Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
ProShares UltraPro Short S&P500 ETF
SPXU
5
Short S&P 500 Proshares
SH
(Q1)Mar 29, 2025 | (FY)Dec 28, 2024 | (Q4)Dec 28, 2024 | (Q3)Sep 28, 2024 | (Q2)Jun 29, 2024 | (Q1)Mar 30, 2024 | (FY)Dec 30, 2023 | (Q4)Dec 30, 2023 | (Q3)Sep 30, 2023 | (Q2)Jul 1, 2023 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -25.99%200.81M | -21.93%262.09M | -21.93%262.09M | -30.53%269.24M | -29.52%262.4M | -16.33%271.32M | -12.94%335.7M | -12.94%335.7M | 4.92%387.57M | --372.32M |
-Cash and cash equivalents | -20.51%151.88M | -15.93%206.41M | -15.93%206.41M | -35.49%189.26M | -26.23%203.07M | -15.70%191.07M | 1.31%245.52M | 1.31%245.52M | 26.24%293.39M | --275.29M |
-Short-term investments | -39.03%48.93M | -38.25%55.69M | -38.25%55.69M | -15.08%79.98M | -38.85%59.33M | -17.81%80.26M | -37.04%90.17M | -37.04%90.17M | -31.25%94.18M | --97.03M |
Receivables | -19.29%93.62M | -26.48%91.62M | -26.48%91.62M | -29.51%91.94M | -28.52%103.03M | -34.19%115.99M | -29.25%124.62M | -29.25%124.62M | -30.71%130.43M | --144.14M |
-Accounts receivable | -19.29%93.62M | -26.48%91.62M | -26.48%91.62M | -29.51%91.94M | -28.52%103.03M | -34.19%115.99M | -29.25%124.62M | -29.25%124.62M | -30.71%130.43M | --144.14M |
Inventory | -8.06%139.37M | -8.94%141.86M | -8.94%141.86M | -13.53%144.13M | -15.93%146.07M | -13.96%151.59M | -8.43%155.79M | -8.43%155.79M | 0.86%166.67M | --173.75M |
Prepaid assets | 0.00%23.95M | 9.02%19.29M | 9.02%19.29M | -36.05%19.94M | -31.43%20.06M | -25.55%23.95M | -26.32%17.7M | -26.32%17.7M | 27.27%31.18M | --29.26M |
Other current assets | 108.79%21.02M | 288.30%19.44M | 288.30%19.44M | 533.60%17.22M | 415.28%14.57M | 1,614.82%10.07M | -44.17%5.01M | -44.17%5.01M | 38.06%2.72M | --2.83M |
Total current assets | -16.43%478.76M | -16.36%534.31M | -16.36%534.31M | -24.51%542.45M | -24.39%546.13M | -19.25%572.92M | -16.48%638.82M | -16.48%638.82M | -4.11%718.57M | --722.29M |
Non current assets | ||||||||||
Net PPE | -3.87%88.78M | 3.30%88.69M | 3.30%88.69M | 8.15%90.73M | 3.86%89.8M | 3.85%92.35M | -2.22%85.86M | -2.22%85.86M | -0.28%83.89M | --86.47M |
-Gross PPE | -0.73%178.2M | 0.44%173.35M | 0.44%173.35M | 4.81%176.63M | 3.22%174.5M | 6.43%179.51M | 3.88%172.59M | 3.88%172.59M | 5.88%168.53M | --169.06M |
-Accumulated depreciation | -2.60%-89.43M | 2.39%-84.66M | 2.39%-84.66M | -1.49%-85.9M | -2.54%-84.7M | -9.30%-87.16M | -10.72%-86.72M | -10.72%-86.72M | -12.79%-84.64M | ---82.6M |
Goodwill and other intangible assets | -0.50%377.35M | -12.22%345.36M | -12.22%345.36M | 5.73%365.49M | 2.45%368.4M | 3.20%379.25M | 11.25%393.43M | 11.25%393.43M | 0.06%345.69M | --359.59M |
