US Stock MarketDetailed Quotes

ATIXF ANALYTIXINSIGHT INC

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  • 0.019500
  • 0.0000000.00%
15min DelayClose Oct 16 16:00 ET
1.90MMarket Cap-541P/E (TTM)

ANALYTIXINSIGHT INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-101.40%-39.24K
-81.93%296.42K
-49.19%1.28M
-49.19%1.28M
-36.33%2.05M
-35.38%2.8M
-68.53%1.64M
-58.54%2.52M
-58.54%2.52M
-53.58%3.23M
-Cash and cash equivalents
-101.40%-39.24K
-81.93%296.42K
-49.19%1.28M
-49.19%1.28M
-36.33%2.05M
-35.38%2.8M
-68.53%1.64M
-58.54%2.52M
-58.54%2.52M
-53.58%3.23M
Receivables
-91.57%31.23K
-96.28%96.82K
-86.09%70.96K
-86.09%70.96K
-81.98%176.25K
317.72%370.31K
1,048.36%2.6M
61.41%510.18K
61.41%510.18K
253.44%978.13K
-Accounts receivable
-99.83%841
-98.21%13.94K
-99.40%4.42K
-99.40%4.42K
-95.61%40.66K
1,700.67%508.42K
356.71%780.02K
294.25%734.28K
294.25%734.28K
374.43%926.48K
-Taxes receivable
--30.39K
--76.65K
-27.70%60.31K
-27.70%60.31K
----
----
----
--83.41K
--83.41K
----
-Other receivables
-67.03%92.89K
-95.35%99.12K
27,663.59%99.12K
27,663.59%99.12K
162.47%135.59K
366.29%281.72K
3,703.50%2.13M
-99.73%357
-99.73%357
-36.59%51.66K
-Recievables adjustments allowances
77.88%-92.89K
69.73%-92.89K
69.83%-92.89K
69.83%-92.89K
--0
---419.83K
---306.85K
---307.87K
---307.87K
----
Prepaid assets
-89.13%19.17K
-52.88%33.9K
-30.28%48.6K
-30.28%48.6K
-40.71%63.35K
10.91%176.4K
-38.70%71.93K
-15.56%69.7K
-15.56%69.7K
-10.61%106.86K
Restricted cash
2.35%61.3K
0.14%61.29K
-2.34%59.83K
-2.34%59.83K
-1.36%61.15K
2.75%59.89K
8.30%61.21K
6.83%61.26K
6.83%61.26K
7.58%62K
Total current assets
-97.87%72.46K
-88.84%488.42K
-53.83%1.46M
-53.83%1.46M
-46.15%2.35M
-26.56%3.4M
-21.99%4.38M
-51.62%3.16M
-51.62%3.16M
-40.94%4.37M
Non current assets
Net PPE
114.81%57.1K
-85.87%4.83K
-71.10%12.08K
-71.10%12.08K
-61.62%18.97K
41.12%26.58K
-23.23%34.2K
-41.70%41.81K
-41.70%41.81K
-50.18%49.42K
-Gross PPE
1.10%119.96K
-47.57%62.86K
-47.59%62.86K
-47.59%62.86K
-0.65%119.83K
-65.07%118.65K
-64.53%119.89K
-64.60%119.93K
-64.60%119.93K
-64.43%120.62K
-Accumulated depreciation
31.73%-62.86K
32.29%-58.03K
35.01%-50.78K
35.01%-50.78K
-41.67%-100.86K
71.30%-92.07K
70.80%-85.69K
70.75%-78.13K
70.75%-78.13K
70.32%-71.2K
Investments and advances
-6.34%2.78M
11.30%2.96M
-36.09%2.67M
-36.09%2.67M
-21.02%3.21M
-26.72%2.97M
-37.15%2.66M
-3.50%4.18M
-3.50%4.18M
-7.06%4.07M
Total non current assets
-5.26%2.84M
10.06%2.97M
-36.44%2.68M
-36.44%2.68M
-21.51%3.23M
-26.41%3M
-37.00%2.7M
-4.12%4.22M
-4.12%4.22M
-8.02%4.12M
Total assets
-55.37%2.86M
-51.13%3.46M
-43.88%4.14M
-43.88%4.14M
-34.20%5.59M
-26.49%6.4M
-28.49%7.08M
-32.48%7.38M
-32.48%7.38M
-28.53%8.49M
Liabilities
Current liabilities
Payables
----
----
----
----
--722.82K
----
----
----
----
----
-accounts payable
----
----
----
----
--698.07K
----
----
----
----
----
-Due to related parties current
----
----
----
----
--24.75K
----
----
----
----
----
Current debt and capital lease obligation
----
-80.63%5.96K
-55.14%13.56K
-55.14%13.56K
-28.67%21.4K
48.01%28.73K
-35.65%30.77K
-59.84%30.23K
-59.84%30.23K
-89.53%30.01K
-Current capital lease obligation
--0
-80.63%5.96K
-55.14%13.56K
-55.14%13.56K
-28.67%21.4K
48.01%28.73K
-35.65%30.77K
-59.84%30.23K
-59.84%30.23K
-64.61%30.01K
Current deferred liabilities
-14.45%17.28K
-14.96%17.28K
-10.41%18.74K
-10.41%18.74K
-14.41%18.29K
0.85%20.19K
-52.12%20.32K
-68.89%20.91K
-68.89%20.91K
-75.57%21.37K
Current liabilities
56.71%1.02M
52.90%908.57K
22.46%831.29K
22.46%831.29K
133.00%762.51K
47.41%650K
29.93%594.21K
26.35%678.83K
26.35%678.83K
-52.64%327.26K
Non current liabilities
Long term debt and capital lease obligation
----
--0
--0
--0
--0
-88.75%385
58.37%5.91K
187.46%13.89K
187.46%13.89K
-65.30%21.8K
-Long term capital lease obligation
----
--0
--0
--0
--0
-88.75%385
58.37%5.91K
187.46%13.89K
187.46%13.89K
-4.45%21.8K
Other non current liabilities
----
----
----
----
----
----
---1
----
----
----
Total non current liabilities
--0
--0
--0
--0
--0
-88.75%385
58.34%5.91K
187.46%13.89K
187.46%13.89K
-65.30%21.8K
Total liabilities
56.62%1.02M
51.40%908.57K
20.00%831.29K
20.00%831.29K
118.45%762.51K
46.37%650.39K
30.16%600.12K
27.79%692.72K
27.79%692.72K
-53.69%349.05K
Shareholders'equity
Share capital
0.04%29.35M
0.00%29.34M
0.00%29.34M
0.00%29.34M
0.97%29.34M
0.97%29.34M
0.97%29.34M
1.18%29.34M
1.18%29.34M
1.78%29.06M
-common stock
0.04%29.35M
0.00%29.34M
0.00%29.34M
0.00%29.34M
0.97%29.34M
0.97%29.34M
0.97%29.34M
1.18%29.34M
1.18%29.34M
1.78%29.06M
Retained earnings
-12.57%-30.45M
-12.94%-29.72M
-10.71%-28.93M
-10.71%-28.93M
-12.98%-27.99M
-9.96%-27.05M
-11.04%-26.31M
-14.26%-26.13M
-14.26%-26.13M
-11.99%-24.77M
Gains losses not affecting retained earnings
1,109.19%2.94M
1,057.65%2.92M
-16.70%2.9M
-16.70%2.9M
-93.48%251.15K
12.19%243.04K
27.04%252.66K
1,569.02%3.48M
1,569.02%3.48M
1,716.52%3.85M
Other equity interest
----
----
----
----
--3.22M
-10.38%3.22M
-17.51%3.19M
----
----
----
Total stockholders'equity
-68.04%1.84M
-60.63%2.55M
-50.49%3.31M
-50.49%3.31M
-40.75%4.82M
-30.40%5.75M
-31.35%6.48M
-35.63%6.69M
-35.63%6.69M
-26.83%8.14M
Total equity
