Edible Garden AG Inc (EDBL)

Stammdaten

Edible Garden AG Incorporated, together with its subsidiaries, operate as a controlled environment agriculture farming company. It offers various packaged products, including cilantro, rosemary, mint, thyme, oregano, bay leaves, chives, poultry mix, sage, dill, buttercrunch living lettuce, basil, living butterhead lettuce, basil, parsley, arugula spring mix, baby arugula blend, baby romaine, and crisp ranch and Caesar salad kits. The company sells its products to various regional and national supermarkets. Edible Garden AG Incorporated was founded in 2020 and is based in Belvidere, New Jersey.

Unternehmen & Branche

NameEdible Garden AG Inc
TickerEDBL
CIK0001809750
BoerseUS
SektorConsumer Defensive
IndustrieAgricultural Farm Products

Wertpapier & Kennzahlen

CUSIP28059P105
ISINUS28059P1057
TypCommon Stock
Marktkapitalisierung135.268 USD
Beta2,41
Dividendenrendite0,00 %

Externe Quellen: SEC EDGAR » · FMP-Profil » · Yahoo Finance »

Finanzkennzahlen (SEC XBRL)

PeriodeFilingUmsatzNettoergebnisEPSAktivaEigenkapital
2025-12-3110-K12,810,000-17,332,000-117.6420,596,00012,497,000
2025-09-3010-Q2,817,000-4,045,0001.3820,132,00012,923,000
2025-06-3010-Q3,146,000-6.5821,814,0001,592,000
2025-03-3110-Q2,718,000-3,324,000-2.478,535,0001,918,000
2024-12-3110-K13,857,000-11,051,000-685.6211,915,0004,094,000
2024-09-3010-Q2,584,000-2,063,00016.328,863,0003,258,000
2024-06-3010-Q4,268,000-1,932,000-30.029,883,000511,000
2024-03-3110-Q3,132,000-3,977,000-341.146,347,000-4,088,000
2023-12-3110-K14,049,000-10,188,000-###.##6,656,000-288,000
2023-09-3010-Q3,289,000-2,431,00010,071,0003,950,000
2023-06-3010-Q4,221,000-638,0009,793,0003,660,000
2023-03-3110-Q2,455,000-2,879,00011,276,0004,295,000
2022-12-3110-K11,552,000-12,453,0006,965,000-2,180,000
2022-09-3010-Q2,754,000-2,069,0008,648,000-380,000
2022-06-3010-Q2,985,000-4,776,0009,418,0001,548,000
2022-03-3110-Q2,737,000-2,606,0003,908,000-9,212,000
2021-12-3110-K10,507,000-5,538,0003,990,000-7,107,000
2021-09-3010-Q2,447,000-1,103,000-5,524,000
2021-06-3010-Q2,777,000-1,152,000-4,421,000
2021-03-3110-Q2,483,000-1,195,000-3,270,000

Fondsaktivität (Vorquartalsvergleich)

FondsAktuell (Stk)Vorquartal (Stk)Veränderung (Stk)Wert (USD)StatusΔTrend
Cetera Investment Advisers96,150096,15058,469Neu+100,0%
VANGUARD GROUP INC34,170034,17020,776Neu+100,0%
BARD ASSOCIATES INC142,0250142,02514,033Neu+100,0%
Hudson Bay Capital Management LP100,0000100,0009,880Neu+100,0%
UBS Group AG11,422011,4226,945Neu+100,0%
Tower Research Capital LLC (TRC)4,20904,2092,559Neu+100,0%
Clear Street Group Inc.16,507016,5071,631Neu+100,0%
MassMutual Private Wealth & Trust, FSB1,50001,500912Neu+100,0%
SBI Securities Co., Ltd.8270827503Neu+100,0%
BANK OF AMERICA CORP /DE/2502516Neu+100,0%
Virtu Financial LLC15,753015,75310Neu+100,0%
HRT FINANCIAL LP12,879012,8797Neu+100,0%
CWM, LLC65006500Neu+100,0%
Coston, McIsaac & Partners1,28101,2810Neu+100,0%

Insider-Transaktionen (12 Monate)

Keine Insider-Käufe/Verkäufe in den letzten 12 Monaten.

Top-Fondshalter

Hinweis: Keine aktuelleren Daten zu dieser Aktie verfuegbar. Stand der gezeigten 13F-Holdings: 31.12.2025. Letztes global veroeffentlichtes 13F-Quartal: 31.03.2026.

FondsAnteileWert (USD)Anteil (%)
Cetera Investment Advisers96,15058,46950.52
VANGUARD GROUP INC34,17020,77617.95
BARD ASSOCIATES INC142,02514,03312.12
Hudson Bay Capital Management LP100,0009,8808.54
UBS Group AG11,4226,9456.00
Tower Research Capital LLC (TRC)4,2092,5592.21
Clear Street Group Inc.16,5071,6311.41
MassMutual Private Wealth & Trust, FSB1,5009120.79
SBI Securities Co., Ltd.8275030.43
BANK OF AMERICA CORP /DE/25160.01
Virtu Financial LLC15,753100.01
HRT FINANCIAL LP12,87970.01
CWM, LLC65000.00
Coston, McIsaac & Partners1,28100.00

Hinweis

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