US Stock MarketDetailed Quotes

ARLSD ARGO LIVING SOILS CORP

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  • 0.220
  • 0.0000.00%
15min DelayClose Aug 27 16:00 ET
2.97MMarket Cap-3235P/E (TTM)

ARGO LIVING SOILS CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)May 31, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-35.24%155.22K
-18.29%29.51K
17.67%98.9K
17.67%98.9K
97.18%211.28K
73.77%239.67K
-86.34%36.11K
-74.23%84.05K
-74.23%84.05K
-75.81%107.15K
-Cash and cash equivalents
-35.24%155.22K
-18.29%29.51K
17.67%98.9K
17.67%98.9K
97.18%211.28K
73.77%239.67K
-86.34%36.11K
-74.23%84.05K
-74.23%84.05K
-75.81%107.15K
Receivables
114.03%6.67K
144.79%3.6K
363.80%5.02K
363.80%5.02K
-8.28%1.64K
-27.97%3.11K
90.78%1.47K
-82.65%1.08K
-82.65%1.08K
-80.82%1.79K
-Taxes receivable
114.03%6.67K
123.21%3.28K
225.95%3.53K
225.95%3.53K
-8.28%1.64K
-26.28%3.11K
118.93%1.47K
-82.65%1.08K
-82.65%1.08K
-80.82%1.79K
-Other receivables
----
--317
--1.49K
--1.49K
----
----
----
----
----
----
Prepaid assets
-27.90%9.82K
-31.26%8.87K
-34.31%5.35K
-34.31%5.35K
-28.83%6.73K
367.39%13.62K
2,148.26%12.91K
103.78%8.15K
103.78%8.15K
215.30%9.46K
Current deferred assets
----
----
----
----
----
----
--7.77K
----
----
----
Total current assets
-33.03%171.7K
-27.95%41.98K
17.14%109.27K
17.14%109.27K
85.52%219.65K
76.63%256.4K
-78.08%58.26K
-72.27%93.28K
-72.27%93.28K
-74.00%118.4K
Non current assets
Net PPE
-66.72%26.91K
-67.50%27.85K
-68.19%28.79K
-68.19%28.79K
-21.06%75.16K
-20.06%80.86K
-15.74%85.68K
-9.87%90.5K
-9.87%90.5K
10.24%95.2K
-Gross PPE
-69.26%39.28K
-69.26%39.28K
-44.81%70.52K
-44.81%70.52K
-0.60%126.9K
-0.79%127.78K
2.75%127.78K
7.80%127.78K
7.80%127.78K
27.05%127.67K
-Accumulated depreciation
73.63%-12.37K
72.84%-11.43K
-11.94%-41.73K
-11.94%-41.73K
-59.38%-51.74K
-69.72%-46.92K
-85.61%-42.1K
-105.71%-37.28K
-105.71%-37.28K
-129.84%-32.46K
Total non current assets
-66.72%26.91K
-67.50%27.85K
-68.19%28.79K
-68.19%28.79K
-21.06%75.16K
-20.06%80.86K
-15.74%85.68K
-9.87%90.5K
-9.87%90.5K
10.24%95.2K
Total assets
-41.11%198.61K
-51.49%69.82K
-24.88%138.06K
-24.88%138.06K
38.02%294.81K
36.92%337.26K
-60.83%143.94K
-57.93%183.78K
-57.93%183.78K
-60.56%213.6K
Liabilities
Current liabilities
Payables
81.21%46.82K
22.89%40.33K
-99.23%262
-99.23%262
-80.91%5.47K
-17.45%25.84K
-12.78%32.82K
23.38%33.97K
23.38%33.97K
23.50%28.66K
-accounts payable
22.07%31.54K
299.72%31.26K
-92.95%262
-92.95%262
6.51%3.9K
310.34%25.84K
46.28%7.82K
46.92%3.72K
46.92%3.72K
-68.15%3.66K
-Due to related parties current
--15K
--9.08K
--0
--0
--1.58K
--0
--0
--5.25K
--5.25K
----
-Other payable
--278
----
----
----
----
----
0.00%25K
0.00%25K
0.00%25K
--25K
Current accrued expenses
6.17%5.29K
----
31.27%30.19K
31.27%30.19K
593.68%7.79K
--4.98K
95.66%19.57K
130.00%23K
130.00%23K
-64.36%1.12K
Current debt and capital lease obligation
----
556.66%45.5K
----
----
----
-63.39%4.08K
-38.83%6.93K
-16.39%9.71K
