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AETHF Aether Global Innovations Corp

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  • 0.000
  • 0.0000.00%
15min DelayTrading Jul 18 16:00 ET
10.55KMarket Cap-4P/E (TTM)

Aether Global Innovations Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Feb 29, 2024
(FY)Nov 30, 2023
(Q4)Nov 30, 2023
(Q3)Aug 31, 2023
(Q2)May 31, 2023
(Q1)Feb 28, 2023
(FY)Nov 30, 2022
(Q4)Nov 30, 2022
(Q3)Aug 31, 2022
(Q2)May 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-66.13%7.68K
193.71%38.56K
193.71%38.56K
512.85%251.63K
1,962.41%88.6K
-61.98%22.67K
-96.50%13.13K
-96.50%13.13K
-97.80%41.06K
-99.39%4.3K
-Cash and cash equivalents
-66.13%7.68K
193.71%38.56K
193.71%38.56K
512.85%251.63K
1,962.41%88.6K
-61.98%22.67K
-96.50%13.13K
-96.50%13.13K
-97.80%41.06K
-99.39%4.3K
Receivables
-76.15%6.84K
-63.48%5.83K
-63.48%5.83K
1.44%22.04K
-58.27%32.17K
32.40%28.68K
-76.57%15.95K
-76.57%15.95K
-52.06%21.73K
1,107.27%77.07K
-Accounts receivable
----
--0
--0
--0
--0
87.71%23.96K
-42.02%6.87K
-42.02%6.87K
-27.05%14.32K
--63.48K
-Taxes receivable
44.89%6.84K
-35.86%5.83K
-35.86%5.83K
197.37%22.04K
136.68%32.17K
-46.95%4.72K
-83.85%9.08K
-83.85%9.08K
-71.15%7.41K
112.88%13.59K
Inventory
----
--0
--0
--0
--0
-88.09%3.08K
-80.38%2.18K
-80.38%2.18K
-87.01%2.73K
11.22%5.15K
Prepaid assets
553.17%96.39K
494.15%183.87K
494.15%183.87K
446.01%278.66K
599.03%541.23K
-84.98%14.76K
-82.65%30.95K
-82.65%30.95K
-66.18%51.04K
130.87%77.43K
Total current assets
60.31%110.91K
266.95%228.25K
266.95%228.25K
373.90%552.33K
303.80%661.99K
-66.32%69.18K
-90.17%62.2K
-90.17%62.2K
-94.41%116.55K
-78.18%163.94K
Non current assets
Net PPE
----
--0
--0
--0
--0
-86.85%44.29K
-76.56%86K
-76.56%86K
-24.01%315.73K
36.90%328.81K
-Gross PPE
----
--0
--0
--0
--0
-10.45%313.79K
-6.76%350.24K
-6.76%350.24K
-20.91%336.55K
41.21%345.8K
-Accumulated depreciation
----
--0
--0
--0
--0
-1,870.48%-269.5K
-2,937.94%-264.24K
-2,937.94%-264.24K
-108.03%-20.82K
-261.38%-16.99K
Goodwill and other intangible assets
----
----
----
----
----
----
----
----
-25.13%385.41K
--440.17K
-Other intangible assets
----
----
----
----
----
----
----
----
--385.41K
--440.17K
Long-term notes receivables
--1
--1
--1
--171.1K
--84.93K
----
--0
--0
----
----
Total non current assets
-100.00%1
-100.00%1
-100.00%1
-75.60%171.1K
-88.96%84.93K
-94.67%44.29K
-90.62%86K
-90.62%86K
-24.63%701.14K
220.16%768.98K
Total assets
-2.26%110.91K
54.02%228.25K
54.02%228.25K
-11.53%723.43K
-19.94%746.92K
-89.06%113.47K
-90.43%148.2K
-90.43%148.2K
-72.88%817.69K
-5.90%932.92K
Liabilities
Current liabilities
Payables
-68.30%517.69K
-69.71%449.78K
-69.71%449.78K
-95.01%80.15K
-76.68%275.15K
97.28%1.63M
136.47%1.48M
136.47%1.48M
99.83%1.61M
281.49%1.18M
-Total tax payable
----
--0
--0
--0
--0
--72.86K
1,193.81%61.26K
1,193.81%61.26K
--54.11K
----
-Due to related parties current
-52.88%420.32K
-47.19%372.65K
-47.19%372.65K
-99.27%5.25K
-96.85%16.13K
136.57%891.93K
156.14%705.67K
156.14%705.67K
26.29%722.62K
1,010.71%512.78K
-Other payable
-85.43%97.37K
-89.26%77.13K
-89.26%77.13K
-90.98%74.9K
-61.18%259.02K
48.26%668.31K
106.48%717.96K
106.48%717.96K
257.77%830.54K
--667.27K
Current accrued expenses
----
--0
--0
--0
--0
623.65%316.54K
709.72%268.61K
709.72%268.61K
255.36%179.41K
--100.67K
Current debt and capital lease obligation
-66.39%58.17K
-77.08%48K
-77.08%48K
-70.69%48K
17.05%48K
313.01%173.05K
359.81%209.46K
359.81%209.46K
218.80%163.79K
17.23%41.01K
-Current debt
-62.58%58.17K
-66.45%48K
-66.45%48K
-59.19%48K
321.53%48K
1,177.95%155.44K
2,159.24%143.06K
2,159.24%143.06K
699.71%117.63K
--11.39K
-Current capital lease obligation
----
--0
--0
--0
--0
-40.76%17.62K
69.30%66.4K
69.30%66.4K
25.89%46.16K
-15.32%29.62K
Current deferred liabilities
----
--0
--0
--0
--0
--5.57K
--124.92K
--124.92K
--80.99K
----
Current liabilities
-72.94%575.86K
-76.16%497.78K
-76.16%497.78K
-93.69%128.15K
-75.55%323.15K
132.99%2.13M
195.45%2.09M
195.45%2.09M
124.18%2.03M
283.88%1.32M
Non current liabilities
Long term debt and capital lease obligation
----
--0
--0
--0
--0
-92.11%4.87K
-86.52%9.39K
-86.52%9.39K
-79.01%23.43K
-24.49%49.9K
-Long term debt
----
----
----
----
----
----
----
----
-80.70%10.67K
--12.58K
-Long term capital lease obligation
----
--0
--0
--0
--0
-89.59%4.87K
-80.07%9.39K
-80.07%9.39K
-77.34%12.76K
-43.52%37.32K
Total non current liabilities
--0
--0
--0
--0
--0
-92.11%4.87K
-86.52%9.39K
-86.52%9.39K
-79.01%23.43K
-23.86%49.9K
Total liabilities
-73.00%575.86K
-76.27%497.78K
-76.27%497.78K
-93.76%128.15K
-76.44%323.15K
118.74%2.13M
170.15%2.1M
170.15%2.1M
101.90%2.05M
234.66%1.37M
Shareholders'equity
Share capital
17.42%13.92M
17.42%13.92M
17.42%13.92M
17.42%13.92M
14.13%13.53M
0.03%11.85M
0.15%11.85M
0.15%11.85M
0.36%11.85M
22.25%11.85M
-common stock
17.42%13.92M
17.42%13.92M
17.42%13.92M
17.42%13.92M
14.13%13.53M
0.03%11.85M
0.15%11.85M
0.15%11.85M
0.36%11.85M
22.25%11.85M
Retained earnings
-4.22%-17.34M
-3.68%-17.14M
-3.68%-17.14M
-2.30%-16.24M
-4.75%-15.81M
-13.84%-16.64M
-19.24%-16.54M
-19.24%-16.54M
-30.60%-15.87M
-33.99%-15.1M
Paid-in capital
0.00%2.71M
0.00%2.71M
0.00%2.71M
0.00%2.71M
0.00%2.71M
0.00%2.71M
0.00%2.71M
0.00%2.71M
20.47%2.71M
29.09%2.71M
Gains losses not affecting retained earnings
333.94%248.93K
890.52%248.93K
890.52%248.93K
176.76%209.13K
--0
-51.92%57.36K
-73.93%25.13K
-73.93%25.13K
-18.71%75.56K
77.07%95.65K
Total stockholders'equity
76.98%-464.95K
86.17%-269.52K
86.17%-269.52K
148.12%595.28K
196.59%423.77K
-3,363.63%-2.02M
-352.21%-1.95M
-352.21%-1.95M
