US Stock MarketDetailed Quotes

ABQQ AB INTL GROUP CORP

Watchlist
  • 0.000200
  • -0.000050-20.00%
15min DelayClose Feb 28 16:00 ET
456.25KMarket Cap0.00P/E (TTM)

AB INTL GROUP CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Nov 30, 2024
(FY)Aug 31, 2024
(Q4)Aug 31, 2024
(Q3)May 31, 2024
(Q2)Feb 29, 2024
(Q1)Nov 30, 2023
(FY)Aug 31, 2023
(Q4)Aug 31, 2023
(Q3)May 31, 2023
(Q2)Feb 28, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
2.16%266.73K
-44.98%64.43K
-44.98%64.43K
22.68%165.43K
-79.71%33.67K
1,189.96%261.09K
39.03%117.1K
39.03%117.1K
-63.73%134.85K
26.00%165.88K
-Cash and cash equivalents
2.16%266.73K
-44.98%64.43K
-44.98%64.43K
22.68%165.43K
-79.71%33.67K
1,189.96%261.09K
39.03%117.1K
39.03%117.1K
-63.73%134.85K
26.00%165.88K
Receivables
296.86%226.21K
--624.57K
--624.57K
-17.83%254.72K
----
-51.90%57K
--0
--0
3,717.73%310K
-84.26%360K
-Accounts receivable
296.86%226.21K
--624.57K
--624.57K
-17.83%254.72K
----
-5.00%57K
--0
--0
3,717.73%310K
--60K
-Other receivables
----
----
----
----
----
----
----
----
----
-86.89%300K
Prepaid assets
----
----
----
----
216.46%30K
----
----
----
1.59%2.37K
-61.27%9.48K
Total current assets
54.97%492.94K
488.41%689K
488.41%689K
-6.05%420.15K
-88.11%63.67K
114.60%318.09K
20.40%117.1K
20.40%117.1K
17.01%447.22K
-78.09%535.36K
Non current assets
Net PPE
-31.46%447.7K
-29.20%498.88K
-29.20%498.88K
-32.56%550.04K
-31.85%601.66K
-31.23%653.18K
-30.69%704.63K
-30.69%704.63K
-24.72%815.57K
-14.76%882.82K
-Gross PPE
-24.71%616.08K
-23.24%666.78K
-23.24%666.78K
-26.68%717.39K
-26.49%767.9K
-26.32%818.31K
-26.15%868.66K
-26.15%868.66K
-38.97%978.49K
-29.21%1.04M
-Accumulated depreciation
-1.97%-168.38K
-2.36%-167.9K
-2.36%-167.9K
-2.72%-167.35K
-2.74%-166.24K
-2.76%-165.13K
-2.78%-164.02K
-2.78%-164.02K
68.67%-162.92K
63.22%-161.81K
Goodwill and other intangible assets
-24.57%1.24M
-74.51%370.92K
-74.51%370.92K
-64.23%709.41K
-60.41%1.08M
-59.02%1.64M
-68.91%1.46M
-68.91%1.46M
-62.65%1.98M
-26.77%2.72M
-Other intangible assets
-24.57%1.24M
-74.51%370.92K
-74.51%370.92K
-64.23%709.41K
-60.41%1.08M
-59.02%1.64M
-68.91%1.46M
-68.91%1.46M
-62.65%1.98M
-26.77%2.72M
Non current prepaid assets
-1.67%45.24K
128.93%790.36K
128.93%790.36K
68.01%76.01K
1.69%46.01K
1.69%46.01K
663.13%345.24K
663.13%345.24K
--45.24K
--45.24K
Total non current assets
-26.04%1.73M
-33.73%1.66M
-33.73%1.66M
-53.05%1.34M
-52.74%1.73M
-53.19%2.34M
-56.37%2.5M
-56.37%2.5M
-55.82%2.84M
-23.93%3.65M
Total assets
-16.34%2.22M
-10.41%2.35M
-10.41%2.35M
-46.66%1.76M
-57.26%1.79M
-48.35%2.66M
-55.10%2.62M
-55.10%2.62M
-51.74%3.29M
-42.20%4.19M
Liabilities
Current liabilities
Payables
----
-81.03%30.95K
-81.03%30.95K
-84.10%130.66K
-85.35%152.36K
-64.14%341.74K
-47.19%163.15K