-68.04%1.84M
-60.63%2.55M
-50.49%3.31M
-50.49%3.31M
-40.75%4.82M
-30.40%5.75M
-31.35%6.48M
-35.63%6.69M
-35.63%6.69M
-26.83%8.14M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -101.40%-39.24K-81.93%296.42K-49.19%1.28M-49.19%1.28M-36.33%2.05M-35.38%2.8M-68.53%1.64M-58.54%2.52M-58.54%2.52M-53.58%3.23M
-Cash and cash equivalents -101.40%-39.24K-81.93%296.42K-49.19%1.28M-49.19%1.28M-36.33%2.05M-35.38%2.8M-68.53%1.64M-58.54%2.52M-58.54%2.52M-53.58%3.23M
Receivables -91.57%31.23K-96.28%96.82K-86.09%70.96K-86.09%70.96K-81.98%176.25K317.72%370.31K1,048.36%2.6M61.41%510.18K61.41%510.18K253.44%978.13K
-Accounts receivable -99.83%841-98.21%13.94K-99.40%4.42K-99.40%4.42K-95.61%40.66K1,700.67%508.42K356.71%780.02K294.25%734.28K294.25%734.28K374.43%926.48K
-Taxes receivable --30.39K--76.65K-27.70%60.31K-27.70%60.31K--------------83.41K--83.41K----
-Other receivables -67.03%92.89K-95.35%99.12K27,663.59%99.12K27,663.59%99.12K162.47%135.59K366.29%281.72K3,703.50%2.13M-99.73%357-99.73%357-36.59%51.66K
-Recievables adjustments allowances 77.88%-92.89K69.73%-92.89K69.83%-92.89K69.83%-92.89K--0---419.83K---306.85K---307.87K---307.87K----
Prepaid assets -89.13%19.17K-52.88%33.9K-30.28%48.6K-30.28%48.6K-40.71%63.35K10.91%176.4K-38.70%71.93K-15.56%69.7K-15.56%69.7K-10.61%106.86K
Restricted cash 2.35%61.3K0.14%61.29K-2.34%59.83K-2.34%59.83K-1.36%61.15K2.75%59.89K8.30%61.21K6.83%61.26K6.83%61.26K7.58%62K
Total current assets -97.87%72.46K-88.84%488.42K-53.83%1.46M-53.83%1.46M-46.15%2.35M-26.56%3.4M-21.99%4.38M-51.62%3.16M-51.62%3.16M-40.94%4.37M
Non current assets
Net PPE 114.81%57.1K-85.87%4.83K-71.10%12.08K-71.10%12.08K-61.62%18.97K41.12%26.58K-23.23%34.2K-41.70%41.81K-41.70%41.81K-50.18%49.42K
-Gross PPE 1.10%119.96K-47.57%62.86K-47.59%62.86K-47.59%62.86K-0.65%119.83K-65.07%118.65K-64.53%119.89K-64.60%119.93K-64.60%119.93K-64.43%120.62K
-Accumulated depreciation 31.73%-62.86K32.29%-58.03K35.01%-50.78K35.01%-50.78K-41.67%-100.86K71.30%-92.07K70.80%-85.69K70.75%-78.13K70.75%-78.13K70.32%-71.2K
Investments and advances -6.34%2.78M11.30%2.96M-36.09%2.67M-36.09%2.67M-21.02%3.21M-26.72%2.97M-37.15%2.66M-3.50%4.18M-3.50%4.18M-7.06%4.07M
Total non current assets -5.26%2.84M10.06%2.97M-36.44%2.68M-36.44%2.68M-21.51%3.23M-26.41%3M-37.00%2.7M-4.12%4.22M-4.12%4.22M-8.02%4.12M
Total assets -55.37%2.86M-51.13%3.46M-43.88%4.14M-43.88%4.14M-34.20%5.59M-26.49%6.4M-28.49%7.08M-32.48%7.38M-32.48%7.38M-28.53%8.49M
Liabilities
Current liabilities
Payables ------------------722.82K--------------------
-accounts payable ------------------698.07K--------------------
