US Stock MarketDetailed Quotes

VLCN Volcon

Watchlist
  • 0.7910
  • +0.0009+0.11%
Close May 2 16:00 ET
  • 0.7890
  • -0.0020-0.25%
Post 20:01 ET
3.05MMarket Cap-0.01P/E (TTM)

Volcon Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
-72.52%2.19M
-72.52%2.19M
139.41%5.81M
-74.24%2.05M
-15.40%3.57M
-27.34%7.98M
-27.34%7.98M
-87.87%2.43M
68.78%7.97M
-69.85%4.22M
-Cash and cash equivalents
-72.52%2.19M
-72.52%2.19M
139.41%5.81M
-74.24%2.05M
-15.40%3.57M
-27.34%7.98M
-27.34%7.98M
-87.87%2.43M
68.78%7.97M
-69.85%4.22M
Receivables
-56.59%88.25K
-56.59%88.25K
68.09%347.01K
29.21%301.85K
-59.88%284.95K
-76.50%203.3K
-76.50%203.3K
-86.83%206.45K
-79.13%233.6K
557.77%710.27K
-Accounts receivable
-56.59%88.25K
-56.59%88.25K
68.09%347.01K
29.21%301.85K
-59.88%284.95K
-76.50%203.3K
-76.50%203.3K
-86.83%206.45K
-79.13%233.6K
557.77%710.27K
Inventory
-83.78%1.46M
-83.78%1.46M
-78.31%1.53M
104.24%9.59M
46.13%8.94M
58.93%8.97M
58.93%8.97M
248.75%7.05M
85.28%4.69M
64.16%6.12M
Prepaid assets
-26.00%191.16K
-26.00%191.16K
3.01%418.99K
-55.35%1.02M
-37.48%754.16K
-39.60%258.32K
-39.60%258.32K
-55.77%406.74K
145.65%2.28M
-24.02%1.21M
Restricted cash
-50.00%105K
-50.00%105K
-80.95%105K
-80.95%105K
-80.95%105K
-61.90%210K
-61.90%210K
0.00%551.25K
133.33%551.25K
--551.25K
Other current assets
-45.77%1.03M
-45.77%1.03M
-83.16%472.84K
-65.66%963.25K
-23.08%1.41M
2.89%1.9M
2.89%1.9M
249.40%2.81M
112.74%2.8M
4.54%1.83M
Total current assets
-74.06%5.07M
-74.06%5.07M
-35.45%8.68M
-24.30%14.02M
2.92%15.07M
-3.91%19.53M
-3.91%19.53M
-47.99%13.45M
70.68%18.53M
-30.86%14.64M
Non current assets
Net PPE
-60.52%945.37K
-60.52%945.37K
-54.86%1.13M
-29.73%1.57M
-8.60%2.11M
13.62%2.39M
13.62%2.39M
13.19%2.5M
27.80%2.23M
-25.87%2.31M
-Gross PPE
-45.65%1.49M
-45.65%1.49M
-48.82%1.59M
-28.89%1.97M
-10.90%2.49M
5.05%2.75M
5.05%2.75M
21.08%3.1M
26.79%2.77M
-17.64%2.8M
-Accumulated depreciation
-55.99%-546.58K
-55.99%-546.58K
23.94%-460.48K
25.46%-402.31K
21.80%-380.36K
30.68%-350.4K
30.68%-350.4K
-69.81%-605.43K
-22.78%-539.7K
-74.38%-486.37K
Goodwill and other intangible assets
--15.7K
--15.7K
----
----
----
--0
--0
-80.00%1.45K
-66.67%2.91K
-57.14%4.36K
-Other intangible assets
--15.7K
--15.7K
----
----
----
----
----
----
----
----
Other non current assets
0.00%199.28K
0.00%199.28K
0.00%199.28K
-30.09%199.28K
-30.09%199.28K
-30.09%199.28K
-30.09%199.28K
-32.33%199.28K
3.72%285.04K
-61.60%285.04K
Total non current assets
-55.27%1.16M
-55.27%1.16M
-50.83%1.33M
-29.85%1.77M
-11.11%2.31M
8.15%2.59M
8.15%2.59M
7.57%2.7M
24.13%2.52M
-32.80%2.6M
Total assets
-71.86%6.23M
-71.86%6.23M
-38.02%10.01M
-24.96%15.79M
0.80%17.38M
-2.64%22.13M
-2.64%22.13M
-43.09%16.15M
63.35%21.04M
-31.16%17.24M
Liabilities
Current liabilities
Payables
-53.64%385.33K
-53.64%385.33K
-92.64%255.56K
46.85%962.39K
-41.75%324.7K
-19.82%831.18K
-19.82%831.18K
630.50%3.47M
-51.74%655.38K
-62.57%557.41K
-accounts payable
-53.64%385.33K
-53.64%385.33K
