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ASHXF PROGRESSIVE PLANET SOLUTIONS INC

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  • 0.100
  • 0.0000.00%
15min DelayClose Oct 15 16:00 ET
11.02MMarket Cap33.27P/E (TTM)

PROGRESSIVE PLANET SOLUTIONS INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jul 31, 2024
(FY)Apr 30, 2024
(Q4)Apr 30, 2024
(Q3)Jan 31, 2024
(Q2)Oct 31, 2023
(Q1)Jul 31, 2023
(FY)Apr 30, 2023
(Q4)Apr 30, 2023
(Q3)Jan 31, 2023
(Q2)Oct 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
233.78%433.96K
60.19%2.57M
339.38%1.79M
-91.22%115.28K
-9.61%541.3K
118.24%130.01K
173.31%1.61M
154.06%406.36K
447.36%1.31M
205.59%598.83K
Net income from continuing operations
176.53%373.36K
66.27%-392.83K
10.20%-71.99K
165.38%348.69K
-650.43%-181.66K
7.38%-487.87K
64.61%-1.16M
95.25%-80.16K
31.97%-533.35K
92.45%-24.21K
Operating gains losses
145.56%16.82K
-522.71%-284.02K
-310.76%-152.67K
---123.34K
--28.91K
---36.93K
115.22%67.19K
--72.44K
----
----
Depreciation and amortization
-2.58%223.16K
3.47%943.8K
1.13%242.98K
-3.68%235.92K
8.56%235.85K
9.23%229.06K
149.86%912.15K
26.85%240.26K
259.55%244.94K
301.85%217.25K
Deferred tax
14.41%-5.73K
233.70%188.07K
194.40%207.58K
-124.52%-6.48K
-111.62%-6.34K
-288.91%-6.7K
-27.88%-140.67K
-99.90%-219.89K
--26.41K
--54.54K
Other non cash items
-0.08%150.9K
-10.47%594.05K
67.32%351.36K
-147.25%-65.01K
-9.98%156.67K
6.42%151.02K
296.34%663.55K
20.21%209.99K
--137.6K
7,120.90%174.05K
Change In working capital
-671.15%-327.64K
-65.74%373.58K
279.67%1.01M
-147.49%-658.05K
-870.48%-34.09K
110.15%57.37K
4,659.78%1.09M
5,184.32%265.59K
405.73%1.39M
104.81%4.42K
-Change in receivables
-1,916.65%-237.71K
-15.24%334.27K
551.17%637.99K
-123.77%-153.96K
-137.36%-162.85K
102.39%13.09K
106.42%394.36K
-163.15%-141.41K
510.64%647.81K
653.83%435.85K
-Change in inventory
-110.55%-30.56K
146.56%525.57K
22.96%294.07K
-143.14%-135.88K
-59.36%77.64K
154.46%289.74K
-70.34%213.16K
-66.72%239.16K
--314.96K
--191.02K
-Change in prepaid assets
68.32%-74.72K
-117.25%-22.77K
67.57%69.37K
-61.90%59.17K
-16.15%84.56K
-42.51%-235.85K
226.46%132.02K
139.18%41.39K
1,654.83%155.29K
692.49%100.84K
-Change in payables and accrued expense
-51.39%15.35K
-230.40%-330.28K
-9.20%247.33K
-594.80%-575.08K
94.98%-34.11K
-94.20%31.58K
137.91%253.29K
137.96%272.39K
-26.94%116.22K
-18,632.97%-680.16K
-Change in other working capital
----
-236.48%-133.2K
-64.72%-240.39K
-2.52%147.69K
101.57%678
-130.47%-41.18K
185.39%97.6K
---145.94K
--151.52K
---43.13K
Cash from discontinued investing activities
Operating cash flow
233.78%433.96K
60.19%2.57M
339.38%1.79M
-91.22%115.28K
-9.61%541.3K
118.24%130.01K
173.31%1.61M
154.06%406.36K
447.36%1.31M
205.59%598.83K
Investing cash flow
Cash flow from continuing investing activities
-40.18%-270.26K
64.35%-586.95K
80.27%-31.81K
62.95%-221.7K
68.49%-140.64K
56.24%-192.8K
85.66%-1.65M
98.60%-161.28K
-298.75%-598.32K
-31.79%-446.39K
Net PPE purchase and sale
-40.18%-270.26K
66.96%-586.95K
89.08%-31.81K
62.95%-221.7K
68.49%-140.64K
56.24%-192.8K
-243.51%-1.78M
-142.99%-291.28K
-260.88%-598.32K
-1,053.32%-446.39K
Net business purchase and sale
----
--0
----
----
----
----
101.17%130K
----
----
----