-47.19%163.15K
-42.01%821.83K
-1.23%1.04M
-accounts payable
----
-81.03%30.95K
-81.03%30.95K
-2.27%124.27K
10.69%145.97K
-39.46%341.74K
-44.47%163.15K
-44.47%163.15K
-61.92%127.15K
-10.56%131.88K
-Due to related parties current
----
----
----
-99.08%6.39K
-99.30%6.39K
----
----
----
-35.34%694.68K
1.23%908.32K
Current debt and capital lease obligation
-47.90%403.23K
-54.11%440.44K
-54.11%440.44K
111.34%532.34K
137.10%563.62K
235.61%773.98K
58.07%959.79K
58.07%959.79K
9.99%251.88K
33.96%237.71K
-Current debt
-71.59%154.36K
-74.18%193.17K
-74.18%193.17K
--286.68K
--319.55K
--543.27K
98.27%748.29K
98.27%748.29K
----
----
-Current capital lease obligation
7.87%248.87K
16.91%247.27K
16.91%247.27K
-2.47%245.67K
2.67%244.07K
0.04%230.71K
-7.97%211.51K
-7.97%211.51K
9.99%251.88K
33.96%237.71K
Current deferred liabilities
--57K
--57K
--57K
-30.39%25.6K
102.87%82.6K
----
--0
--0
--36.78K
--40.72K
Current liabilities
-54.12%511.84K
-52.95%528.39K
-52.95%528.39K
-37.99%688.6K
-39.44%798.58K
-8.68%1.12M
17.69%1.12M
17.69%1.12M
-32.55%1.11M
7.15%1.32M
Non current liabilities
Long term debt and capital lease obligation
-45.48%298.31K
-40.66%360.88K
-40.66%360.88K
-36.72%423.35K
-34.43%485.72K
-32.04%547.18K
-29.54%608.15K
-29.54%608.15K
-27.35%669.02K
-17.97%740.74K
-Long term capital lease obligation
-45.48%298.31K
-40.66%360.88K
-40.66%360.88K
-36.72%423.35K
-34.43%485.72K
-32.04%547.18K
-29.54%608.15K
-29.54%608.15K
-27.35%669.02K
-17.97%740.74K
Total non current liabilities
-45.48%298.31K
-40.66%360.88K
-40.66%360.88K
-36.72%423.35K
-34.43%485.72K
-32.04%547.18K
-29.54%608.15K
-29.54%608.15K
-27.35%669.02K
-17.97%740.74K
Total liabilities
-51.28%810.15K
-48.63%889.27K
-48.63%889.27K
-37.51%1.11M
-37.64%1.28M
-17.96%1.66M
-4.74%1.73M
-4.74%1.73M
-30.68%1.78M
-3.48%2.06M
Shareholders'equity
Share capital
-11.13%2.28M
77.46%2.28M
77.46%2.28M
98.54%2.33M
164.62%2.33M
288.95%2.57M
233.94%1.29M
233.94%1.29M
257.84%1.17M
198.03%881.27K
-common stock
-11.13%2.28M
77.49%2.28M
77.49%2.28M
98.59%2.33M
164.72%2.33M
289.20%2.57M
234.26%1.29M
234.26%1.29M
258.19%1.17M
198.45%880.91K
-Preferred stock
-16.67%100
-66.10%100
-66.10%100
-67.11%100
-72.90%100
-73.33%120
-35.31%295
-35.31%295
-24.75%304
-31.92%369
Retained earnings
3.63%-11.9M
4.38%-11.85M
4.38%-11.85M
-8.45%-12.71M
-16.00%-12.84M
-23.45%-12.34M
-40.93%-12.39M
-40.93%-12.39M
-40.04%-11.72M
-54.11%-11.07M
Paid-in capital
2.37%11.03M
-8.08%11.02M
-8.08%11.02M
-8.77%11.02M
-10.95%11.01M
-14.40%10.77M
-5.09%11.99M
-5.09%11.99M
-4.12%12.08M
-0.26%12.37M
Other equity interest
----
----
----
----
----
----
----
----
92.13%-23.99K
87.15%-51.59K
Total stockholders'equity
42.15%1.41M
63.85%1.46M
63.85%1.46M
-57.43%643.66K
-76.25%505.45K
-68.12%993.47K
-77.85%890.99K
-77.85%890.99K
-64.45%1.51M
-58.36%2.13M
Total equity
42.15%1.41M
63.85%1.46M
63.85%1.46M
-57.43%643.66K
-76.25%505.45K
-68.12%993.47K
-77.85%890.99K
-77.85%890.99K
-64.45%1.51M
-58.36%2.13M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Nov 30, 2024(FY)Aug 31, 2024(Q4)Aug 31, 2024(Q3)May 31, 2024(Q2)Feb 29, 2024(Q1)Nov 30, 2023(FY)Aug 31, 2023(Q4)Aug 31, 2023(Q3)May 31, 2023(Q2)Feb 28, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 2.16%266.73K-44.98%64.43K-44.98%64.43K22.68%165.43K-79.71%33.67K1,189.96%261.09K39.03%117.1K39.03%117.1K-63.73%134.85K26.00%165.88K
-Cash and cash equivalents 2.16%266.73K-44.98%64.43K-44.98%64.43K22.68%165.43K-79.71%33.67K1,189.96%261.09K39.03%117.1K39.03%117.1K-63.73%134.85K26.00%165.88K
Receivables 296.86%226.21K--624.57K--624.57K-17.83%254.72K-----51.90%57K--0--03,717.73%310K-84.26%360K
-Accounts receivable 296.86%226.21K--624.57K--624.57K-17.83%254.72K-----5.00%57K--0--03,717.73%310K--60K
-Other receivables -------------------------------------86.89%300K
Prepaid assets ----------------216.46%30K------------1.59%2.37K-61.27%9.48K
Total current assets 54.97%492.94K488.41%689K488.41%689K-6.05%420.15K-88.11%63.67K114.60%318.09K20.40%117.1K20.40%117.1K17.01%447.22K-78.09%535.36K
Non current assets
Net PPE -31.46%447.7K-29.20%498.88K-29.20%498.88K-32.56%550.04K-31.85%601.66K-31.23%653.18K-30.69%704.63K-30.69%704.63K-24.72%815.57K-14.76%882.82K
-Gross PPE -24.71%616.08K-23.24%666.78K-23.24%666.78K-26.68%717.39K-26.49%767.9K-26.32%818.31K-26.15%868.66K-26.15%868.66K-38.97%978.49K-29.21%1.04M
-Accumulated depreciation -1.97%-168.38K-2.36%-167.9K-2.36%-167.9K-2.72%-167.35K-2.74%-166.24K-2.76%-165.13K-2.78%-164.02K-2.78%-164.02K68.67%-162.92K63.22%-161.81K
Goodwill and other intangible assets -24.57%1.24M-74.51%370.92K-74.51%370.92K-64.23%709.41K-60.41%1.08M-59.02%1.64M-68.91%1.46M-68.91%1.46M-62.65%1.98M-26.77%2.72M
-Other intangible assets -24.57%1.24M-74.51%370.92K-74.51%370.92K-64.23%709.41K-60.41%1.08M-59.02%1.64M-68.91%1.46M-68.91%1.46M-62.65%1.98M-26.77%2.72M
Non current prepaid assets -1.67%45.24K128.93%790.36K128.93%790.36K68.01%76.01K1.69%46.01K1.69%46.01K663.13%345.24K663.13%345.24K--45.24K--45.24K
Total non current assets -26.04%1.73M-33.73%1.66M-33.73%1.66M-53.05%1.34M-52.74%1.73M-53.19%2.34M-56.37%2.5M-56.37%2.5M-55.82%2.84M-23.93%3.65M
Total assets -16.34%2.22M-10.41%2.35M-10.41%2.35M-46.66%1.76M-57.26%1.79M-48.35%2.66M-55.10%2.62M-55.10%2.62M-51.74%3.29M-42.20%4.19M
Liabilities
Current liabilities
Payables -----81.03%30.95K-81.03%30.95K-84.10%130.66K-85.35%152.36K-64.14%341.74K-47.19%163.15K-47.19%163.15K-42.01%821.83K-1.23%1.04M
-accounts payable -----81.03%30.95K-81.03%30.95K-2.27%124.27K10.69%145.97K-39.46%341.74K-44.47%163.15K-44.47%163.15K-61.92%127.15K-10.56%131.88K