-92.64%255.56K
46.85%962.39K
-41.75%324.7K
-19.82%831.18K
-19.82%831.18K
630.50%3.47M
-51.74%655.38K
-62.57%557.41K
Current accrued expenses
-55.92%1.38M
-55.92%1.38M
-16.08%1.52M
19.97%1.74M
114.80%3.41M
50.88%3.13M
50.88%3.13M
-30.13%1.81M
-43.01%1.45M
-42.48%1.59M
Current debt and capital lease obligation
-98.52%451.13K
-98.52%451.13K
-98.54%439.04K
-93.64%1.84M
-97.87%416.82K
72.06%30.56M
72.06%30.56M
86.84%30.15M
8,990.86%29.01M
3,152.03%19.55M
-Current debt
-99.98%7.18K
-99.98%7.18K
-99.98%6.98K
-95.02%1.42M
-99.97%6.59K
73.64%30.16M
73.64%30.16M
88.67%29.72M
159,462.91%28.59M
112,774.15%19.14M
-Current capital lease obligation
11.10%443.95K
11.10%443.95K
1.94%432.06K
2.15%421.03K
2.16%410.22K
2.17%399.61K
2.17%399.61K
11.28%423.85K
36.86%412.16K
-31.25%401.55K
Current deferred liabilities
-48.14%216.52K
-48.14%216.52K
-47.10%106.32K
-46.81%169.78K
4,593.64%147.57K
1,678.73%417.49K
1,678.73%417.49K
242.13%201.01K
14,272.35%319.21K
-99.70%3.14K
Other current liabilities
-63.08%2.2M
-63.08%2.2M
247.86%1.87M
-84.85%1.9M
--8.59M
597,106,800.00%5.97M
597,106,800.00%5.97M
--537.25K
--12.58M
----
Current liabilities
-88.67%4.64M
-88.67%4.64M
-88.42%4.19M
-84.96%6.62M
-40.59%12.89M
95.78%40.91M
95.78%40.91M
87.79%36.17M
943.21%44M
266.89%21.7M
Non current liabilities
Long term debt and capital lease obligation
-57.39%359.76K
-57.39%359.76K
-47.93%478.12K
-42.25%591.98K
-37.69%702.66K
-29.24%844.31K
-29.24%844.31K
-28.97%918.22K
79.96%1.03M
-36.01%1.13M
-Long term debt
-58.73%28.53K
-58.73%28.53K
-58.41%30.41K
-58.36%32.23K
-58.12%34K
37.96%69.14K
37.96%69.14K
33.08%73.1K
29.78%77.4K
26.32%81.17K
-Long term capital lease obligation
-57.27%331.22K
-57.27%331.22K
-47.02%447.72K
-40.93%559.75K
-36.11%668.67K
-32.18%775.17K
-32.18%775.17K
-31.72%845.12K
85.83%947.6K
-38.37%1.05M
Other non current liabilities
--1.19M
--1.19M
--282.23K
--683.49K
----
----
----
----
----
----
Total non current liabilities
83.46%1.55M
83.46%1.55M
-17.19%760.35K
24.44%1.28M
-37.69%702.66K
-29.24%844.31K
-29.24%844.31K
-28.97%918.22K
79.96%1.03M
-36.01%1.13M
Total liabilities
-85.19%6.19M
-85.19%6.19M
-86.66%4.95M
-82.47%7.89M
-40.44%13.59M
89.03%41.76M
89.03%41.76M
80.45%37.09M
840.52%45.03M
197.35%22.82M
Shareholders'equity
Share capital
--7
--7
-90.48%6
-93.85%16
-6.50%187
--0
--0
-68.18%63
31.98%260
2.56%200
-common stock
--7
--7
-90.48%6
-93.85%16
-6.50%187
--0
--0
-68.18%63
31.98%260
2.56%200
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-37.67%-166.32M
-37.67%-166.32M
-37.23%-161.1M
-39.03%-147.46M
-76.86%-146.85M
-59.51%-120.81M
-59.51%-120.81M
-72.79%-117.39M
-76.66%-106.06M
-65.70%-83.03M
Paid-in capital
64.43%166.36M
64.43%166.36M
72.27%166.16M
89.29%155.36M
94.50%150.64M
32.48%101.18M
32.48%101.18M
27.32%96.45M
20.47%82.08M
14.77%77.45M
Total stockholders'equity
100.21%40.76K
100.21%40.76K
124.16%5.06M
132.92%7.9M
167.85%3.79M
-3,191.44%-19.63M
-3,191.44%-19.63M
-367.93%-20.94M
-396.33%-23.99M
-132.13%-5.58M
Total equity
100.21%40.76K
100.21%40.76K
124.16%5.06M
132.92%7.9M
167.85%3.79M
-3,191.44%-19.63M
-3,191.44%-19.63M
-367.93%-20.94M
-396.33%-23.99M
-132.13%-5.58M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
--
--
(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 -72.52%2.19M-72.52%2.19M139.41%5.81M-74.24%2.05M-15.40%3.57M-27.34%7.98M-27.34%7.98M-87.87%2.43M68.78%7.97M-69.85%4.22M
-Cash and cash equivalents -72.52%2.19M-72.52%2.19M139.41%5.81M-74.24%2.05M-15.40%3.57M-27.34%7.98M-27.34%7.98M-87.87%2.43M68.78%7.97M-69.85%4.22M
Receivables -56.59%88.25K-56.59%88.25K68.09%347.01K29.21%301.85K-59.88%284.95K-76.50%203.3K-76.50%203.3K-86.83%206.45K-79.13%233.6K557.77%710.27K
-Accounts receivable -56.59%88.25K-56.59%88.25K68.09%347.01K29.21%301.85K-59.88%284.95K-76.50%203.3K-76.50%203.3K-86.83%206.45K-79.13%233.6K557.77%710.27K
Inventory -83.78%1.46M-83.78%1.46M-78.31%1.53M104.24%9.59M46.13%8.94M58.93%8.97M58.93%8.97M248.75%7.05M85.28%4.69M64.16%6.12M
Prepaid assets -26.00%191.16K-26.00%191.16K3.01%418.99K-55.35%1.02M-37.48%754.16K-39.60%258.32K-39.60%258.32K-55.77%406.74K145.65%2.28M-24.02%1.21M
Restricted cash -50.00%105K-50.00%105K-80.95%105K-80.95%105K-80.95%105K-61.90%210K-61.90%210K0.00%551.25K133.33%551.25K--551.25K
Other current assets -45.77%1.03M-45.77%1.03M-83.16%472.84K-65.66%963.25K-23.08%1.41M2.89%1.9M2.89%1.9M249.40%2.81M112.74%2.8M4.54%1.83M
Total current assets -74.06%5.07M-74.06%5.07M-35.45%8.68M-24.30%14.02M2.92%15.07M-3.91%19.53M-3.91%19.53M-47.99%13.45M70.68%18.53M-30.86%14.64M
Non current assets
Net PPE -60.52%945.37K-60.52%945.37K-54.86%1.13M-29.73%1.57M-8.60%2.11M13.62%2.39M13.62%2.39M13.19%2.5M27.80%2.23M-25.87%2.31M
-Gross PPE -45.65%1.49M-45.65%1.49M-48.82%1.59M-28.89%1.97M-10.90%2.49M5.05%2.75M5.05%2.75M21.08%3.1M26.79%2.77M-17.64%2.8M
-Accumulated depreciation -55.99%-546.58K-55.99%-546.58K23.94%-460.48K25.46%-402.31K21.80%-380.36K30.68%-350.4K30.68%-350.4K-69.81%-605.43K-22.78%-539.7K-74.38%-486.37K
Goodwill and other intangible assets --15.7K--15.7K--------------0--0-80.00%1.45K-66.67%2.91K-57.14%4.36K
-Other intangible assets --15.7K--15.7K--------------------------------
Other non current assets 0.00%199.28K0.00%199.28K0.00%199.28K-30.09%199.28K-30.09%199.28K-30.09%199.28K-30.09%199.28K-32.33%199.28K3.72%285.04K-61.60%285.04K
Total non current assets -55.27%1.16M-55.27%1.16M-50.83%1.33M-29.85%1.77M-11.11%2.31M8.15%2.59M8.15%2.59M7.57%2.7M24.13%2.52M-32.80%2.6M
Total assets -71.86%6.23M-71.86%6.23M-38.02%10.01M-24.96%15.79M0.80%17.38M-2.64%22.13M-2.64%22.13M-43.09%16.15M63.35%21.04M-31.16%17.24M
Liabilities
Current liabilities
Payables -53.64%385.33K-53.64%385.33K-92.64%255.56K46.85%962.39K-41.75%324.7K-19.82%831.18K-19.82%831.18K630.50%3.47M-51.74%655.38K-62.57%557.41K
-accounts payable -53.64%385.33K-53.64%385.33K-92.64%255.56K46.85%962.39K-41.75%324.7K-19.82%831.18K-19.82%831.18K630.50%3.47M-51.74%655.38K-62.57%557.41K