Cash from discontinued investing activities
Investing cash flow
-40.18%-270.26K
64.35%-586.95K
80.27%-31.81K
62.95%-221.7K
68.49%-140.64K
56.24%-192.8K
85.66%-1.65M
98.60%-161.28K
-298.75%-598.32K
-31.79%-446.39K
Financing cash flow
Cash flow from continuing financing activities
-53.04%-411.17K
2.08%-1M
-294.07%-412.29K
82.25%-239.29K
-43.63%-83.6K
-155.27%-268.66K
-107.27%-1.03M
-100.78%-104.63K
-745.07%-1.35M
-121.42%-58.21K
Net issuance payments of debt
2.79%-261.17K
75.81%-1M
75.76%-412.29K
84.47%-239.29K
92.84%-83.6K
-203.56%-268.66K
-155.86%-4.15M
-122.71%-1.7M
-7,447.52%-1.54M
-5,738.40%-1.17M
Net common stock issuance
---150K
--0
----
----
----
--0
-79.89%1.25M
----
----
----
Proceeds from stock option exercised by employees
----
--0
--0
--0
----
----
189.86%1.9M
2,254.34%374.67K
5.88%192.17K
285.54%1.13M
Net other financing activities
----
----
----
----
----
----
85.65%-28.08K
----
----
---16K
Cash from discontinued financing activities
Financing cash flow
-53.04%-411.17K
2.08%-1M
-294.07%-412.29K
82.24%-239.29K
-41.21%-83.6K
-155.27%-268.66K
-107.27%-1.03M
-100.78%-104.63K
-744.59%-1.35M
-121.78%-59.21K
Net cash flow
Beginning cash position
139.27%1.69M
-60.21%704.55K
-38.94%344.45K
-42.33%690.16K
-66.19%373.11K
-60.21%704.55K
32.28%1.77M
-2.78%564.1K
167.01%1.2M
1.96%1.1M
Current changes in cash
25.34%-247.47K
192.04%981.25K
855.02%1.34M
45.35%-345.71K
240.07%317.05K
50.33%-331.44K
-346.73%-1.07M
-88.20%140.45K
-579.08%-632.58K
114.70%93.23K
End cash Position
285.50%1.44M
139.27%1.69M
139.27%1.69M
-38.94%344.45K
-42.33%690.16K
-66.19%373.11K
-60.21%704.55K
-60.21%704.55K
-2.78%564.1K
167.01%1.2M
Free cash flow
360.74%163.7K
1,115.18%1.74M
1,207.28%1.5M
-114.89%-106.42K
162.83%400.65K
94.56%-62.78K
93.68%-170.99K
113.20%115.08K
231.45%714.85K
125.16%152.44K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Jul 31, 2024(FY)Apr 30, 2024(Q4)Apr 30, 2024(Q3)Jan 31, 2024(Q2)Oct 31, 2023(Q1)Jul 31, 2023(FY)Apr 30, 2023(Q4)Apr 30, 2023(Q3)Jan 31, 2023(Q2)Oct 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 233.78%433.96K60.19%2.57M339.38%1.79M-91.22%115.28K-9.61%541.3K118.24%130.01K173.31%1.61M154.06%406.36K447.36%1.31M205.59%598.83K
Net income from continuing operations 176.53%373.36K66.27%-392.83K10.20%-71.99K165.38%348.69K-650.43%-181.66K7.38%-487.87K64.61%-1.16M95.25%-80.16K31.97%-533.35K92.45%-24.21K
Operating gains losses 145.56%16.82K-522.71%-284.02K-310.76%-152.67K---123.34K--28.91K---36.93K115.22%67.19K--72.44K--------
Depreciation and amortization -2.58%223.16K3.47%943.8K1.13%242.98K-3.68%235.92K8.56%235.85K9.23%229.06K149.86%912.15K26.85%240.26K259.55%244.94K301.85%217.25K
Deferred tax 14.41%-5.73K233.70%188.07K194.40%207.58K-124.52%-6.48K-111.62%-6.34K-288.91%-6.7K-27.88%-140.67K-99.90%-219.89K--26.41K--54.54K
Other non cash items -0.08%150.9K-10.47%594.05K67.32%351.36K-147.25%-65.01K-9.98%156.67K6.42%151.02K296.34%663.55K20.21%209.99K--137.6K7,120.90%174.05K
Change In working capital -671.15%-327.64K-65.74%373.58K279.67%1.01M-147.49%-658.05K-870.48%-34.09K110.15%57.37K4,659.78%1.09M5,184.32%265.59K405.73%1.39M104.81%4.42K
-Change in receivables -1,916.65%-237.71K-15.24%334.27K551.17%637.99K-123.77%-153.96K-137.36%-162.85K102.39%13.09K106.42%394.36K-163.15%-141.41K510.64%647.81K653.83%435.85K
