CA Stock MarketDetailed Quotes

AMMP AmmPower Corp

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  • 0.010
  • 0.0000.00%
15min DelayMarket Closed Oct 4 15:56 ET
1.61MMarket Cap0.00P/E (TTM)

AmmPower Corp 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
-92.50%4.39K
-92.50%4.39K
-53.45%14.59K
-86.61%5.52K
26.33%22.31K
-90.65%58.55K
-90.65%58.55K
-98.77%31.34K
-96.58%41.23K
-99.29%17.66K
-Cash and cash equivalents
-92.50%4.39K
-92.50%4.39K
-53.45%14.59K
-86.61%5.52K
26.33%22.31K
-90.65%58.55K
-90.65%58.55K
-98.77%31.34K
-96.58%41.23K
-99.29%17.66K
-Accounts receivable
-55.30%64.56K
-55.30%64.56K
-59.55%54.96K
-42.09%72.11K
-28.39%58.73K
240.52%144.42K
240.52%144.42K
-45.84%135.88K
-44.84%124.52K
-43.68%82K
Total current assets
31.15%1.29M
31.15%1.29M
-29.73%957.41K
-38.99%850.68K
-25.96%855.54K
-41.96%986K
-41.96%986K
-55.89%1.36M
-34.05%1.39M
-66.40%1.16M
Non current assets
-Accumulated depreciation
-70.72%-225.58K
-70.72%-225.58K
-85.06%-201.56K
-109.46%-178.45K
-154.10%-154.8K
-249.50%-132.14K
-249.50%-132.14K
-509.59%-108.92K
---85.2K
-181.36%-60.92K
-Long term equity investment
-23.18%919.28K
-23.18%919.28K
-16.92%1.19M
-16.41%1.2M
-14.82%1.19M
-12.23%1.2M
-12.23%1.2M
-8.67%1.44M
-9.17%1.43M
-10.26%1.4M
-Other intangible assets
----
----
----
----
----
----
----
--29.17K
----
----
Regulatory assets
-10.28%129.58K
-10.28%129.58K
-59.55%54.96K
-42.09%72.11K
-28.39%58.73K
240.52%144.42K
240.52%144.42K
-45.84%135.88K
-44.84%124.52K
-43.68%82K
Non current deferred assets
--48.96K
--48.96K
----
----
----
----
----
----
----
----
Liabilities
Current liabilities
Current debt and capital lease obligation
26.19%965.61K
26.19%965.61K
85.85%726.98K
535.71%729.51K
343.64%721.23K
272.12%765.19K
272.12%765.19K
790.51%391.18K
28.80%114.76K
83.90%162.57K
-Current debt
31.04%676.85K
31.04%676.85K
99.16%654.74K
--595.9K
--529.11K
--516.51K
--516.51K
--328.75K
----
----
-Current capital lease obligation
16.11%288.76K
16.11%288.76K
15.71%72.24K
16.43%133.61K
18.18%192.12K
20.94%248.69K
20.94%248.69K
42.12%62.43K
28.80%114.76K
83.90%162.57K
-accounts payable
117.02%4.67M
117.02%4.67M
94.63%3.81M
123.97%3.24M
90.96%2.4M
185.30%2.15M
185.30%2.15M
342.93%1.96M
472.39%1.45M
149.13%1.26M
-Total tax payable
-23.18%919.28K
-23.18%919.28K
-16.92%1.19M
-16.41%1.2M
-14.82%1.19M
-12.23%1.2M
-12.23%1.2M
-8.67%1.44M
-9.17%1.43M
-10.26%1.4M
-Due to related parties current
130.18%488.78K
130.18%488.78K
322.83%461.01K
207.86%331.8K
4,425.18%303.5K
3,066.07%212.35K
3,066.07%212.35K
1,525.62%109.03K
1,506.96%107.78K
0.00%6.71K
Current deferred liabilities
-83.71%26.53K
