Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
Direxion Daily S&P 500 Bear 3X Shares ETF
SPXS
5
T-Rex 2x Inverse Tesla Daily Target ETF
TSLZ
(FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -21.71%25.34K | -21.71%25.34K | 1.72%69.12M | 14,829.59%68.1M | 173,927.48%68.58M | -99.98%32.37K | -99.98%32.37K | -50.12%67.95M | -99.68%456.16K | -99.97%39.41K |
-Cash and cash equivalents | -21.71%25.34K | -21.71%25.34K | 1.72%69.12M | 14,829.59%68.1M | 173,927.48%68.58M | -99.98%32.37K | -99.98%32.37K | -50.12%67.95M | -99.68%456.16K | -99.97%39.41K |
Receivables | -19.01%55.88M | -19.01%55.88M | 3.59%226.47K | -99.68%216.52K | -99.84%223.97K | 30,799.65%68.99M | 30,799.65%68.99M | 19.93%218.62K | 36,159.34%67.29M | 71,580.78%140.8M |
-Loans receivable | -19.07%55.66M | -19.07%55.66M | --0 | --0 | --0 | --68.77M | --68.77M | ---- | --67.12M | --140.58M |
-Taxes receivable | -2.97%165.63K | -2.97%165.63K | 2.46%172.53K | 1.39%169.64K | -3.15%170.4K | -1.67%170.69K | -1.67%170.69K | -1.11%168.39K | -7.12%167.31K | -7.62%175.94K |
-Other receivables | 2.53%49.75K | 2.53%49.75K | 7.38%53.94K | --46.88K | 15.28%53.57K | -2.36%48.52K | -2.36%48.52K | 318.68%50.23K | ---- | 676.94%46.47K |
Prepaid assets | -3.30%65.21M | -3.30%65.21M | 2.45%68.17M | 1.30%67.02M | 145,259.19%67.33M | 211,160.72%67.44M | 211,160.72%67.44M | 7,291.09%66.54M | 7,206.93%66.17M | -94.90%46.32K |
Other current assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --15.27K | 3,033,500.00%30.33K | --47.46K |
Total current assets | -11.25%121.12M | -11.25%121.12M | 2.07%137.51M | 1.05%135.34M | -3.41%136.13M | -1.92%136.47M | -1.92%136.47M | -1.88%134.72M | -7.84%133.94M | -8.33%140.93M |
Non current assets | ||||||||||
Net PPE | 2,878.04%118.94K | 2,878.04%118.94K | 3,082.12%143.64K | 3,386.33%156.33K | 3,550.19%172.14K | -14.16%3.99K | -14.16%3.99K | -94.41%4.51K | -95.56%4.48K | -96.16%4.72K |
-Gross PPE | 2,878.04%118.94K | 2,878.04%118.94K | --143.64K | --156.33K | --172.14K | --3.99K | --3.99K | ---- | ---- | ---- |
Total non current assets | 2,878.04%118.94K | 2,878.04%118.94K | 3,082.12%143.64K | 3,386.33%156.33K | 3,550.19%172.14K | -14.16%3.99K | -14.16%3.99K | -95.31%4.51K | -96.18%4.48K | -96.63%4.72K |
Total assets | -11.16%121.23M | -11.16%121.23M | 2.17%137.65M | 1.16%135.5M | -3.29%136.3M | -1.92%136.47M | -1.92%136.47M | -1.94%134.73M | -7.91%133.94M | -8.41%140.94M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -0.03%5.05M | -0.03%5.05M | 11.15%5.01M | 10.35%4.95M | 8.98%4.87M | 13.34%5.05M | 13.34%5.05M | 16.47%4.51M | 14.67%4.48M | 11.84%4.47M |
-accounts payable | -2.97%68K | -2.97%68K | 2.46%70.84K | 1.39%69.65K | -3.15%69.96K | -1.67%70.08K | -1.67%70.08K | -1.12%69.13K | -7.12%68.7K | -12.54%72.24K |
-Total tax payable | -0.01%4.28M | -0.01%4.28M | 16.13%4.28M | 14.84%4.28M | 16.80%4.29M | 16.18%4.28M | 16.18%4.28M | 20.64%3.68M | 22.24%3.72M | 19.25%3.67M |