-Goodwill | 14.38%272.6M | -2.90%234.64M | -2.90%234.64M | 10.05%242.87M | 5.88%237.48M | 6.61%238.32M | 13.17%241.66M | 13.17%241.66M | 8.86%220.68M | --224.29M |
-Other intangible assets | -25.67%104.75M | -27.05%110.72M | -27.05%110.72M | -1.91%122.62M | -3.24%130.92M | -2.09%140.93M | 8.33%151.77M | 8.33%151.77M | -12.45%125.01M | --135.3M |
Other non current assets | 2.42%30.65M | -3.68%31.06M | -3.68%31.06M | 73.84%33.67M | 76.01%34.71M | 38.05%29.93M | 52.77%32.24M | 52.77%32.24M | 2.12%19.37M | --19.72M |
Total non current assets | -0.95%496.78M | -9.08%465.11M | -9.08%465.11M | 9.12%489.89M | 5.83%492.91M | 4.90%501.53M | 10.59%511.53M | 10.59%511.53M | 0.08%448.95M | --465.77M |
Total assets | -9.21%975.54M | -13.12%999.42M | -13.12%999.42M | -11.58%1.03B | -12.54%1.04B | -9.53%1.07B | -6.28%1.15B | -6.28%1.15B | -2.54%1.17B | --1.19B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 2.30%33.29M | -12.43%32.95M | -12.43%32.95M | -57.42%25.37M | -65.16%24.4M | -55.16%32.54M | -52.02%37.62M | -52.02%37.62M | -29.78%59.57M | --70.05M |
-accounts payable | 1.84%30.64M | -9.07%30.55M | -9.07%30.55M | -36.52%23.45M | -52.64%21.63M | -44.88%30.09M | -35.09%33.6M | -35.09%33.6M | -46.95%36.93M | --45.68M |
-Total tax payable | 7.86%2.65M | -40.51%2.39M | -40.51%2.39M | -91.52%1.92M | -88.63%2.77M | -86.35%2.46M | -84.90%4.02M | -84.90%4.02M | 48.73%22.64M | --24.37M |
Current accrued expenses | -25.36%18.71M | 25.31%24.11M | 25.31%24.11M | 35.84%26.51M | 29.04%24.56M | 22.02%25.06M | -15.95%19.24M | -15.95%19.24M | -8.53%19.52M | --19.04M |
Current debt and capital lease obligation | 280.06%10.65M | -72.36%1.75M | -72.36%1.75M | -57.79%2.61M | -62.02%2.38M | -56.35%2.8M | 0.21%6.32M | 0.21%6.32M | 2.41%6.17M | --6.26M |
-Current debt | 280.06%10.65M | -72.36%1.75M | -72.36%1.75M | -57.79%2.61M | -62.02%2.38M | -56.35%2.8M | 0.21%6.32M | 0.21%6.32M | 2.41%6.17M | --6.26M |
Current deferred liabilities | 24.78%9.5M | -23.77%6.35M | -23.77%6.35M | -45.44%6.16M | -58.92%6.12M | -59.64%7.61M | -44.10%8.33M | -44.10%8.33M | -39.71%11.29M | --14.91M |
Current liabilities | 1.02%92.02M | -17.63%85.18M | -17.63%85.18M | -33.84%84.98M | -43.24%78.56M | -37.19%91.1M | -35.71%103.42M | -35.71%103.42M | -24.78%128.44M | --138.4M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -20.96%16.24M | -64.31%16.95M | -64.31%16.95M | -62.63%18.34M | -63.90%19M | -63.14%20.54M | -48.32%47.48M | -48.32%47.48M | -46.73%49.09M | --52.64M |
-Long term debt | -12.03%7.06M | -79.44%7.05M | -79.44%7.05M | -77.51%7.91M | -79.18%7.59M | -78.73%8.02M | -52.79%34.3M | -52.79%34.3M | -51.78%35.19M | --36.46M |