-83.71%26.53K
--60.6K
--94.52K
--127.9K
--162.86K
--162.86K
----
----
----
Current liabilities
86.85%6.16M
86.85%6.16M
105.81%5.06M
163.37%4.39M
149.04%3.56M
240.57%3.29M
240.57%3.29M
398.90%2.46M
378.87%1.67M
137.86%1.43M
Non current liabilities
-Long term debt
-23.18%919.28K
-23.18%919.28K
-16.92%1.19M
-16.41%1.2M
-14.82%1.19M
-12.23%1.2M
-12.23%1.2M
-8.67%1.44M
-9.17%1.43M
-10.26%1.4M
Non current accrued expenses
-28.63%1.32M
-28.63%1.32M
-17.86%1.56M
-16.52%1.65M
-13.76%1.74M
-9.65%1.84M
-9.65%1.84M
-8.35%1.9M
10.39%1.98M
21.60%2.01M
Total non current liabilities
57.53%7.07M
57.53%7.07M
60.53%6.26M
80.40%5.59M
67.94%4.75M
92.68%4.49M
92.68%4.49M
88.52%3.9M
61.14%3.1M
30.91%2.83M
Shareholders'equity
Share capital
0.87%51.65M
0.87%51.65M
1.52%51.65M
57.21%51.55M
64.57%51.8M
64.20%51.21M
64.20%51.21M
75.23%50.88M
21.40%32.79M
32.83%31.47M
-common stock
0.87%51.65M
0.87%51.65M
1.52%51.65M
57.21%51.55M
64.57%51.8M
64.20%51.21M
64.20%51.21M
75.23%50.88M
21.40%32.79M
32.83%31.47M
Additional paid-in capital
3.71%9.14M
3.71%9.14M
-1.71%8.92M
-6.75%8.88M
13.50%8.79M
19.47%8.81M
19.47%8.81M
25.21%9.07M
118.74%9.52M
97.37%7.75M
Gains losses not affecting retained earnings
-113.23%-2.3K
-113.23%-2.3K
-45.88%4.47K
-8.47%7.26K
1,243.65%24.97K
166.23%17.36K
166.23%17.36K
410.34%8.26K
25.71%7.93K
-78.19%1.86K
Total equity
-6.08%2.66M
-6.08%2.66M
-22.82%2.52M
-25.82%2.5M
-18.21%2.59M
-24.33%2.83M
-24.33%2.83M
-36.82%3.26M
-13.67%3.37M
-37.79%3.17M
(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 -92.50%4.39K-92.50%4.39K-53.45%14.59K-86.61%5.52K26.33%22.31K-90.65%58.55K-90.65%58.55K-98.77%31.34K-96.58%41.23K-99.29%17.66K
-Cash and cash equivalents -92.50%4.39K-92.50%4.39K-53.45%14.59K-86.61%5.52K26.33%22.31K-90.65%58.55K-90.65%58.55K-98.77%31.34K-96.58%41.23K-99.29%17.66K
-Accounts receivable -55.30%64.56K-55.30%64.56K-59.55%54.96K-42.09%72.11K-28.39%58.73K240.52%144.42K240.52%144.42K-45.84%135.88K-44.84%124.52K-43.68%82K
Total current assets 31.15%1.29M31.15%1.29M-29.73%957.41K-38.99%850.68K-25.96%855.54K-41.96%986K-41.96%986K-55.89%1.36M-34.05%1.39M-66.40%1.16M
Non current assets
-Accumulated depreciation -70.72%-225.58K-70.72%-225.58K-85.06%-201.56K-109.46%-178.45K-154.10%-154.8K-249.50%-132.14K-249.50%-132.14K-509.59%-108.92K---85.2K-181.36%-60.92K
-Long term equity investment -23.18%919.28K-23.18%919.28K-16.92%1.19M-16.41%1.2M-14.82%1.19M-12.23%1.2M-12.23%1.2M-8.67%1.44M-9.17%1.43M-10.26%1.4M
-Other intangible assets ------------------------------29.17K--------
Regulatory assets -10.28%129.58K-10.28%129.58K-59.55%54.96K-42.09%72.11K-28.39%58.73K240.52%144.42K240.52%144.42K-45.84%135.88K-44.84%124.52K-43.68%82K