-16.39%9.71K
-67.77%11.42K
-Current debt
----
--45.5K
----
----
----
----
----
----
----
----
-Current capital lease obligation
----
----
--0
--0
--0
-63.39%4.08K
-38.83%6.93K
-16.39%9.71K
-16.39%9.71K
9.48%11.42K
Current liabilities
49.32%52.1K
44.71%85.83K
-54.33%30.45K
-54.33%30.45K
-67.82%13.26K
-17.78%34.89K
0.61%59.32K
35.68%66.68K
35.68%66.68K
-33.32%41.2K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
49.32%52.1K
44.71%85.83K
-54.33%30.45K
-54.33%30.45K
-67.82%13.26K
-17.78%34.89K
-7.82%59.32K
23.85%66.68K
23.85%66.68K
-43.65%41.2K
Shareholders'equity
Share capital
56.38%1.78M
38.74%1.24M
38.74%1.24M
38.74%1.24M
32.09%1.18M
27.28%1.14M
0.86%891.99K
3.22%891.99K
3.22%891.99K
1.78%891.99K
-common stock
56.38%1.78M
38.74%1.24M
38.74%1.24M
38.74%1.24M
32.09%1.18M
27.28%1.14M
0.86%891.99K
3.22%891.99K
3.22%891.99K
1.78%891.99K
Retained earnings
-106.55%-1.84M
-79.87%-1.52M
-71.82%-1.39M
-71.82%-1.39M
-24.42%-938.98K
-23.06%-889.99K
-36.11%-842.46K
-54.05%-809.97K
-54.05%-809.97K
-64.42%-754.68K
Paid-in capital
0.00%13.39K
0.00%13.39K
0.00%13.39K
0.00%13.39K
0.00%13.39K
0.00%13.39K
0.00%13.39K
0.00%13.39K
0.00%13.39K
-73.80%13.39K
Other equity interest
348.65%195.92K
1,044.72%248.4K
1,044.72%248.4K
1,044.72%248.4K
33.40%28.95K
101.24%43.67K
-10.75%21.7K
-30.59%21.7K
-30.59%21.7K
--21.7K
Total stockholders'equity
-51.55%146.51K
-118.92%-16.01K
-8.11%107.61K
-8.11%107.61K
63.31%281.55K
48.31%302.37K
-72.08%84.62K
-69.42%117.11K
-69.42%117.11K
-63.20%172.4K
Total equity
-51.55%146.51K
-118.92%-16.01K
-8.11%107.61K
-8.11%107.61K
63.31%281.55K
48.31%302.37K
-72.08%84.62K
-69.42%117.11K
-69.42%117.11K
-63.20%172.4K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(Q2)May 31, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments -35.24%155.22K-18.29%29.51K17.67%98.9K17.67%98.9K97.18%211.28K73.77%239.67K-86.34%36.11K-74.23%84.05K-74.23%84.05K-75.81%107.15K
-Cash and cash equivalents -35.24%155.22K-18.29%29.51K17.67%98.9K17.67%98.9K97.18%211.28K73.77%239.67K-86.34%36.11K-74.23%84.05K-74.23%84.05K-75.81%107.15K
Receivables 114.03%6.67K144.79%3.6K363.80%5.02K363.80%5.02K-8.28%1.64K-27.97%3.11K90.78%1.47K-82.65%1.08K-82.65%1.08K-80.82%1.79K
-Taxes receivable 114.03%6.67K123.21%3.28K225.95%3.53K225.95%3.53K-8.28%1.64K-26.28%3.11K118.93%1.47K-82.65%1.08K-82.65%1.08K-80.82%1.79K
-Other receivables ------317--1.49K--1.49K------------------------
Prepaid assets -27.90%9.82K-31.26%8.87K-34.31%5.35K-34.31%5.35K-28.83%6.73K367.39%13.62K2,148.26%12.91K103.78%8.15K103.78%8.15K215.30%9.46K
Current deferred assets --------------------------7.77K------------
Total current assets -33.03%171.7K-27.95%41.98K17.14%109.27K17.14%109.27K85.52%219.65K76.63%256.4K-78.08%58.26K-72.27%93.28K-72.27%93.28K-74.00%118.4K
Non current assets
Net PPE -66.72%26.91K-67.50%27.85K-68.19%28.79K-68.19%28.79K-21.06%75.16K-20.06%80.86K-15.74%85.68K-9.87%90.5K-9.87%90.5K10.24%95.2K