Current accrued expenses -55.92%1.38M-55.92%1.38M-16.08%1.52M19.97%1.74M114.80%3.41M50.88%3.13M50.88%3.13M-30.13%1.81M-43.01%1.45M-42.48%1.59M
Current debt and capital lease obligation -98.52%451.13K-98.52%451.13K-98.54%439.04K-93.64%1.84M-97.87%416.82K72.06%30.56M72.06%30.56M86.84%30.15M8,990.86%29.01M3,152.03%19.55M
-Current debt -99.98%7.18K-99.98%7.18K-99.98%6.98K-95.02%1.42M-99.97%6.59K73.64%30.16M73.64%30.16M88.67%29.72M159,462.91%28.59M112,774.15%19.14M
-Current capital lease obligation 11.10%443.95K11.10%443.95K1.94%432.06K2.15%421.03K2.16%410.22K2.17%399.61K2.17%399.61K11.28%423.85K36.86%412.16K-31.25%401.55K
Current deferred liabilities -48.14%216.52K-48.14%216.52K-47.10%106.32K-46.81%169.78K4,593.64%147.57K1,678.73%417.49K1,678.73%417.49K242.13%201.01K14,272.35%319.21K-99.70%3.14K
Other current liabilities -63.08%2.2M-63.08%2.2M247.86%1.87M-84.85%1.9M--8.59M597,106,800.00%5.97M597,106,800.00%5.97M--537.25K--12.58M----
Current liabilities -88.67%4.64M-88.67%4.64M-88.42%4.19M-84.96%6.62M-40.59%12.89M95.78%40.91M95.78%40.91M87.79%36.17M943.21%44M266.89%21.7M
Non current liabilities
Long term debt and capital lease obligation -57.39%359.76K-57.39%359.76K-47.93%478.12K-42.25%591.98K-37.69%702.66K-29.24%844.31K-29.24%844.31K-28.97%918.22K79.96%1.03M-36.01%1.13M
-Long term debt -58.73%28.53K-58.73%28.53K-58.41%30.41K-58.36%32.23K-58.12%34K37.96%69.14K37.96%69.14K33.08%73.1K29.78%77.4K26.32%81.17K
-Long term capital lease obligation -57.27%331.22K-57.27%331.22K-47.02%447.72K-40.93%559.75K-36.11%668.67K-32.18%775.17K-32.18%775.17K-31.72%845.12K85.83%947.6K-38.37%1.05M
Other non current liabilities --1.19M--1.19M--282.23K--683.49K------------------------
Total non current liabilities 83.46%1.55M83.46%1.55M-17.19%760.35K24.44%1.28M-37.69%702.66K-29.24%844.31K-29.24%844.31K-28.97%918.22K79.96%1.03M-36.01%1.13M
Total liabilities -85.19%6.19M-85.19%6.19M-86.66%4.95M-82.47%7.89M-40.44%13.59M89.03%41.76M89.03%41.76M80.45%37.09M840.52%45.03M197.35%22.82M
Shareholders'equity
Share capital --7--7-90.48%6-93.85%16-6.50%187--0--0-68.18%6331.98%2602.56%200
-common stock --7--7-90.48%6-93.85%16-6.50%187--0--0-68.18%6331.98%2602.56%200
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -37.67%-166.32M-37.67%-166.32M-37.23%-161.1M-39.03%-147.46M-76.86%-146.85M-59.51%-120.81M-59.51%-120.81M-72.79%-117.39M-76.66%-106.06M-65.70%-83.03M
Paid-in capital 64.43%166.36M64.43%166.36M72.27%166.16M89.29%155.36M94.50%150.64M32.48%101.18M32.48%101.18M27.32%96.45M20.47%82.08M14.77%77.45M
Total stockholders'equity 100.21%40.76K100.21%40.76K124.16%5.06M132.92%7.9M167.85%3.79M-3,191.44%-19.63M-3,191.44%-19.63M-367.93%-20.94M-396.33%-23.99M-132.13%-5.58M
Total equity 100.21%40.76K100.21%40.76K124.16%5.06M132.92%7.9M167.85%3.79M-3,191.44%-19.63M-3,191.44%-19.63M-367.93%-20.94M-396.33%-23.99M-132.13%-5.58M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--------

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