-161.94%-1.24M
-175.43%-438.71K
Total equity
76.98%-464.95K
86.17%-269.52K
86.17%-269.52K
148.12%595.28K
196.59%423.77K
-3,363.63%-2.02M
-352.21%-1.95M
-352.21%-1.95M
-161.94%-1.24M
-175.43%-438.71K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Feb 29, 2024(FY)Nov 30, 2023(Q4)Nov 30, 2023(Q3)Aug 31, 2023(Q2)May 31, 2023(Q1)Feb 28, 2023(FY)Nov 30, 2022(Q4)Nov 30, 2022(Q3)Aug 31, 2022(Q2)May 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -66.13%7.68K193.71%38.56K193.71%38.56K512.85%251.63K1,962.41%88.6K-61.98%22.67K-96.50%13.13K-96.50%13.13K-97.80%41.06K-99.39%4.3K
-Cash and cash equivalents -66.13%7.68K193.71%38.56K193.71%38.56K512.85%251.63K1,962.41%88.6K-61.98%22.67K-96.50%13.13K-96.50%13.13K-97.80%41.06K-99.39%4.3K
Receivables -76.15%6.84K-63.48%5.83K-63.48%5.83K1.44%22.04K-58.27%32.17K32.40%28.68K-76.57%15.95K-76.57%15.95K-52.06%21.73K1,107.27%77.07K
-Accounts receivable ------0--0--0--087.71%23.96K-42.02%6.87K-42.02%6.87K-27.05%14.32K--63.48K
-Taxes receivable 44.89%6.84K-35.86%5.83K-35.86%5.83K197.37%22.04K136.68%32.17K-46.95%4.72K-83.85%9.08K-83.85%9.08K-71.15%7.41K112.88%13.59K
Inventory ------0--0--0--0-88.09%3.08K-80.38%2.18K-80.38%2.18K-87.01%2.73K11.22%5.15K
Prepaid assets 553.17%96.39K494.15%183.87K494.15%183.87K446.01%278.66K599.03%541.23K-84.98%14.76K-82.65%30.95K-82.65%30.95K-66.18%51.04K130.87%77.43K
Total current assets 60.31%110.91K266.95%228.25K266.95%228.25K373.90%552.33K303.80%661.99K-66.32%69.18K-90.17%62.2K-90.17%62.2K-94.41%116.55K-78.18%163.94K
Non current assets
Net PPE ------0--0--0--0-86.85%44.29K-76.56%86K-76.56%86K-24.01%315.73K36.90%328.81K
-Gross PPE ------0--0--0--0-10.45%313.79K-6.76%350.24K-6.76%350.24K-20.91%336.55K41.21%345.8K
-Accumulated depreciation ------0--0--0--0-1,870.48%-269.5K-2,937.94%-264.24K-2,937.94%-264.24K-108.03%-20.82K-261.38%-16.99K
Goodwill and other intangible assets ---------------------------------25.13%385.41K--440.17K
-Other intangible assets ----------------------------------385.41K--440.17K
Long-term notes receivables --1--1--1--171.1K--84.93K------0--0--------
Total non current assets -100.00%1-100.00%1-100.00%1-75.60%171.1K-88.96%84.93K-94.67%44.29K-90.62%86K-90.62%86K-24.63%701.14K220.16%768.98K
Total assets -2.26%110.91K54.02%228.25K54.02%228.25K-11.53%723.43K-19.94%746.92K-89.06%113.47K-90.43%148.2K-90.43%148.2K-72.88%817.69K-5.90%932.92K
Liabilities
Current liabilities
Payables -68.30%517.69K-69.71%449.78K-69.71%449.78K-95.01%80.15K-76.68%275.15K97.28%1.63M136.47%1.48M136.47%1.48M99.83%1.61M281.49%1.18M
-Total tax payable ------0--0--0--0--72.86K1,193.81%61.26K1,193.81%61.26K--54.11K----
-Due to related parties current -52.88%420.32K-47.19%372.65K-47.19%372.65K-99.27%5.25K-96.85%16.13K136.57%891.93K156.14%705.67K156.14%705.67K26.29%722.62K1,010.71%512.78K
