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AVL Avalon Advanced Materials Inc

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  • 0.040
  • +0.005+14.29%
15min DelayTrading Nov 28 09:30 ET
22.60MMarket Cap-5714P/E (TTM)

Avalon Advanced Materials Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Nov 30, 2023
(Q3)May 31, 2023
(Q2)Feb 28, 2023
(Q1)Nov 30, 2022
(Q3)May 31, 2022
(Q2)Feb 28, 2022
(Q1)Nov 30, 2021
(FY)Aug 31, 2021
(Q4)Aug 31, 2021
(Q3)May 31, 2021
Operating cash flow (direct method)
Cash income from operating activities
36K
-91.34%9.94K
77.61%4.2K
-76.83%2.04K
Revenue from customers
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----
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----
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-91.34%9.94K
77.61%4.2K
-76.83%2.04K
Other cash income from operating activities
--36K
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----
----
----
----
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----
Cash paid
-46.21%-852.26K
36.87%-480.36K
-69.94%-823.76K
-24.84%-582.91K
-20.33%-760.96K
25.67%-484.74K
-46.64%-466.91K
0.82%-2.04M
-42.58%-439.45K
-7.89%-632.37K
Payments to suppliers for goods and services
-41.17%-450.36K
56.80%-179.16K
-198.42%-583.7K
-67.79%-319.03K
-33.30%-414.7K
32.64%-195.6K
-22.59%-190.14K
-48.72%-983.27K
-63.66%-225.82K
-58.13%-311.11K
Cash paid on behalf of employees
-52.30%-401.9K
13.01%-301.21K
16.97%-240.07K
4.66%-263.88K
-7.78%-346.26K
20.07%-289.14K
-69.48%-276.77K
24.24%-1.06M
-25.50%-213.63K
17.49%-321.26K
Direct interest received
-0.70%15.79K
190.81%11.39K
1,898.71%24.72K
1,393.15%15.9K
89.83%3.92K
-6.64%1.24K
4.82%1.07K
-75.28%6.13K
63.38%1.72K
-45.60%2.06K
Operating cash flow
-41.17%-800.47K
38.05%-468.97K
-65.26%-799.04K
-21.72%-567.01K
-20.50%-757.04K
25.66%-483.5K
-48.33%-465.84K
-5.55%-2.03M
-42.24%-433.52K
-9.55%-628.27K
Investing cash flow
Cash flow from continuing investing activities
-26.78%-940.94K
-711.95%-687.82K
-387.04%-959.87K
-179.73%-742.18K
88.60%-84.71K
-86.04%-197.08K
-151.45%-265.32K
-233.18%-1.38M
-240.88%-424.23K
-5,421.62%-742.88K
Net PPE purchase and sale
72.40%-204.87K
-711.95%-687.82K
-387.04%-959.87K
-179.73%-742.18K
84.40%-84.71K
-86.04%-197.08K
-151.45%-265.32K
-213.86%-1.18M
-240.88%-424.23K
-3,935.08%-542.88K
Net business purchase and sale
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----
---200K
--0
---200K
Net other investing changes
---736.07K
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----
----
----
----
----
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Cash from discontinued investing activities
Investing cash flow
-26.78%-940.94K
-711.95%-687.82K
-387.04%-959.87K
-179.73%-742.18K
88.60%-84.71K
-86.04%-197.08K
-151.45%-265.32K
-233.18%-1.38M
-240.88%-424.23K
-5,421.62%-742.88K
Financing cash flow
Cash flow from continuing financing activities
-140.70%-70.09K
-101.48%-49.04K
44.93%1.81M
1,101.22%172.19K
370.84%3.32M
-62.03%1.25M
47.82%-17.2K
1,212.20%3.94M
-105.79%-26.27K
1,428.40%705.31K
Net issuance payments of debt
-25.58%-70.09K
-102.03%-58.04K
-25.69%-57.3K
-224.51%-55.81K
7,730.24%2.86M
-101.57%-45.59K
26.66%-17.2K
1,463.37%2.82M
46.79%-28.25K
29.35%-37.51K
Net common stock issuance
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--0
46.06%1.87M
----
--0
--1.28M
----
-50.66%250.23K
-101.58%-8.02K
--267.75K
Proceeds from stock option exercised by employees
--0
-98.04%9K
--0
--228K
-3.48%458.55K
-95.78%16K
--0
--863.83K
--10K
--475.08K
Cash from discontinued financing activities
Financing cash flow
-140.70%-70.09K
-101.48%-49.04K
44.93%1.81M
1,101.22%172.19K
370.84%3.32M
-62.03%1.25M
47.82%-17.2K
1,212.20%3.94M
-105.79%-26.27K
1,428.40%705.31K
Net cash flow
Beginning cash position
-14.84%2.58M
18.44%1.95M
76.27%1.9M
66.28%3.03M
-51.31%1.64M
27.50%1.08M
40.73%1.82M
-31.15%1.3M
113.31%2.71M
76.68%3.38M
Current changes in cash
-59.32%-1.81M
-148.64%-1.21M
-90.83%52.17K
-51.93%-1.14M
472.34%2.48M
-77.55%569.01K
-65.37%-748.36K
190.76%531.4K
-3,669.20%-884.02K
-4.03%-665.83K
Effect of exchange rate changes
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-488.91%-3.66K
