $10.4 M(+71.0%) | $6.1 M(+113.1%) | $2.9 M(+392.1%) | $581.0 K | |
Total Expenses | $3.1 M(-60.3%) | $7.7 M(-44.2%) | $13.8 M(-62.8%) | $37.0 M(+673.7%) | $4.8 M(+14.8%) | $4.2 M(-39.2%) | $6.8 M(-49.8%) | $13.6 M(+72.0%) | $7.9 M(+10.6%) | $7.2 M(+59.0%) | $4.5 M(+82.4%) | $2.5 M | |
Operating Expenses | $3.0 M(-60.5%) | $7.6 M(-17.2%) | $9.2 M(-61.2%) | $23.7 M(+404.2%) | $4.7 M(+12.6%) | $4.2 M(+28.2%) | $3.3 M(-41.4%) | $5.5 M(+17.8%) | $4.7 M(-2.6%) | $4.8 M(+41.5%) | $3.4 M(+45.9%) | $2.3 M | |
Cost Of Goods Sold | $47.5 K(-46.1%) | $88.2 K(-98.1%) | $4.6 M(-65.5%) | $13.4 M(+14299.9%) | $92.8 K | - | $3.6 M(-55.5%) | $8.1 M(+151.2%) | $3.2 M(+37.9%) | $2.3 M(+113.5%) | $1.1 M(+734.4%) | $131.0 K | |
TTM Cost Of Goods Sold | $18.1 M(-0.3%) | $18.2 M(+0.5%) | $18.1 M(+5.9%) | $17.1 M(+44.9%) | $11.8 M | - | $17.2 M(+17.0%) | $14.7 M(+117.4%) | $6.8 M(+87.0%) | $3.6 M(+177.3%) | $1.3 M(+404.6%) | $259.0 K | |
Gross Profit | -$47.5 K(+46.1%) | -$88.2 K(-110.9%) | $810.8 K(-93.4%) | $12.2 M(+16305.7%) | -$75.4 K(-100.0%) | $0.0(-100.0%) | $1.6 M(+151.0%) | -$3.1 M(-344.9%) | $1.2 M(+32.0%) | $945.0 K(-22.5%) | $1.2 M(+428.1%) | $231.0 K | |
TTM Gross Profit | $12.9 M(+0.2%) | $12.9 M(-0.7%) | $13.0 M(-5.5%) | $13.7 M(+971.9%) | -$1.6 M(-530.9%) | -$249.1 K(-135.8%) | $695.9 K(+94.6%) | $357.6 K(-90.2%) | $3.6 M(+47.5%) | $2.5 M(+59.1%) | $1.6 M(+382.0%) | $322.0 K | |
Gross Margin | - | - | 15.0%(-68.7%) | 47.8%(+111.1%) | -431.8% | - | 30.2%(+149.8%) | -60.7%(-317.5%) | 27.9%(-3.1%) | 28.8%(-45.4%) | 52.8%(-17.3%) | 63.8% | |
Operating Profit | -$3.1 M(+60.3%) | -$7.7 M(+8.1%) | -$8.4 M(+26.8%) | -$11.4 M(-139.9%) | -$4.8 M(-14.4%) | -$4.2 M(-146.2%) | -$1.7 M(+80.3%) | -$8.6 M(-148.4%) | -$3.5 M(+10.9%) | -$3.9 M(-77.2%) | -$2.2 M(-4.1%) | -$2.1 M | |
TTM Operating Profit | -$30.6 M(+5.3%) | -$32.3 M(-12.3%) | -$28.7 M(-30.3%) | -$22.1 M(-14.7%) | -$19.2 M(-7.3%) | -$17.9 M(-1.6%) | -$17.6 M(+2.8%) | -$18.2 M(-55.7%) | -$11.7 M(-7.5%) | -$10.8 M(-14.5%) | -$9.5 M(+3.5%) | -$9.8 M | |
Operating Margin | - | - | -154.5%(-245.6%) | -44.7%(+99.8%) | -27.3 K% | - | -32.8%(+80.8%) | -171.1%(-120.6%) | -77.6%(+34.6%) | -118.6%(-25.0%) | -94.9%(+83.7%) | -582.6% | |
Net Income | $2.7 M(+112.0%) | -$23.0 M(-126.4%) | -$10.2 M(+9.6%) | -$11.2 M(-344.1%) | $4.6 M(+178.6%) | -$5.9 M(-328.7%) | $2.6 M(+127.7%) | -$9.2 M(-1834.1%) | $532.0 K(-94.1%) | $9.0 M(+142.4%) | -$21.2 M(-3001.2%) | -$683.0 K | |
TTM Net Income | -$41.6 M(-4.7%) | -$39.8 M(-75.7%) | -$22.6 M(-128.1%) | -$9.9 M(-25.3%) | -$7.9 M(+33.9%) | -$12.0 M(-520.5%) | $2.9 M(+113.7%) | -$20.9 M(-69.2%) | -$12.3 M(+32.5%) | -$18.3 M(+42.2%) | -$31.7 M(-160.9%) | -$12.1 M | |
Net Margin | - | - | -187.4%(-326.8%) | -43.9% | - | - | 49.6%(+127.1%) | -183.5%(-1640.4%) | 11.9% | - | -915.7%(-385.4%) | -188.7% | |
