VSBLTY Groupe Technologies Corp. (VSBGF)

USD 0.08

(5.07%)

Annual Balance Sheets

(In USD)
Breakdown 2023 2022 2021 2020 2019 2018
Total Assets 928.17 Thousand 4.46 Million 7.96 Million 2.58 Million 1.27 Million 912.79 Thousand
Total Current Assets 845.93 Thousand 3.12 Million 6.75 Million 2.36 Million 972.12 Thousand 878.78 Thousand
Cash And Short Term Investments 53.9 Thousand 1.06 Million 4.93 Million 1.91 Million 499.43 Thousand 832.82 Thousand
Cash and Cash Equivalents 53.9 Thousand 1.06 Million 4.93 Million 1.91 Million 499.43 Thousand 832.82 Thousand
Short Term Investments - - - - - -
Net Receivables 702.41 Thousand 1.69 Million 1.31 Million 134.98 Thousand 44.19 Thousand 17.05 Thousand
Inventory 1964.90 44.99 Thousand 177.21 Thousand 1.00 1.00 -4807.00
Other Current Assets 87.65 Thousand 320.54 Thousand 329.72 Thousand 313.31 Thousand 428.49 Thousand 33.7 Thousand
Total Non-Current Assets 82.23 Thousand 1.34 Million 1.2 Million 221.87 Thousand 299.45 Thousand 34.01 Thousand
Net PPE 71.37 Thousand 258.94 Thousand 198.63 Thousand 210.95 Thousand 288.53 Thousand 29.34 Thousand
Good Will And Intangible Assets - - - - - -
Good Will - - - - - -
Intangible Assets - - - - - -
Long-Term Investments - 1 Million 1 Million - - -
Tax Assets - - - - - -
Other Non Current Assets 10.86 Thousand 85.6 Thousand 10.91 Thousand 10.91 Thousand 10.91 Thousand 4664.00
Other Assets - - - - - -
Total Liabilities 5.31 Million 1.85 Million 3.33 Million 4.93 Million 3.17 Million 3.29 Million
Total Current Liabilities 5.31 Million 1.68 Million 3.23 Million 3.72 Million 631.98 Thousand 1.92 Million
Account Payables 2.59 Million 1.05 Million 1.78 Million 814.87 Thousand 307.99 Thousand 308.93 Thousand
Tax Payables - - - - - -
Short Term Debt 833.49 Thousand 231.58 Thousand 754.99 Thousand 2.48 Million 61.98 Thousand 1.22 Million
Deferred Revenue 85.86 Thousand 7681.00 11.02 Thousand 8251.00 3825.00 6800.00
Other Current Liabilities 1.8 Million 382.53 Thousand 679.82 Thousand 409.21 Thousand 258.18 Thousand 383.86 Thousand
Total Non Current Liabilities - 168.82 Thousand 100.14 Thousand 1.21 Million 2.53 Million 1.36 Million
Long-Term Debt - 168.82 Thousand 100.14 Thousand 1.21 Million 2.53 Million 1.36 Million
Deferred Revenue Non Current - - - - - -
Deferred Tax Liabilities Non Current - - - - - -
Other Non Current Liabilities - - - - - -
Other Liabilities - - - - - -
Total Equity -4.39 Million 2.61 Million 4.63 Million -2.34 Million -1.89 Million -2.38 Million
Stock Holders Equity -4.39 Million 2.61 Million 4.63 Million -2.34 Million -1.89 Million -2.38 Million
Common Stock 45.81 Million 41.78 Million 33.34 Million 15.7 Million 9.94 Million 4.33 Million
Retained Earnings -60.5 Million -49.31 Million -36.94 Million -20.7 Million -14.17 Million -6.8 Million
Accumulated other comprehensive income 10.3 Million 9.81 Million 7.85 Million 2.63 Million 2.3 Million 87.99 Thousand
Common Stock Equity -4.39 Million 2.61 Million 4.63 Million -2.34 Million -1.89 Million -2.38 Million
Capital Lease Obligation 64.48 Thousand 307.3 Thousand 155.29 Thousand 203.74 Thousand 243.05 Thousand -
Total Investments - 1 Million 1 Million - - -
Total Debt 833.49 Thousand 400.4 Thousand 855.14 Thousand 3.7 Million 2.6 Million 2.59 Million
Net Debt 779.59 Thousand -663.81 Thousand -4.07 Million 1.78 Million 2.1 Million 1.76 Million

Balance Sheet Charts