Inuvo logo
Inuvo INUV
$ 0.24 6.13%

Quarterly report 2024-Q3
added 11-08-2024

report update icon

Inuvo Balance Sheet 2011-2024 | INUV

Annual Balance Sheet Inuvo

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011

Net Debt

-4.3 M -2.57 M -10 M -7.89 K 4.38 M 2.88 M 1.31 M -3.92 M -4.18 M -87.9 K 3.01 M 4.44 M 2.9 M

Long Term Debt

18.2 K 70.6 K 105 K - - 1 M - - - 2.67 M 3.6 M 6.49 M 2.45 M

Long Term Debt Current

123 K 288 K 340 K 218 K 362 K - - - - 960 K 2.55 M 1.33 M 452 K

Total Non Current Liabilities

859 K 212 K 527 K 574 2.47 M 3.53 M 2.76 M 4.06 M 4.52 M 6.95 M 8.42 M 11.5 M 2.75 M

Total Current Liabilities

14.5 M 13.6 M 10.7 M 8.73 M 15.7 M 14.1 M 21.4 M 12 M 13.2 M 10.4 M 11.2 M 13.4 M 9.35 M

Total Liabilities

- - - 1.16 K 18.1 M 17.6 M 24.2 M 16 M 17.8 M 17.3 M 19.6 M 24.9 M 12.1 M

Deferred Revenue

- - - - - - - - - - - - 18.1 K

Retained Earnings

-167 M -157 M -144 M - -131 M -126 M -121 M -118 M -117 M -119 M -121 M -122 M -115 M

Total Assets

32.4 M 35.6 M 44 M 35.2 K 30.7 M 28.7 M 38.2 M 27.6 M 28.7 M 25.6 M 24.9 M 29.1 M 11.1 M

Cash and Cash Equivalents

4.44 M 2.93 M 10.5 M 7.89 M 373 K 229 K 4.08 M 3.95 M 4.26 M 3.71 M 3.14 M 3.38 M 4.41 K

Book Value

32.4 M 35.6 M 44 M 34 K 12.5 M 11 M 14.1 M 11.5 M 11 M 8.27 M 5.34 M 4.21 M -1.01 M

Total Shareholders Equity

17 M 21.7 M 32.8 M 25.3 M 14.5 M 11 M 14.1 M 11.5 M 11 M 8.27 M 5.34 M 4.21 M -1.01 M

All numbers in USD currency

Quarterly Balance Sheet Inuvo

2024-Q3 2024-Q2 2024-Q1 2023-Q4 2023-Q3 2023-Q2 2023-Q1 2022-Q4 2022-Q3 2022-Q2 2022-Q1 2021-Q4 2021-Q3 2021-Q2 2021-Q1 2020-Q4 2020-Q3 2020-Q2 2020-Q1 2019-Q4 2019-Q3 2019-Q2 2019-Q1 2018-Q4 2018-Q3 2018-Q2 2018-Q1 2017-Q4 2017-Q3 2017-Q2 2017-Q1 2016-Q4 2016-Q3 2016-Q2 2016-Q1 2015-Q4 2015-Q3 2015-Q2 2015-Q1 2014-Q4 2014-Q3 2014-Q2 2014-Q1 2013-Q4 2013-Q3 2013-Q2 2013-Q1 2012-Q4 2012-Q3 2012-Q2 2012-Q1 2011-Q4 2011-Q3 2011-Q2 2011-Q1

Long Term Debt

923 5.97 K 12.1 K 18.2 K 24.2 K 33.3 K 50.9 K 70.6 K 39.6 K 53.8 K 77.8 K 105 K 136 K 77.1 K 83.9 K - - 2.16 M 1.5 M 3.38 M 3.38 M 3.38 M 3.38 M 1.86 M 1.86 M 1.86 M 1.86 M 4.9 M 4.9 M 4.9 M 4.9 M - - - - - - 833 K 2.5 M 2.67 M 2.67 M 2.67 M 2.67 M 3.6 M 3.6 M 3.6 M 3.6 M 6.49 M 6.49 M 6.49 M 6.49 M 2.45 M 2.45 M 2.45 M 2.45 M