EBIT | -$3.1 M(+38.7%) | -$5.0 M(+48.9%) | -$9.7 M(-896.3%) | $1.2 M(+125.7%) | -$4.8 M(+0.6%) | -$4.8 M(-261.0%) | $3.0 M(+131.3%) | -$9.5 M(-1217.7%) | $850.0 K(-91.8%) | $10.3 M(+150.6%) | -$20.3 M(-3382.9%) | -$584.0 K | |
TTM EBIT | -$16.6 M(+9.4%) | -$18.3 M(-1.0%) | -$18.1 M(-237.4%) | -$5.4 M(+66.7%) | -$16.1 M(-53.7%) | -$10.5 M(-326.3%) | $4.6 M(+124.8%) | -$18.7 M(-91.2%) | -$9.8 M(+38.4%) | -$15.9 M(+44.7%) | -$28.7 M(-189.1%) | -$9.9 M | |
EBITDA | -$3.0 M(+8.2%) | -$3.3 M(+65.5%) | -$9.6 M(-214.2%) | $8.4 M(+278.4%) | -$4.7 M(+0.6%) | -$4.7 M(-246.8%) | $3.2 M(+137.1%) | -$8.7 M(-740.5%) | $1.4 M(-87.2%) | $10.6 M(+153.0%) | -$20.0 M(-3798.6%) | -$514.0 K | |
TTM EBITDA | -$7.5 M(+18.2%) | -$9.2 M(+13.4%) | -$10.6 M(-587.5%) | $2.2 M(+114.6%) | -$14.9 M(-68.6%) | -$8.9 M(-236.1%) | $6.5 M(+138.8%) | -$16.8 M(-95.6%) | -$8.6 M(+43.2%) | -$15.1 M(+46.4%) | -$28.2 M(-192.3%) | -$9.6 M | |
Selling, General & Administrative Expenses | $3.0 M(-49.6%) | $5.9 M(-31.3%) | $8.6 M(-47.0%) | $16.3 M(+251.9%) | $4.6 M(+12.8%) | $4.1 M(+37.1%) | $3.0 M(-33.8%) | $4.5 M(+15.0%) | $3.9 M(-10.0%) | $4.4 M(+51.7%) | $2.9 M(+51.2%) | $1.9 M | |
TTM SG&A | $33.9 M(-4.6%) | $35.5 M(+5.4%) | $33.7 M(+20.1%) | $28.1 M(+72.5%) | $16.3 M(+4.5%) | $15.6 M(-1.7%) | $15.8 M(+0.7%) | $15.7 M(+20.0%) | $13.1 M(+15.0%) | $11.4 M(+30.9%) | $8.7 M(+18.1%) | $7.4 M | |
Depreciation And Amortization | $13.8 K(-99.2%) | $1.7 M | - | -$164.3 K(-407.1%) | $53.5 K(-51.7%) | $110.8 K | - | -$1.1 M(-200.0%) | $1.1 M(+476.4%) | -$301.0 K(-200.0%) | $301.0 K(+239.3%) | -$216.0 K | |
TTM D&A | $1.6 M(-2.5%) | $1.6 M | - | $0.0(+100.0%) | -$968.7 K(-974.3%) | $110.8 K | - | $0.0(-100.0%) | $917.0 K(+719.6%) | -$148.0 K(-166.1%) | $224.0 K(+100.0%) | $0.0 | |
Interest Expense | - | $281.9 K(+539.2%) | $44.1 K | - | - | $3800.0(-99.3%) | $585.5 K(+1151.1%) | $46.8 K(-85.3%) | $318.0 K(-75.8%) | $1.3 M(+56.2%) | $841.0 K(+749.5%) | $99.0 K | |
TTM Interest Expense | - | $326.0 K(+580.6%) | $47.9 K | - | - | $954.1 K(-57.9%) | $2.3 M(-10.1%) | $2.5 M(-2.0%) | $2.6 M(+5.3%) | $2.4 M(+116.5%) | $1.1 M(+226.0%) | $346.0 K | |
Income Tax | $0.0(0%) | $0.0(0%) | $0.0(-100.0%) | $85.0 K(+100.0%) | $0.0(0%) | $0.0(0%) | $0.0(-100.0%) | $58.0 K(+100.0%) | $0.0(0%) | $0.0(0%) | $0.0(0%) | $0.0 | |
TTM Income Tax | $85.0 K(0%) | $85.0 K(0%) | $85.0 K(0%) | $85.0 K(+46.5%) | $58.0 K(0%) | $58.0 K(0%) | $58.0 K(0%) | $58.0 K(+100.0%) | $0.0(0%) | $0.0(0%) | $0.0(0%) | $0.0 | |
PE Ratio | - | - | - | - | - | - | - | - | - | - | - | - | |
PS Ratio | - | - | 66.8(+12.9%) | 59.1(-65.6%) | 172.1 | - | 224.0(-60.6%) | 568.3(-11.7%) | 643.7(-41.0%) | 1090.1(-65.8%) | 3188.4(+22.7%) | 2598.4 |