-Other payable -85.43%97.37K-89.26%77.13K-89.26%77.13K-90.98%74.9K-61.18%259.02K48.26%668.31K106.48%717.96K106.48%717.96K257.77%830.54K--667.27K
Current accrued expenses ------0--0--0--0623.65%316.54K709.72%268.61K709.72%268.61K255.36%179.41K--100.67K
Current debt and capital lease obligation -66.39%58.17K-77.08%48K-77.08%48K-70.69%48K17.05%48K313.01%173.05K359.81%209.46K359.81%209.46K218.80%163.79K17.23%41.01K
-Current debt -62.58%58.17K-66.45%48K-66.45%48K-59.19%48K321.53%48K1,177.95%155.44K2,159.24%143.06K2,159.24%143.06K699.71%117.63K--11.39K
-Current capital lease obligation ------0--0--0--0-40.76%17.62K69.30%66.4K69.30%66.4K25.89%46.16K-15.32%29.62K
Current deferred liabilities ------0--0--0--0--5.57K--124.92K--124.92K--80.99K----
Current liabilities -72.94%575.86K-76.16%497.78K-76.16%497.78K-93.69%128.15K-75.55%323.15K132.99%2.13M195.45%2.09M195.45%2.09M124.18%2.03M283.88%1.32M
Non current liabilities
Long term debt and capital lease obligation ------0--0--0--0-92.11%4.87K-86.52%9.39K-86.52%9.39K-79.01%23.43K-24.49%49.9K
-Long term debt ---------------------------------80.70%10.67K--12.58K
-Long term capital lease obligation ------0--0--0--0-89.59%4.87K-80.07%9.39K-80.07%9.39K-77.34%12.76K-43.52%37.32K
Total non current liabilities --0--0--0--0--0-92.11%4.87K-86.52%9.39K-86.52%9.39K-79.01%23.43K-23.86%49.9K
Total liabilities -73.00%575.86K-76.27%497.78K-76.27%497.78K-93.76%128.15K-76.44%323.15K118.74%2.13M170.15%2.1M170.15%2.1M101.90%2.05M234.66%1.37M
Shareholders'equity
Share capital 17.42%13.92M17.42%13.92M17.42%13.92M17.42%13.92M14.13%13.53M0.03%11.85M0.15%11.85M0.15%11.85M0.36%11.85M22.25%11.85M
-common stock 17.42%13.92M17.42%13.92M17.42%13.92M17.42%13.92M14.13%13.53M0.03%11.85M0.15%11.85M0.15%11.85M0.36%11.85M22.25%11.85M
Retained earnings -4.22%-17.34M-3.68%-17.14M-3.68%-17.14M-2.30%-16.24M-4.75%-15.81M-13.84%-16.64M-19.24%-16.54M-19.24%-16.54M-30.60%-15.87M-33.99%-15.1M
Paid-in capital 0.00%2.71M0.00%2.71M0.00%2.71M0.00%2.71M0.00%2.71M0.00%2.71M0.00%2.71M0.00%2.71M20.47%2.71M29.09%2.71M
Gains losses not affecting retained earnings 333.94%248.93K890.52%248.93K890.52%248.93K176.76%209.13K--0-51.92%57.36K-73.93%25.13K-73.93%25.13K-18.71%75.56K77.07%95.65K
Total stockholders'equity 76.98%-464.95K86.17%-269.52K86.17%-269.52K148.12%595.28K196.59%423.77K-3,363.63%-2.02M-352.21%-1.95M-352.21%-1.95M-161.94%-1.24M-175.43%-438.71K
Total equity 76.98%-464.95K86.17%-269.52K86.17%-269.52K148.12%595.28K196.59%423.77K-3,363.63%-2.02M-352.21%-1.95M-352.21%-1.95M-161.94%-1.24M-175.43%-438.71K
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------

Analysis

Analyst Rating

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Price Target

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