Glass House Brands Inc. (GHBWF)

USD 0.31

(0.06%)

Annual Balance Sheets

(In USD)
Breakdown 2023 2022 2021 2020 2019
Total Assets 311.16 Million 348.66 Million 288.08 Million 69.54 Million 410.77 Million
Total Current Assets 48.96 Million 41.45 Million 69.12 Million 18.46 Million 4.26 Million
Cash And Short Term Investments 32.35 Million 11.14 Million 51.06 Million 4.53 Million 4.12 Million
Cash and Cash Equivalents 32.35 Million 11.14 Million 51.06 Million 4.53 Million 4.12 Million
Short Term Investments - -1925.16 -9741.06 - -
Net Receivables 3.95 Million 6.9 Million 2.89 Million 6.04 Million -
Inventory 8.79 Million 12.05 Million 6.59 Million 6.86 Million -
Other Current Assets 3.85 Million 8.34 Million 5.56 Million 1.01 Million 140.86 Thousand
Total Non-Current Assets 262.19 Million 307.21 Million 218.96 Million 51.07 Million 406.5 Million
Net PPE 225.38 Million 227.56 Million 198.87 Million 29.72 Million -
Good Will And Intangible Assets 21.1 Million 70.46 Million 10.54 Million 10.09 Million -
Good Will 2.00 21.8 Million 4.91 Million 4.81 Million -
Intangible Assets 21.1 Million 48.65 Million 5.62 Million 5.27 Million -
Long-Term Investments 2.31 Million 4.24 Million 7.19 Million 10.7 Million 405.79 Million
Tax Assets 8.94 Million 1.28 Million 1.48 Million 46.11 Thousand 713.42 Thousand
Other Non Current Assets 4.44 Million 3.65 Million 856.53 Thousand 508.14 Thousand -
Other Assets - - 0.00 0.00 -
Total Liabilities 166.67 Million 131.23 Million 107.2 Million 43.26 Million 419.63 Million
Total Current Liabilities 86.91 Million 54.24 Million 56.74 Million 19.6 Million 1.03 Million
Account Payables 5.51 Million 6.86 Million 4.77 Million 2.58 Million -
Tax Payables 7.83 Million 8.82 Million 6.35 Million 5.91 Million 713.42 Thousand
Short Term Debt 9.34 Million 1.11 Million 307.14 Thousand 928.51 Thousand -
Deferred Revenue 7.83 Million 31.6 Million 13.23 Million 8.72 Million -
Other Current Liabilities 64.22 Million 14.65 Million 38.42 Million 7.36 Million 1.03 Million
Total Non Current Liabilities 79.75 Million 76.98 Million 50.46 Million 23.66 Million 418.59 Million
Long-Term Debt 56.22 Million 72.47 Million 47.68 Million 21.39 Million -
Deferred Revenue Non Current 9.17 Million -1.9 Million - 16.1 Million 16.1 Million
Deferred Tax Liabilities Non Current - - - - -
Other Non Current Liabilities 5.41 Million 4.5 Million 1.44 Million -15.25 Million 402.49 Million
Other Liabilities 1.00 - -0.00 - 1.00
Total Equity 144.49 Million 217.43 Million 180.87 Million 26.27 Million -8.85 Million
Stock Holders Equity 167.05 Million 165.16 Million 181.06 Million 26.27 Million -8.85 Million
Common Stock - 0.75 - - -
Retained Earnings -189.95 Million -96.36 Million -60.82 Million -16.65 Million 2.83 Million
Accumulated other comprehensive income - 261.4 Million 241.56 Million 42.93 Million 11.79 Million
Common Stock Equity 167.05 Million 165.16 Million 181.06 Million 26.27 Million -8.85 Million
Capital Lease Obligation 9.17 Million 10.93 Million 3.13 Million 2.64 Million -
Total Investments 2.31 Million 4.24 Million 7.18 Million 10.7 Million 405.79 Million
Total Debt 74.74 Million 73.59 Million 47.99 Million 22.32 Million -
Net Debt 42.38 Million 62.45 Million -3.07 Million 17.78 Million -4.12 Million

Balance Sheet Charts