Cashflow statements
31 Dec 2022 | 30 Sept 2022 | 30 June 2022 | 31 Mar 2022 | 31 Dec 2021 | 30 Sept 2021 | 30 June 2021 | 31 Mar 2021 | 31 Dec 2020 | 30 Sept 2020 | 30 June 2020 | 31 Mar 2020 | ||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Cash From Operations | -$1.4 M(+78.9%) | -$6.5 M(-46.0%) | -$4.5 M(-204.5%) | -$1.5 M(-72.1%) | -$854.0 K(+88.2%) | -$7.2 M(-2231.9%) | -$310.9 K(+93.6%) | -$4.8 M(-84.6%) | -$2.6 M(-15.5%) | -$2.3 M(+19.8%) | -$2.8 M(-215.9%) | -$898.0 K | |
TTM CFO | -$13.9 M(-3.9%) | -$13.3 M(+5.1%) | -$14.0 M(-42.1%) | -$9.9 M(+25.5%) | -$13.3 M(+11.8%) | -$15.0 M(-49.5%) | -$10.1 M(+20.1%) | -$12.6 M(-45.7%) | -$8.6 M(-15.7%) | -$7.5 M(-1.5%) | -$7.4 M(-33.9%) | -$5.5 M | |
Cash From Investing | $377.5 K(+145.2%) | -$834.7 K(-185.7%) | $974.4 K(+25.8%) | $774.5 K(+116.0%) | -$4.8 M(-6.5%) | -$4.6 M(-182116.0%) | $2500.0(+100.1%) | -$2.6 M(-304.6%) | -$637.0 K(+78.5%) | -$3.0 M(-1317.2%) | -$209.0 K(+73.8%) | -$799.0 K | |
TTM CFI | $1.3 M(+132.9%) | -$3.9 M(+48.6%) | -$7.6 M(+11.3%) | -$8.6 M(+28.0%) | -$12.0 M(-54.2%) | -$7.8 M(-25.7%) | -$6.2 M(+3.3%) | -$6.4 M(-38.6%) | -$4.6 M(-16.5%) | -$4.0 M(-298.6%) | -$992.0 K(-28.0%) | -$775.0 K | |
Cash From Financing | $45.4 K(-76.5%) | $193.0 K(-98.3%) | $11.6 M(+4339.3%) | $260.8 K(+187.8%) | -$297.1 K(-101.7%) | $17.9 M(+8350.9%) | -$217.5 K(-132.8%) | $662.3 K(-93.1%) | $9.6 M(+87.6%) | $5.1 M(+15.2%) | $4.4 M(+122.0%) | $2.0 M | |
TTM CFF | $12.1 M(+2.9%) | $11.7 M(-60.2%) | $29.5 M(+66.7%) | $17.7 M(-2.2%) | $18.1 M(-35.3%) | $28.0 M(+84.8%) | $15.1 M(-23.5%) | $19.8 M(-6.3%) | $21.1 M(+67.2%) | $12.6 M(+25.1%) | $10.1 M(+57.2%) | $6.4 M | |
Free Cash Flow | -$1.4 M(+79.1%) | -$6.6 M(-46.9%) | -$4.5 M(-131.8%) | -$1.9 M(+47.4%) | -$3.7 M(+68.0%) | -$11.5 M(-3597.9%) | -$310.9 K(+95.8%) | -$7.4 M(-127.5%) | -$3.3 M(+36.8%) | -$5.2 M(-78.6%) | -$2.9 M(-221.7%) | -$898.0 K | |
TTM FCF | -$14.4 M(+13.8%) | -$16.7 M(+22.8%) | -$21.6 M(-23.9%) | -$17.4 M(+24.0%) | -$22.9 M(-1.8%) | -$22.5 M(-39.2%) | -$16.2 M(+13.8%) | -$18.7 M(-53.4%) | -$12.2 M(-17.4%) | -$10.4 M(-40.5%) | -$7.4 M(-34.9%) | -$5.5 M | |
CAPEX | - | - | - | $461.3 K(-83.6%) | $2.8 M(-33.6%) | $4.2 M | - | $2.6 M(+304.4%) | $637.0 K(-77.9%) | $2.9 M(+5451.9%) | $52.0 K | - | |
TTM CAPEX | - | - | - | $7.5 M(-21.9%) | $9.6 M(+29.3%) | $7.5 M | - | $6.2 M(+72.0%) | $3.6 M(+21.7%) | $2.9 M(+5551.9%) | $52.0 K | - | |
Dividends Paid | - | - | - | - | - | - | - | - | - | - | - | - | |
TTM Dividends Paid | - | - | - | - | - | - | - | - | - | - | - | - | |
TTM Dividend Per Share | - | - | - | - | - | - | - | - | - | - | - | - | |
TTM Dividend Yield | - | - | - | - | - | - | - | - | - | - | - | - | |
Payout Ratio | - | - | - | - | - | - | - | - | - | - | - | - |