-Long term capital lease obligation | -26.69%9.18M | -24.91%9.89M | -24.91%9.89M | -24.97%10.43M | -29.48%11.41M | -30.51%12.52M | -31.41%13.18M | -31.41%13.18M | -27.54%13.9M | --16.18M |
Non current deferred liabilities | -20.16%18.68M | -16.20%19.4M | -16.20%19.4M | -3.27%21.62M | 1.37%21.86M | 0.68%23.4M | 8.40%23.15M | 8.40%23.15M | -4.36%22.35M | --21.57M |
Non current accrued expenses | -17.76%6.72M | -17.44%6.82M | -17.44%6.82M | 0.31%7.19M | 4.01%7.68M | 9.27%8.17M | 8.43%8.26M | 8.43%8.26M | -6.18%7.17M | --7.38M |
Employee benefits | -19.94%8.47M | -21.49%8.48M | -21.49%8.48M | 35.23%10.73M | 25.06%10.35M | 4.11%10.58M | 4.24%10.8M | 4.24%10.8M | -53.78%7.94M | --8.28M |
Total non current liabilities | -17.94%55.8M | -40.74%57.34M | -40.74%57.34M | -32.32%62.83M | -33.25%64.26M | -34.49%68M | -29.73%96.76M | -29.73%96.76M | -36.13%92.84M | --96.27M |
Total liabilities | -7.08%147.82M | -28.80%142.52M | -28.80%142.52M | -33.20%147.81M | -39.14%142.82M | -36.06%159.09M | -32.95%200.18M | -32.95%200.18M | -30.00%221.28M | --234.67M |
Shareholders'equity | ||||||||||
Share capital | 0.35%49.6M | 0.35%49.6M | 0.35%49.6M | 0.32%49.51M | 0.32%49.51M | 0.30%49.43M | 0.31%49.43M | 0.31%49.43M | 0.33%49.35M | --49.35M |
-common stock | 0.35%49.6M | 0.35%49.6M | 0.35%49.6M | 0.32%49.51M | 0.32%49.51M | 0.30%49.43M | 0.31%49.43M | 0.31%49.43M | 0.33%49.35M | --49.35M |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Retained earnings | -28.29%217.94M | -21.92%248.74M | -21.92%248.74M | -15.75%270.1M | -9.01%288.15M | -0.71%303.92M | 9.70%318.56M | 9.70%318.56M | 19.28%320.59M | --316.67M |
Paid-in capital | 2.35%694.99M | 1.65%697.49M | 1.65%697.49M | 1.57%690.42M | 1.36%685.52M | 1.16%679.01M | -0.16%686.15M | -0.16%686.15M | -0.28%679.73M | --676.31M |
Less: Treasury stock | 23.84%90.06M | 26.88%87.78M | 26.88%87.78M | 55.64%87.89M | 52.77%80.02M | 43.19%72.72M | 19.19%69.18M | 19.19%69.18M | 24.38%56.47M | --52.38M |
Gains losses not affecting retained earnings | -1.06%-44.76M | -47.09%-51.16M | -47.09%-51.16M | 19.93%-37.6M | -28.43%-46.95M | -19.67%-44.29M | 13.08%-34.78M | 13.08%-34.78M | 35.14%-46.97M | ---36.56M |
Total stockholders'equity | -9.57%827.72M | -9.82%856.89M | -9.82%856.89M | -6.52%884.54M | -6.00%896.21M | -2.49%915.36M | 2.30%950.17M | 2.30%950.17M | 7.31%946.24M | --953.39M |
Total equity | -9.57%827.72M | -9.82%856.89M | -9.82%856.89M | -6.52%884.54M | -6.00%896.21M | -2.49%915.36M | 2.30%950.17M | 2.30%950.17M | 7.31%946.24M | --953.39M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |