CA Stock MarketDetailed Quotes

ACT Aduro Clean Technologies Inc

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  • 6.360
  • -0.070-1.09%
15min DelayMarket Closed Sep 27 15:59 ET
173.16MMarket Cap-5435P/E (TTM)

Aduro Clean Technologies Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)May 31, 2024
(Q4)May 31, 2024
(Q3)Feb 29, 2024
(Q2)Nov 30, 2023
(Q1)Aug 31, 2023
(FY)May 31, 2023
(Q4)May 31, 2023
(Q3)Feb 28, 2023
(Q2)Nov 30, 2022
(Q1)Aug 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-30.45%2.81M
-30.45%2.81M
52.18%2.16M
13.81%2.36M
14.90%2.96M
91.71%4.05M
91.71%4.05M
18.05%1.42M
5.45%2.07M
16.94%2.58M
-Cash and cash equivalents
-30.45%2.81M
-30.45%2.81M
52.18%2.16M
13.81%2.36M
14.90%2.96M
91.71%4.05M
91.71%4.05M
18.05%1.42M
5.45%2.07M
16.94%2.58M
-Due from related parties current
1.00%78.85K
1.00%78.85K
0.00%78.07K
0.00%78.07K
--78.07K
25.81%78.07K
25.81%78.07K
--78.07K
--78.07K
----
Current deferred assets
--218.48K
--218.48K
----
----
----
--0
--0
----
----
----
Total current assets
-24.49%3.7M
-24.49%3.7M
45.43%2.91M
17.15%3.03M
13.33%3.55M
89.93%4.9M
89.93%4.9M
35.32%2M
15.60%2.59M
20.38%3.13M
Non current assets
-Accumulated depreciation
-243.60%-571.47K
-243.60%-571.47K
-311.46%-447.57K
-279.24%-333.59K
---256.2K
-329.67%-166.32K
-329.67%-166.32K
---108.78K
---87.96K
----
-Long term equity investment
2.61%98.23K
2.61%98.23K
2.35%108.53K
-5.87%118.44K
-38.74%89.04K
-41.83%95.73K
-41.83%95.73K
202.08%106.03K
193.91%125.83K
59.95%145.36K
-Goodwill
--0
--0
--0
--0
-82.14%683
-72.22%1.37K
-72.22%1.37K
-75.64%2.05K
-77.05%2.73K
-76.92%3.83K
-Other intangible assets
-48.05%1.33M
-48.05%1.33M
-25.24%1.88M
-17.77%2.26M
-15.10%2.52M
0.41%2.56M
0.41%2.56M
56.71%2.52M
71.19%2.75M
73.90%2.97M
Regulatory assets
-29.39%328.28K
-29.39%328.28K
3.84%321.81K
75.08%349.2K
29.37%200.63K
193.49%464.91K
193.49%464.91K
81.52%309.92K
54.87%199.45K
48.15%155.08K
Total assets
-77.17%76.34K
-77.17%76.34K
-14.45%148.47K
63.16%198.04K
--120.86K
247.05%334.39K
247.05%334.39K
--173.55K
--121.38K
----
Liabilities
Current liabilities
Current debt and capital lease obligation
-35.16%40.36K
-35.16%40.36K
-41.97%43.22K
-38.62%47.36K
-39.58%45.75K
-19.23%62.24K
-19.23%62.24K
142.07%74.48K
-86.96%77.15K
-86.96%75.73K
-Current debt
----
----
-87.53%3.91K
-71.38%8.95K
-36.81%19.66K
-11.18%27.48K
-11.18%27.48K
1.91%31.36K
-94.67%31.25K
-94.57%31.11K
-Current capital lease obligation
16.08%40.36K
16.08%40.36K
-8.84%39.31K
-16.32%38.41K
-41.52%26.1K
-24.63%34.77K
-24.63%34.77K
--43.12K
703.20%45.9K
516.60%44.62K
-accounts payable
1.52%461.95K
1.52%461.95K
-0.17%375.6K
37.29%543.74K
-1.65%471.39K
-22.23%455.05K
-22.23%455.05K
-32.13%376.25K
-31.61%396.04K
20.35%479.28K
-Total tax payable
2.61%98.23K
2.61%98.23K
2.35%108.53K
-5.87%118.44K
-38.74%89.04K
-41.83%95.73K
-41.83%95.73K
202.08%106.03K
193.91%125.83K
59.95%145.36K
Current liabilities
-2.90%502.3K
-2.90%502.3K
-7.08%418.82K
24.92%591.1K
-6.82%517.14K
-21.88%517.29K
-21.88%517.29K
-22.97%450.73K
-59.59%473.2K
-43.30%555K
Non current liabilities
-Long term debt
2.61%98.23K
2.61%98.23K
6.24%108.53K
3.81%118.44K
-29.21%89.04K
-30.23%95.73K
-30.23%95.73K
--102.15K
--114.09K
--125.78K
Non current accrued expenses
21.61%3.25M
21.61%3.25M
81.92%3.25M
105.05%3.24M
201.38%2.99M
321.64%2.68M
321.64%2.68M
734.35%1.79M
679.93%1.58M
1,449.17%991.11K
Long term provisions
----
----
----
----
----
----
----
-88.93%3.88K
-72.58%11.74K
-78.46%19.57K
Total non current liabilities
-2.04%600.53K
-2.04%600.53K
-5.28%527.35K
18.45%709.54K
-13.45%606.18K
-25.85%613.03K
-25.85%613.03K
-10.24%556.76K
-50.65%599.03K
-34.53%700.36K
Shareholders'equity
Share capital
45.99%22.48M
45.99%22.48M
85.02%19.46M
81.89%17.29M
96.08%15.71M
135.81%15.4M
135.81%15.4M
97.79%10.52M
111.16%9.51M
105.31%8.01M
-common stock
45.99%22.48M
45.99%22.48M
85.02%19.46M
81.89%17.29M
96.08%15.71M
135.81%15.4M
135.81%15.4M
97.79%10.52M
111.16%9.51M
105.31%8.01M
Additional paid-in capital
21.76%5.45M
21.76%5.45M
33.69%5.43M
53.62%5.11M
44.35%4.73M
53.49%4.47M
53.49%4.47M
67.89%4.06M
54.56%3.32M
84.85%3.28M
Total equity
-8.23%6.96M
-8.23%6.96M
62.56%6.16M
50.37%6.27M
58.40%6.54M
135.33%7.58M
135.33%7.58M
122.87%3.79M
69.99%4.17M
53.85%4.13M
(FY)May 31, 2024(Q4)May 31, 2024(Q3)Feb 29, 2024(Q2)Nov 30, 2023(Q1)Aug 31, 2023(FY)May 31, 2023(Q4)May 31, 2023(Q3)Feb 28, 2023(Q2)Nov 30, 2022(Q1)Aug 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -30.45%2.81M-30.45%2.81M52.18%2.16M13.81%2.36M14.90%2.96M91.71%4.05M91.71%4.05M18.05%1.42M5.45%2.07M16.94%2.58M
-Cash and cash equivalents -30.45%2.81M-30.45%2.81M52.18%2.16M13.81%2.36M14.90%2.96M91.71%4.05M91.71%4.05M18.05%1.42M5.45%2.07M16.94%2.58M
-Due from related parties current 1.00%78.85K1.00%78.85K0.00%78.07K0.00%78.07K--78.07K25.81%78.07K25.81%78.07K--78.07K--78.07K----
Current deferred assets --218.48K--218.48K--------------0--0------------
Total current assets -24.49%3.7M-24.49%3.7M45.43%2.91M17.15%3.03M13.33%3.55M89.93%4.9M89.93%4.9M35.32%2M15.60%2.59M20.38%3.13M
Non current assets
-Accumulated depreciation -243.60%-571.47K-243.60%-571.47K-311.46%-447.57K-279.24%-333.59K---256.2K-329.67%-166.32K-329.67%-166.32K---108.78K---87.96K----
-Long term equity investment 2.61%98.23K2.61%98.23K2.35%108.53K-5.87%118.44K-38.74%89.04K-41.83%95.73K-41.83%95.73K202.08%106.03K193.91%125.83K59.95%145.36K
-Goodwill --0--0--0--0-82.14%683-72.22%1.37K-72.22%1.37K-75.64%2.05K-77.05%2.73K-76.92%3.83K
-Other intangible assets -48.05%1.33M-48.05%1.33M-25.24%1.88M-17.77%2.26M-15.10%2.52M0.41%2.56M0.41%2.56M56.71%2.52M71.19%2.75M73.90%2.97M
Regulatory assets -29.39%328.28K-29.39%328.28K3.84%321.81K75.08%349.2K29.37%200.63K193.49%464.91K193.49%464.91K81.52%309.92K54.87%199.45K48.15%155.08K
Total assets -77.17%76.34K-77.17%76.34K-14.45%148.47K63.16%198.04K--120.86K247.05%334.39K247.05%334.39K--173.55K--121.38K----
Liabilities
Current liabilities
Current debt and capital lease obligation -35.16%40.36K-35.16%40.36K-41.97%43.22K-38.62%47.36K-39.58%45.75K-19.23%62.24K-19.23%62.24K142.07%74.48K-86.96%77.15K-86.96%75.73K
-Current debt ---------87.53%3.91K-71.38%8.95K-36.81%19.66K-11.18%27.48K-11.18%27.48K1.91%31.36K-94.67%31.25K-94.57%31.11K
-Current capital lease obligation 16.08%40.36K16.08%40.36K-8.84%39.31K-16.32%38.41K-41.52%26.1K-24.63%34.77K-24.63%34.77K--43.12K703.20%45.9K516.60%44.62K
-accounts payable 1.52%461.95K1.52%461.95K-0.17%375.6K37.29%543.74K-1.65%471.39K-22.23%455.05K-22.23%455.05K-32.13%376.25K-31.61%396.04K20.35%479.28K
-Total tax payable 2.61%98.23K2.61%98.23K2.35%108.53K-5.87%118.44K-38.74%89.04K-41.83%95.73K-41.83%95.73K202.08%106.03K193.91%125.83K59.95%145.36K
Current liabilities -2.90%502.3K-2.90%502.3K-7.08%418.82K24.92%591.1K-6.82%517.14K-21.88%517.29K-21.88%517.29K-22.97%450.73K-59.59%473.2K-43.30%555K
Non current liabilities
-Long term debt 2.61%98.23K2.61%98.23K6.24%108.53K3.81%118.44K-29.21%89.04K-30.23%95.73K-30.23%95.73K--102.15K--114.09K--125.78K
Non current accrued expenses 21.61%3.25M21.61%3.25M81.92%3.25M105.05%3.24M201.38%2.99M321.64%2.68M321.64%2.68M734.35%1.79M679.93%1.58M1,449.17%991.11K
Long term provisions -----------------------------88.93%3.88K-72.58%11.74K-78.46%19.57K
Total non current liabilities -2.04%600.53K-2.04%600.53K-5.28%527.35K18.45%709.54K-13.45%606.18K-25.85%613.03K-25.85%613.03K-10.24%556.76K-50.65%599.03K-34.53%700.36K
Shareholders'equity
Share capital 45.99%22.48M45.99%22.48M85.02%19.46M81.89%17.29M96.08%15.71M135.81%15.4M135.81%15.4M97.79%10.52M111.16%9.51M105.31%8.01M
-common stock 45.99%22.48M45.99%22.48M85.02%19.46M81.89%17.29M96.08%15.71M135.81%15.4M135.81%15.4M97.79%10.52M111.16%9.51M105.31%8.01M
Additional paid-in capital 21.76%5.45M21.76%5.45M33.69%5.43M53.62%5.11M44.35%4.73M53.49%4.47M53.49%4.47M67.89%4.06M54.56%3.32M84.85%3.28M
Total equity -8.23%6.96M-8.23%6.96M62.56%6.16M50.37%6.27M58.40%6.54M135.33%7.58M135.33%7.58M122.87%3.79M69.99%4.17M53.85%4.13M

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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