Total Non Current Liabilities

901 K 972 K 1.04 M 859 K 867 K 154 K 177 K 212 K 217 K 305 K 419 K 527 K 644 K 669 K 736 K 1.16 M 1.16 M 1.16 M 1.16 M 559 K 559 K 559 K 2.47 M 3.53 M 3.53 M 3.53 M 3.53 M 2.76 M 2.76 M 2.76 M 2.76 M 4.06 M 4.06 M 4.06 M 4.06 M 4.52 M 4.52 M 4.52 M 4.52 M 6.95 M 6.95 M 6.95 M 6.95 M 8.42 M 8.42 M 8.42 M 8.42 M 11.5 M 11.5 M 11.5 M 11.5 M 2.75 M 2.75 M 2.75 M 2.75 M

Total Liabilities

- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 9.67 M 10.1 M 13.3 M

Deferred Revenue

- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 4.69 K 17.2 K 18.1 K 18.1 K 18.1 K 18.1 K

Retained Earnings

-173 M -171 M -170 M -167 M -165 M -164 M -160 M -157 M -153 M -149 M -146 M -144 M -143 M -141 M -138 M -136 M -136 M -136 M -136 M -129 M -129 M -129 M -131 M -125 M -126 M -126 M -126 M -121 M -121 M -121 M -121 M -118 M -118 M -118 M -118 M -117 M -117 M -117 M -117 M -119 M -119 M -119 M -119 M -121 M -121 M -121 M -121 M -122 M -122 M -122 M -122 M -115 M -115 M -115 M -115 M

Total Assets

29 M 28.5 M 29.8 M 32.4 M 36.2 M 34.3 M 30.2 M 35.6 M 37.8 M 42.5 M 41 M 44 M 45 M 44.4 M 44.5 M 35.2 M 35.2 M 35.2 M 35.2 M 30.7 M 30.7 M 30.7 M 30.7 M 28.7 M 28.7 M 28.7 M 28.7 M 38.2 M 38.2 M 38.2 M 38.2 M 27.6 M 27.6 M 27.6 M 27.6 M 28.7 M 28.7 M 28.7 M 28.7 M 25.6 M 25.6 M 25.6 M 25.6 M 24.9 M 24.9 M 24.9 M 24.9 M 29.1 M 29.1 M 29.1 M 29.1 M 11.1 M 11.1 M 11.1 M 11.1 M

Cash and Cash Equivalents

2.59 M 2.01 M 2 M 4.44 M 6.98 M 5.05 M 1.97 M 2.93 M 5.78 M 6.37 M 5.74 M 10.5 M 11.7 M 17.3 M 17.8 M 7.89 M 7.89 M 7.89 M 471 K 373 K 714 K 995 K 373 K 229 K 4.19 M 4.12 M 4.15 M 4.08 M 4.08 M 4.08 M 4.08 M 3.95 M 3.95 M 3.95 M 3.95 M 4.26 M 4.26 M 4.26 M 4.26 M 3.71 M 3.71 M 3.71 M 3.71 M 3.14 M 3.14 M 3.14 M 3.14 M 3.38 M 3.2 M 3.28 M 3.49 M 4.41 K 4.41 K 4.41 K 4.41 K

Book Value

- - - - - - - 35.6 M 37.8 M 42.5 M 41 M 44 M 45 M 44.4 M 44.5 M 35.2 M 35.2 M 35.2 M 35.2 M 30.7 M 30.7 M 30.7 M 30.7 M 28.7 M 28.7 M 28.7 M 28.7 M 38.2 M 38.2 M 38.2 M 38.2 M 27.6 M 27.6 M 27.6 M 27.6 M 28.7 M 28.7 M 28.7 M 28.7 M 25.6 M 25.6 M 25.6 M 25.6 M 24.9 M 24.9 M 24.9 M 24.9 M 29.1 M 29.1 M 29.1 M 29.1 M 11.1 M 1.43 M 992 K -2.23 M

Total Shareholders Equity

12.4 M 13.5 M 15.1 M 17 M 18.9 M 19.5 M 18.6 M 21.7 M 25.2 M 28.5 M 31.2 M 32.8 M 33.4 M 34.7 M 36.5 M 25.3 M 25.3 M 25.3 M 25.3 M 14.5 M 14.5 M 14.5 M 12.5 M 12.9 M 11 M 11 M 11 M 14.1 M 14.1 M 14.1 M 14.1 M 11.5 M 11.5 M 11.5 M 11.5 M 11 M 11 M 11 M 11 M 8.27 M 8.27 M 8.27 M 8.27 M 5.34 M 5.34 M 5.34 M 5.34 M 4.21 M 4.21 M 4.21 M 4.21 M -1.01 M -1.01 M -1.01 M -1.01 M

All numbers in USD currency