-Change in inventory -110.55%-30.56K146.56%525.57K22.96%294.07K-143.14%-135.88K-59.36%77.64K154.46%289.74K-70.34%213.16K-66.72%239.16K--314.96K--191.02K
-Change in prepaid assets 68.32%-74.72K-117.25%-22.77K67.57%69.37K-61.90%59.17K-16.15%84.56K-42.51%-235.85K226.46%132.02K139.18%41.39K1,654.83%155.29K692.49%100.84K
-Change in payables and accrued expense -51.39%15.35K-230.40%-330.28K-9.20%247.33K-594.80%-575.08K94.98%-34.11K-94.20%31.58K137.91%253.29K137.96%272.39K-26.94%116.22K-18,632.97%-680.16K
-Change in other working capital -----236.48%-133.2K-64.72%-240.39K-2.52%147.69K101.57%678-130.47%-41.18K185.39%97.6K---145.94K--151.52K---43.13K
Cash from discontinued investing activities
Operating cash flow 233.78%433.96K60.19%2.57M339.38%1.79M-91.22%115.28K-9.61%541.3K118.24%130.01K173.31%1.61M154.06%406.36K447.36%1.31M205.59%598.83K
Investing cash flow
Cash flow from continuing investing activities -40.18%-270.26K64.35%-586.95K80.27%-31.81K62.95%-221.7K68.49%-140.64K56.24%-192.8K85.66%-1.65M98.60%-161.28K-298.75%-598.32K-31.79%-446.39K
Net PPE purchase and sale -40.18%-270.26K66.96%-586.95K89.08%-31.81K62.95%-221.7K68.49%-140.64K56.24%-192.8K-243.51%-1.78M-142.99%-291.28K-260.88%-598.32K-1,053.32%-446.39K
Net business purchase and sale ------0----------------101.17%130K------------
Cash from discontinued investing activities
Investing cash flow -40.18%-270.26K64.35%-586.95K80.27%-31.81K62.95%-221.7K68.49%-140.64K56.24%-192.8K85.66%-1.65M98.60%-161.28K-298.75%-598.32K-31.79%-446.39K
Financing cash flow
Cash flow from continuing financing activities -53.04%-411.17K2.08%-1M-294.07%-412.29K82.25%-239.29K-43.63%-83.6K-155.27%-268.66K-107.27%-1.03M-100.78%-104.63K-745.07%-1.35M-121.42%-58.21K
Net issuance payments of debt 2.79%-261.17K75.81%-1M75.76%-412.29K84.47%-239.29K92.84%-83.6K-203.56%-268.66K-155.86%-4.15M-122.71%-1.7M-7,447.52%-1.54M-5,738.40%-1.17M
Net common stock issuance ---150K--0--------------0-79.89%1.25M------------
Proceeds from stock option exercised by employees ------0--0--0--------189.86%1.9M2,254.34%374.67K5.88%192.17K285.54%1.13M
Net other financing activities ------------------------85.65%-28.08K-----------16K
Cash from discontinued financing activities
Financing cash flow -53.04%-411.17K2.08%-1M-294.07%-412.29K82.24%-239.29K-41.21%-83.6K-155.27%-268.66K-107.27%-1.03M-100.78%-104.63K-744.59%-1.35M-121.78%-59.21K
Net cash flow
Beginning cash position 139.27%1.69M-60.21%704.55K-38.94%344.45K-42.33%690.16K-66.19%373.11K-60.21%704.55K32.28%1.77M-2.78%564.1K167.01%1.2M1.96%1.1M
Current changes in cash 25.34%-247.47K192.04%981.25K855.02%1.34M45.35%-345.71K240.07%317.05K50.33%-331.44K-346.73%-1.07M-88.20%140.45K-579.08%-632.58K114.70%93.23K
End cash Position 285.50%1.44M139.27%1.69M139.27%1.69M-38.94%344.45K-42.33%690.16K-66.19%373.11K-60.21%704.55K-60.21%704.55K-2.78%564.1K167.01%1.2M
Free cash flow 360.74%163.7K1,115.18%1.74M1,207.28%1.5M-114.89%-106.42K162.83%400.65K94.56%-62.78K93.68%-170.99K113.20%115.08K231.45%714.85K125.16%152.44K
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion with Explanatory Notes------

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