-Due to related parties current -------------99.08%6.39K-99.30%6.39K-------------35.34%694.68K1.23%908.32K
Current debt and capital lease obligation -47.90%403.23K-54.11%440.44K-54.11%440.44K111.34%532.34K137.10%563.62K235.61%773.98K58.07%959.79K58.07%959.79K9.99%251.88K33.96%237.71K
-Current debt -71.59%154.36K-74.18%193.17K-74.18%193.17K--286.68K--319.55K--543.27K98.27%748.29K98.27%748.29K--------
-Current capital lease obligation 7.87%248.87K16.91%247.27K16.91%247.27K-2.47%245.67K2.67%244.07K0.04%230.71K-7.97%211.51K-7.97%211.51K9.99%251.88K33.96%237.71K
Current deferred liabilities --57K--57K--57K-30.39%25.6K102.87%82.6K------0--0--36.78K--40.72K
Current liabilities -54.12%511.84K-52.95%528.39K-52.95%528.39K-37.99%688.6K-39.44%798.58K-8.68%1.12M17.69%1.12M17.69%1.12M-32.55%1.11M7.15%1.32M
Non current liabilities
Long term debt and capital lease obligation -45.48%298.31K-40.66%360.88K-40.66%360.88K-36.72%423.35K-34.43%485.72K-32.04%547.18K-29.54%608.15K-29.54%608.15K-27.35%669.02K-17.97%740.74K
-Long term capital lease obligation -45.48%298.31K-40.66%360.88K-40.66%360.88K-36.72%423.35K-34.43%485.72K-32.04%547.18K-29.54%608.15K-29.54%608.15K-27.35%669.02K-17.97%740.74K
Total non current liabilities -45.48%298.31K-40.66%360.88K-40.66%360.88K-36.72%423.35K-34.43%485.72K-32.04%547.18K-29.54%608.15K-29.54%608.15K-27.35%669.02K-17.97%740.74K
Total liabilities -51.28%810.15K-48.63%889.27K-48.63%889.27K-37.51%1.11M-37.64%1.28M-17.96%1.66M-4.74%1.73M-4.74%1.73M-30.68%1.78M-3.48%2.06M
Shareholders'equity
Share capital -11.13%2.28M77.46%2.28M77.46%2.28M98.54%2.33M164.62%2.33M288.95%2.57M233.94%1.29M233.94%1.29M257.84%1.17M198.03%881.27K
-common stock -11.13%2.28M77.49%2.28M77.49%2.28M98.59%2.33M164.72%2.33M289.20%2.57M234.26%1.29M234.26%1.29M258.19%1.17M198.45%880.91K
-Preferred stock -16.67%100-66.10%100-66.10%100-67.11%100-72.90%100-73.33%120-35.31%295-35.31%295-24.75%304-31.92%369
Retained earnings 3.63%-11.9M4.38%-11.85M4.38%-11.85M-8.45%-12.71M-16.00%-12.84M-23.45%-12.34M-40.93%-12.39M-40.93%-12.39M-40.04%-11.72M-54.11%-11.07M
Paid-in capital 2.37%11.03M-8.08%11.02M-8.08%11.02M-8.77%11.02M-10.95%11.01M-14.40%10.77M-5.09%11.99M-5.09%11.99M-4.12%12.08M-0.26%12.37M
Other equity interest --------------------------------92.13%-23.99K87.15%-51.59K
Total stockholders'equity 42.15%1.41M63.85%1.46M63.85%1.46M-57.43%643.66K-76.25%505.45K-68.12%993.47K-77.85%890.99K-77.85%890.99K-64.45%1.51M-58.36%2.13M
Total equity 42.15%1.41M63.85%1.46M63.85%1.46M-57.43%643.66K-76.25%505.45K-68.12%993.47K-77.85%890.99K-77.85%890.99K-64.45%1.51M-58.36%2.13M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------
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