-Gross PPE -69.26%39.28K-69.26%39.28K-44.81%70.52K-44.81%70.52K-0.60%126.9K-0.79%127.78K2.75%127.78K7.80%127.78K7.80%127.78K27.05%127.67K
-Accumulated depreciation 73.63%-12.37K72.84%-11.43K-11.94%-41.73K-11.94%-41.73K-59.38%-51.74K-69.72%-46.92K-85.61%-42.1K-105.71%-37.28K-105.71%-37.28K-129.84%-32.46K
Total non current assets -66.72%26.91K-67.50%27.85K-68.19%28.79K-68.19%28.79K-21.06%75.16K-20.06%80.86K-15.74%85.68K-9.87%90.5K-9.87%90.5K10.24%95.2K
Total assets -41.11%198.61K-51.49%69.82K-24.88%138.06K-24.88%138.06K38.02%294.81K36.92%337.26K-60.83%143.94K-57.93%183.78K-57.93%183.78K-60.56%213.6K
Liabilities
Current liabilities
Payables 81.21%46.82K22.89%40.33K-99.23%262-99.23%262-80.91%5.47K-17.45%25.84K-12.78%32.82K23.38%33.97K23.38%33.97K23.50%28.66K
-accounts payable 22.07%31.54K299.72%31.26K-92.95%262-92.95%2626.51%3.9K310.34%25.84K46.28%7.82K46.92%3.72K46.92%3.72K-68.15%3.66K
-Due to related parties current --15K--9.08K--0--0--1.58K--0--0--5.25K--5.25K----
-Other payable --278--------------------0.00%25K0.00%25K0.00%25K--25K
Current accrued expenses 6.17%5.29K----31.27%30.19K31.27%30.19K593.68%7.79K--4.98K95.66%19.57K130.00%23K130.00%23K-64.36%1.12K
Current debt and capital lease obligation ----556.66%45.5K-------------63.39%4.08K-38.83%6.93K-16.39%9.71K-16.39%9.71K-67.77%11.42K
-Current debt ------45.5K--------------------------------
-Current capital lease obligation ----------0--0--0-63.39%4.08K-38.83%6.93K-16.39%9.71K-16.39%9.71K9.48%11.42K
Current liabilities 49.32%52.1K44.71%85.83K-54.33%30.45K-54.33%30.45K-67.82%13.26K-17.78%34.89K0.61%59.32K35.68%66.68K35.68%66.68K-33.32%41.2K
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities 49.32%52.1K44.71%85.83K-54.33%30.45K-54.33%30.45K-67.82%13.26K-17.78%34.89K-7.82%59.32K23.85%66.68K23.85%66.68K-43.65%41.2K
Shareholders'equity
Share capital 56.38%1.78M38.74%1.24M38.74%1.24M38.74%1.24M32.09%1.18M27.28%1.14M0.86%891.99K3.22%891.99K3.22%891.99K1.78%891.99K
-common stock 56.38%1.78M38.74%1.24M38.74%1.24M38.74%1.24M32.09%1.18M27.28%1.14M0.86%891.99K3.22%891.99K3.22%891.99K1.78%891.99K
Retained earnings -106.55%-1.84M-79.87%-1.52M-71.82%-1.39M-71.82%-1.39M-24.42%-938.98K-23.06%-889.99K-36.11%-842.46K-54.05%-809.97K-54.05%-809.97K-64.42%-754.68K
Paid-in capital 0.00%13.39K0.00%13.39K0.00%13.39K0.00%13.39K0.00%13.39K0.00%13.39K0.00%13.39K0.00%13.39K0.00%13.39K-73.80%13.39K
Other equity interest 348.65%195.92K1,044.72%248.4K1,044.72%248.4K1,044.72%248.4K33.40%28.95K101.24%43.67K-10.75%21.7K-30.59%21.7K-30.59%21.7K--21.7K
Total stockholders'equity -51.55%146.51K-118.92%-16.01K-8.11%107.61K-8.11%107.61K63.31%281.55K48.31%302.37K-72.08%84.62K-69.42%117.11K-69.42%117.11K-63.20%172.4K
Total equity -51.55%146.51K-118.92%-16.01K-8.11%107.61K-8.11%107.61K63.31%281.55K48.31%302.37K-72.08%84.62K-69.42%117.11K-69.42%117.11K-63.20%172.4K
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

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