-Other payable | 0.19%701.77K | 0.19%701.77K | -12.31%662.4K | -13.03%599.2K | -29.52%510.02K | -0.06%700.47K | -0.06%700.47K | 4.53%755.4K | -9.74%688.94K | -10.50%723.64K |
Current accrued expenses | 20.31%3.29M | 20.31%3.29M | 11.54%3.04M | 9.75%2.97M | 0.93%2.88M | -12.31%2.73M | -12.31%2.73M | 219.25%2.72M | 228.22%2.71M | 287.37%2.85M |
Current debt and capital lease obligation | -70.40%4.76M | -70.40%4.76M | -0.50%15.95M | -1.22%15.89M | -5.20%15.91M | -4.29%16.09M | -4.29%16.09M | -3.24%16.03M | -5.04%16.09M | -4.67%16.78M |
-Current debt | -70.76%4.71M | -70.76%4.71M | -0.88%15.89M | -1.41%15.83M | -5.21%15.88M | -3.94%16.09M | -3.94%16.09M | -2.89%16.03M | -4.87%16.06M | -4.31%16.75M |
-Current capital lease obligation | --58.53K | --58.53K | --61.39K | 102.81%61.52K | -1.93%30.9K | --0 | --0 | --0 | -51.79%30.33K | -68.57%31.51K |
Current liabilities | -45.14%13.1M | -45.14%13.1M | 3.17%24M | 2.29%23.81M | -1.85%23.66M | -2.09%23.87M | -2.09%23.87M | 9.25%23.27M | 7.39%23.28M | 7.91%24.1M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | --56.54K | --56.54K | --62.57K | --90.84K | --121.81K | ---- | ---- | ---- | ---- | ---- |
-Long term capital lease obligation | --56.54K | --56.54K | --62.57K | --90.84K | --121.81K | --0 | --0 | ---- | ---- | ---- |
Total non current liabilities | 1.69%3.41M | 1.69%3.41M | -13.78%3.41M | -13.06%3.44M | -12.28%3.47M | -15.36%3.35M | -15.36%3.35M | -13.31%3.96M | -13.93%3.96M | -13.96%3.96M |
Total liabilities | -39.38%16.5M | -39.38%16.5M | 0.70%27.42M | 0.05%27.25M | -3.32%27.13M | -3.95%27.22M | -3.95%27.22M | 5.27%27.22M | 3.66%27.24M | 4.17%28.06M |
Shareholders'equity | ||||||||||
Share capital | 15.04%9.16K | 15.04%9.16K | 10.08%8.77K | 9.35%8.52K | 6.47%8.13K | 7.72%7.96K | 7.72%7.96K | 8.22%7.96K | 5.84%7.79K | 3.75%7.63K |
-common stock | 15.04%9.16K | 15.04%9.16K | 10.08%8.77K | 9.35%8.52K | 6.47%8.13K | 7.72%7.96K | 7.72%7.96K | 8.22%7.96K | 5.84%7.79K | 3.75%7.63K |
Retained earnings | -2.58%-62.06M | -2.58%-62.06M | -1.96%-61.45M | -1.84%-61.19M | -1.60%-60.78M | -1.29%-60.5M | -1.29%-60.5M | -6.89%-60.27M | -7.42%-60.08M | -7.39%-59.82M |
Paid-in capital | 0.66%165.96M | 0.66%165.96M | 0.59%165.58M | 0.56%165.33M | 0.63%165.19M | 0.74%164.87M | 0.74%164.87M | 0.65%164.61M | 0.52%164.41M | 0.37%164.15M |
Gains losses not affecting retained earnings | -83.18%818.45K | -83.18%818.45K | 93.68%6.1M | 72.50%4.1M | -44.38%4.75M | -28.97%4.87M | -28.97%4.87M | -27.76%3.15M | -79.44%2.38M | -55.27%8.53M |
Total stockholders'equity | -4.13%104.73M | -4.13%104.73M | 2.55%110.24M | 1.44%108.25M | -3.28%109.17M | -1.40%109.25M | -1.40%109.25M | -3.61%107.5M | -10.46%106.71M | -11.08%112.87M |
Total equity | -4.13%104.73M | -4.13%104.73M | 2.55%110.24M | 1.44%108.25M | -3.28%109.17M | -1.40%109.25M | -1.40%109.25M | -3.61%107.5M | -10.46%106.71M | -11.08%112.87M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Audit Opinions | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- |