Non current deferred assets --48.96K--48.96K--------------------------------
Liabilities
Current liabilities
Current debt and capital lease obligation 26.19%965.61K26.19%965.61K85.85%726.98K535.71%729.51K343.64%721.23K272.12%765.19K272.12%765.19K790.51%391.18K28.80%114.76K83.90%162.57K
-Current debt 31.04%676.85K31.04%676.85K99.16%654.74K--595.9K--529.11K--516.51K--516.51K--328.75K--------
-Current capital lease obligation 16.11%288.76K16.11%288.76K15.71%72.24K16.43%133.61K18.18%192.12K20.94%248.69K20.94%248.69K42.12%62.43K28.80%114.76K83.90%162.57K
-accounts payable 117.02%4.67M117.02%4.67M94.63%3.81M123.97%3.24M90.96%2.4M185.30%2.15M185.30%2.15M342.93%1.96M472.39%1.45M149.13%1.26M
-Total tax payable -23.18%919.28K-23.18%919.28K-16.92%1.19M-16.41%1.2M-14.82%1.19M-12.23%1.2M-12.23%1.2M-8.67%1.44M-9.17%1.43M-10.26%1.4M
-Due to related parties current 130.18%488.78K130.18%488.78K322.83%461.01K207.86%331.8K4,425.18%303.5K3,066.07%212.35K3,066.07%212.35K1,525.62%109.03K1,506.96%107.78K0.00%6.71K
Current deferred liabilities -83.71%26.53K-83.71%26.53K--60.6K--94.52K--127.9K--162.86K--162.86K------------
Current liabilities 86.85%6.16M86.85%6.16M105.81%5.06M163.37%4.39M149.04%3.56M240.57%3.29M240.57%3.29M398.90%2.46M378.87%1.67M137.86%1.43M
Non current liabilities
-Long term debt -23.18%919.28K-23.18%919.28K-16.92%1.19M-16.41%1.2M-14.82%1.19M-12.23%1.2M-12.23%1.2M-8.67%1.44M-9.17%1.43M-10.26%1.4M
Non current accrued expenses -28.63%1.32M-28.63%1.32M-17.86%1.56M-16.52%1.65M-13.76%1.74M-9.65%1.84M-9.65%1.84M-8.35%1.9M10.39%1.98M21.60%2.01M
Total non current liabilities 57.53%7.07M57.53%7.07M60.53%6.26M80.40%5.59M67.94%4.75M92.68%4.49M92.68%4.49M88.52%3.9M61.14%3.1M30.91%2.83M
Shareholders'equity
Share capital 0.87%51.65M0.87%51.65M1.52%51.65M57.21%51.55M64.57%51.8M64.20%51.21M64.20%51.21M75.23%50.88M21.40%32.79M32.83%31.47M
-common stock 0.87%51.65M0.87%51.65M1.52%51.65M57.21%51.55M64.57%51.8M64.20%51.21M64.20%51.21M75.23%50.88M21.40%32.79M32.83%31.47M
Additional paid-in capital 3.71%9.14M3.71%9.14M-1.71%8.92M-6.75%8.88M13.50%8.79M19.47%8.81M19.47%8.81M25.21%9.07M118.74%9.52M97.37%7.75M
Gains losses not affecting retained earnings -113.23%-2.3K-113.23%-2.3K-45.88%4.47K-8.47%7.26K1,243.65%24.97K166.23%17.36K166.23%17.36K410.34%8.26K25.71%7.93K-78.19%1.86K
Total equity -6.08%2.66M-6.08%2.66M-22.82%2.52M-25.82%2.5M-18.21%2.59M-24.33%2.83M-24.33%2.83M-36.82%3.26M-13.67%3.37M-37.79%3.17M

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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