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End cash Position
-59.34%770.61K
-82.02%741.38K
18.44%1.95M
76.27%1.9M
52.09%4.12M
-51.31%1.64M
27.50%1.08M
40.73%1.82M
40.73%1.82M
113.31%2.71M
Free cash from
23.21%-1.01M
-37.43%-1.16M
-158.44%-1.76M
-79.06%-1.31M
28.13%-841.75K
10.02%-680.58K
-74.26%-731.16K
-20.34%-3.21M
-99.83%-857.75K
-99.53%-1.17M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(Q1)Nov 30, 2023(Q3)May 31, 2023(Q2)Feb 28, 2023(Q1)Nov 30, 2022(Q3)May 31, 2022(Q2)Feb 28, 2022(Q1)Nov 30, 2021(FY)Aug 31, 2021(Q4)Aug 31, 2021(Q3)May 31, 2021
Operating cash flow (direct method)
Cash income from operating activities 36K-91.34%9.94K77.61%4.2K-76.83%2.04K
Revenue from customers -----------------------------91.34%9.94K77.61%4.2K-76.83%2.04K
Other cash income from operating activities --36K------------------------------------
Cash paid -46.21%-852.26K36.87%-480.36K-69.94%-823.76K-24.84%-582.91K-20.33%-760.96K25.67%-484.74K-46.64%-466.91K0.82%-2.04M-42.58%-439.45K-7.89%-632.37K
Payments to suppliers for goods and services -41.17%-450.36K56.80%-179.16K-198.42%-583.7K-67.79%-319.03K-33.30%-414.7K32.64%-195.6K-22.59%-190.14K-48.72%-983.27K-63.66%-225.82K-58.13%-311.11K
Cash paid on behalf of employees -52.30%-401.9K13.01%-301.21K16.97%-240.07K4.66%-263.88K-7.78%-346.26K20.07%-289.14K-69.48%-276.77K24.24%-1.06M-25.50%-213.63K17.49%-321.26K
Direct interest received -0.70%15.79K190.81%11.39K1,898.71%24.72K1,393.15%15.9K89.83%3.92K-6.64%1.24K4.82%1.07K-75.28%6.13K63.38%1.72K-45.60%2.06K
Operating cash flow -41.17%-800.47K38.05%-468.97K-65.26%-799.04K-21.72%-567.01K-20.50%-757.04K25.66%-483.5K-48.33%-465.84K-5.55%-2.03M-42.24%-433.52K-9.55%-628.27K
Investing cash flow
Cash flow from continuing investing activities -26.78%-940.94K-711.95%-687.82K-387.04%-959.87K-179.73%-742.18K88.60%-84.71K-86.04%-197.08K-151.45%-265.32K-233.18%-1.38M-240.88%-424.23K-5,421.62%-742.88K
Net PPE purchase and sale 72.40%-204.87K-711.95%-687.82K-387.04%-959.87K-179.73%-742.18K84.40%-84.71K-86.04%-197.08K-151.45%-265.32K-213.86%-1.18M-240.88%-424.23K-3,935.08%-542.88K
Net business purchase and sale -------------------------------200K--0---200K
Net other investing changes ---736.07K------------------------------------
Cash from discontinued investing activities
Investing cash flow -26.78%-940.94K-711.95%-687.82K-387.04%-959.87K-179.73%-742.18K88.60%-84.71K-86.04%-197.08K-151.45%-265.32K-233.18%-1.38M-240.88%-424.23K-5,421.62%-742.88K
Financing cash flow
Cash flow from continuing financing activities -140.70%-70.09K-101.48%-49.04K44.93%1.81M1,101.22%172.19K370.84%3.32M-62.03%1.25M47.82%-17.2K1,212.20%3.94M-105.79%-26.27K1,428.40%705.31K
Net issuance payments of debt -25.58%-70.09K-102.03%-58.04K-25.69%-57.3K-224.51%-55.81K7,730.24%2.86M-101.57%-45.59K26.66%-17.2K1,463.37%2.82M46.79%-28.25K29.35%-37.51K
Net common stock issuance ------046.06%1.87M------0--1.28M-----50.66%250.23K-101.58%-8.02K--267.75K
Proceeds from stock option exercised by employees --0-98.04%9K--0--228K-3.48%458.55K-95.78%16K--0--863.83K--10K--475.08K
Cash from discontinued financing activities
Financing cash flow -140.70%-70.09K-101.48%-49.04K44.93%1.81M1,101.22%172.19K370.84%3.32M-62.03%1.25M47.82%-17.2K1,212.20%3.94M-105.79%-26.27K1,428.40%705.31K
Net cash flow
Beginning cash position -14.84%2.58M18.44%1.95M76.27%1.9M66.28%3.03M-51.31%1.64M27.50%1.08M40.73%1.82M-31.15%1.3M113.31%2.71M76.68%3.38M
Current changes in cash -59.32%-1.81M-148.64%-1.21M-90.83%52.17K-51.93%-1.14M472.34%2.48M-77.55%569.01K-65.37%-748.36K190.76%531.4K-3,669.20%-884.02K-4.03%-665.83K
Effect of exchange rate changes -----------------------------488.91%-3.66K--------
End cash Position -59.34%770.61K-82.02%741.38K18.44%1.95M76.27%1.9M52.09%4.12M-51.31%1.64M27.50%1.08M40.73%1.82M40.73%1.82M113.31%2.71M
Free cash from 23.21%-1.01M-37.43%-1.16M-158.44%-1.76M-79.06%-1.31M28.13%-841.75K10.02%-680.58K-74.26%-731.16K-20.34%-3.21M-99.83%-857.75K-99.53%-1.17M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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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