Snipp Interactive Inc. (SPN.V)

CAD 0.1

(-5.0%)

Annual Balance Sheets

(In USD)
Breakdown 2023 2022 2021 2020 2019 2018
Total Assets 13.42 Million 15.49 Million 7.45 Million 6.27 Million 6.78 Million 12.77 Million
Total Current Assets 6.46 Million 9.1 Million 4.88 Million 3.58 Million 3.36 Million 4.68 Million
Cash And Short Term Investments 2.94 Million 5.55 Million 1.74 Million 1.91 Million 848.71 Thousand 1.59 Million
Cash and Cash Equivalents 2.94 Million 5.55 Million 1.74 Million 1.91 Million 848.71 Thousand 1.59 Million
Short Term Investments 1.19 Million 805.85 Thousand 908.65 Thousand 420.96 Thousand 435.62 Thousand 716.87 Thousand
Net Receivables 2.07 Million 2.51 Million 2.23 Million 1.24 Million 2.07 Million 2.37 Million
Inventory 254.62 Thousand 237.45 Thousand 1.00 - 1.00 716.87 Thousand
Other Current Assets 1.19 Million 805.85 Thousand 908.65 Thousand 420.96 Thousand - -
Total Non-Current Assets 6.95 Million 6.35 Million 2.56 Million 2.69 Million 3.41 Million 8.08 Million
Net PPE 560.59 Thousand 22.14 Thousand 19.11 Thousand 17.52 Thousand 21.77 Thousand 43.41 Thousand
Good Will And Intangible Assets 6.33 Million 6.09 Million 2.24 Million 2.67 Million 3.39 Million 8.04 Million
Good Will 3.51 Million 3.51 Million - - - 3.34 Million
Intangible Assets 2.81 Million 2.57 Million 2.24 Million 2.67 Million 3.39 Million 4.7 Million
Long-Term Investments - - - - - -
Tax Assets - - - - - -
Other Non Current Assets 67.85 Thousand 240.49 Thousand 300 Thousand -2.69 Million -3.41 Million -
Other Assets - 34.03 Thousand - - - -
Total Liabilities 6.99 Million 6.16 Million 3.89 Million 4.79 Million 4.36 Million 3.5 Million
Total Current Liabilities 6.5 Million 6.16 Million 3.89 Million 4.79 Million 4.36 Million 3.5 Million
Account Payables 2.7 Million 3.33 Million 1.95 Million 2.74 Million 2.53 Million 2.86 Million
Tax Payables - - - - - -
Short Term Debt 30.87 Thousand - - 294.4 Thousand - -
Deferred Revenue 3.71 Million 2.78 Million 1.93 Million 1.73 Million 1.78 Million 561.76 Thousand
Other Current Liabilities 58.34 Thousand 34.26 Thousand 3181.00 19.46 Thousand 49.25 Thousand 77.24 Thousand
Total Non Current Liabilities 495.65 Thousand - - - - -
Long-Term Debt 495.65 Thousand - - - - -
Deferred Revenue Non Current - - - - - -
Deferred Tax Liabilities Non Current - - - - - -
Other Non Current Liabilities - - - - - -
Other Liabilities - - - - - -
Total Equity 6.43 Million 9.33 Million 3.56 Million 1.47 Million 2.41 Million 9.27 Million
Stock Holders Equity 6.43 Million 9.33 Million 3.56 Million 1.47 Million 2.41 Million 9.27 Million
Common Stock 38.14 Million 38.14 Million 29.65 Million 29.62 Million 29.52 Million 29.52 Million
Retained Earnings -36.92 Million -33.53 Million -30.7 Million -32.83 Million -31.51 Million -24.49 Million
Accumulated other comprehensive income 5.2 Million -1.74 Million -1.29 Million -1.12 Million -1.29 Million -1.3 Million
Common Stock Equity 6.43 Million 9.33 Million 3.56 Million 1.47 Million 2.41 Million 9.27 Million
Capital Lease Obligation 526.53 Thousand - - - - -
Total Investments 1.19 Million 805.85 Thousand 908.65 Thousand 420.96 Thousand 435.62 Thousand 716.87 Thousand
Total Debt 526.53 Thousand - - 294.4 Thousand - -
Net Debt -2.41 Million -5.55 Million -1.74 Million -1.62 Million -848.71 Thousand -1.59 Million

Balance Sheet Charts