-Due to related parties current ------------------24.75K--------------------
Current debt and capital lease obligation -----80.63%5.96K-55.14%13.56K-55.14%13.56K-28.67%21.4K48.01%28.73K-35.65%30.77K-59.84%30.23K-59.84%30.23K-89.53%30.01K
-Current capital lease obligation --0-80.63%5.96K-55.14%13.56K-55.14%13.56K-28.67%21.4K48.01%28.73K-35.65%30.77K-59.84%30.23K-59.84%30.23K-64.61%30.01K
Current deferred liabilities -14.45%17.28K-14.96%17.28K-10.41%18.74K-10.41%18.74K-14.41%18.29K0.85%20.19K-52.12%20.32K-68.89%20.91K-68.89%20.91K-75.57%21.37K
Current liabilities 56.71%1.02M52.90%908.57K22.46%831.29K22.46%831.29K133.00%762.51K47.41%650K29.93%594.21K26.35%678.83K26.35%678.83K-52.64%327.26K
Non current liabilities
Long term debt and capital lease obligation ------0--0--0--0-88.75%38558.37%5.91K187.46%13.89K187.46%13.89K-65.30%21.8K
-Long term capital lease obligation ------0--0--0--0-88.75%38558.37%5.91K187.46%13.89K187.46%13.89K-4.45%21.8K
Other non current liabilities ---------------------------1------------
Total non current liabilities --0--0--0--0--0-88.75%38558.34%5.91K187.46%13.89K187.46%13.89K-65.30%21.8K
Total liabilities 56.62%1.02M51.40%908.57K20.00%831.29K20.00%831.29K118.45%762.51K46.37%650.39K30.16%600.12K27.79%692.72K27.79%692.72K-53.69%349.05K
Shareholders'equity
Share capital 0.04%29.35M0.00%29.34M0.00%29.34M0.00%29.34M0.97%29.34M0.97%29.34M0.97%29.34M1.18%29.34M1.18%29.34M1.78%29.06M
-common stock 0.04%29.35M0.00%29.34M0.00%29.34M0.00%29.34M0.97%29.34M0.97%29.34M0.97%29.34M1.18%29.34M1.18%29.34M1.78%29.06M
Retained earnings -12.57%-30.45M-12.94%-29.72M-10.71%-28.93M-10.71%-28.93M-12.98%-27.99M-9.96%-27.05M-11.04%-26.31M-14.26%-26.13M-14.26%-26.13M-11.99%-24.77M
Gains losses not affecting retained earnings 1,109.19%2.94M1,057.65%2.92M-16.70%2.9M-16.70%2.9M-93.48%251.15K12.19%243.04K27.04%252.66K1,569.02%3.48M1,569.02%3.48M1,716.52%3.85M
Other equity interest ------------------3.22M-10.38%3.22M-17.51%3.19M------------
Total stockholders'equity -68.04%1.84M-60.63%2.55M-50.49%3.31M-50.49%3.31M-40.75%4.82M-30.40%5.75M-31.35%6.48M-35.63%6.69M-35.63%6.69M-26.83%8.14M
Total equity -68.04%1.84M-60.63%2.55M-50.49%3.31M-50.49%3.31M-40.75%4.82M-30.40%5.75M-31.35%6.48M-35.63%6.69M-35.63%6.69M-26.83%8.14M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion----

Analysis

Analyst Rating

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Price Target

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Heat List
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