US Stock MarketDetailed Quotes

AWKNF AWAKN LIFE SCIENCES CORP

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  • 0.089
  • +0.014+19.14%
15min DelayClose Oct 18 16:00 ET
3.71MMarket Cap-1534P/E (TTM)

AWAKN LIFE SCIENCES CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jul 31, 2024
(Q1)Apr 30, 2024
(FY)Jan 31, 2024
(Q4)Jan 31, 2024
(Q3)Oct 31, 2023
(Q2)Jul 31, 2023
(Q1)Apr 30, 2023
(FY)Jan 31, 2023
(Q4)Jan 31, 2023
(Q3)Oct 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
65.83%712.71K
-69.02%120.73K
-26.06%407.3K
-26.06%407.3K
-51.03%554.66K
-10.80%429.78K
-86.18%389.7K
-66.06%550.87K
-66.06%550.87K
-79.95%1.13M
-Cash and cash equivalents
65.83%712.71K
-69.02%120.73K
-26.06%407.3K
-26.06%407.3K
-51.03%554.66K
-10.80%429.78K
-86.18%389.7K
-66.06%550.87K
-66.06%550.87K
-79.95%1.13M
Receivables
-88.91%35.88K
-84.22%34.38K
-85.63%20.61K
-85.63%20.61K
26.58%343.35K
37.05%323.5K
23.99%217.89K
10.65%143.44K
10.65%143.44K
45.08%271.25K
-Accounts receivable
-98.31%3.3K
-89.03%10.6K
-84.71%6.75K
-84.71%6.75K
363.08%212.37K
391.34%195.02K
183.21%96.62K
50.57%44.11K
50.57%44.11K
91.67%45.86K
-Other receivables
-74.64%32.58K
-80.39%23.78K
-86.04%13.86K
-86.04%13.86K
-41.88%130.99K
-34.57%128.47K
-14.37%121.28K
-1.01%99.33K
-1.01%99.33K
38.24%225.39K
Prepaid assets
31.67%112.12K
-89.91%20.73K
-75.63%68.47K
-75.63%68.47K
-63.89%140.95K
-67.29%85.15K
-23.52%205.5K
-21.72%280.94K
-21.72%280.94K
-35.61%390.32K
Total current assets
2.66%860.7K
-78.37%175.84K
-49.10%496.38K
-49.10%496.38K
-42.09%1.04M
-14.29%838.43K
-75.08%813.09K
-53.82%975.24K
-53.82%975.24K
-72.14%1.79M
Non current assets
Net PPE
-97.35%36
-99.99%279
-99.98%637
-99.98%637
-99.97%1K
-99.96%1.36K
-5.81%3.17M
-18.27%2.95M
-18.27%2.95M
-5.11%2.97M
-Gross PPE
0.49%4.35K
-99.90%4.35K
-99.88%4.33K
-99.88%4.33K
-99.88%4.35K
-99.88%4.33K
12.83%4.17M
-1.74%3.75M
-1.74%3.75M
10.40%3.58M
-Accumulated depreciation
-45.28%-4.31K
99.59%-4.07K
99.54%-3.69K
99.54%-3.69K
99.46%-3.34K
99.36%-2.97K
-205.13%-996.14K
-288.75%-799.14K
-288.75%-799.14K
-428.31%-614K
Goodwill and other intangible assets
-33.80%37.52K
-30.04%41.93K
-18.11%46.33K
-18.11%46.33K
-94.18%50.74K
-93.56%56.68K
-93.47%59.93K
-94.22%56.58K
-94.22%56.58K
-25.29%871.23K
-Goodwill
----
----
----
----
----
----
----
----
----
-25.40%827.9K
-Other intangible assets
-33.80%37.52K
-30.04%41.93K
-18.11%46.33K
-18.11%46.33K
17.09%50.74K
21.68%56.68K
20.27%59.93K
6.59%56.58K
6.59%56.58K
-23.08%43.33K
Non current prepaid assets
----
----
--0
--0
--0
--0
145.33%401.57K
136.95%408.98K
136.95%408.98K
--158.03K
Total non current assets
-35.29%37.56K
-98.84%42.21K
-98.63%46.97K
-98.63%46.97K
-98.71%51.74K
-98.60%58.04K
-18.31%3.64M
-28.25%3.42M
-28.25%3.42M
-6.91%4M
Total assets
0.20%898.26K
-95.10%218.05K
-87.63%543.35K
-87.63%543.35K
-81.17%1.09M
-82.50%896.47K
-42.33%4.45M
-36.10%4.39M
-36.10%4.39M
-46.04%5.79M
Liabilities
Current liabilities
Current debt and capital lease obligation
----
----
----
----
----
----
22.42%455.6K
8.58%386.52K
8.58%386.52K
19.75%369.82K
-Current capital lease obligation
----
----
--0
--0
--0
--0
22.42%455.6K
8.58%386.52K
8.58%386.52K
19.75%369.82K
Current deferred liabilities
1,057.17%283.66K
-77.81%9.64K
-79.96%7.42K
-79.96%7.42K
77.85%22.23K
52.59%24.51K
719.07%43.46K
253.07%37.01K
253.07%37.01K
--12.5K
Other current liabilities
----
----
----
----
----
----
-75.27%31.21K
-71.53%57.63K
-71.53%57.63K
-80.19%39.31K
Current liabilities
21.80%2.46M
-34.59%2.04M
-15.80%2.07M
-15.80%2.07M
-26.91%2.04M
-4.80%2.02M
34.27%3.12M
32.69%2.46M
32.69%2.46M
35.04%2.79M
Non current liabilities
Long term debt and capital lease obligation
----
----
--0
--0
--0
--0
51.82%2.03M
31.41%1.91M
31.41%1.91M
20.99%1.8M
-Long term debt
----
----
----
----
----
----
--674.84K
--680.52K
--680.52K
--585.03K
-Long term capital lease obligation
----
----
--0
--0
--0
--0
1.32%1.35M
-15.43%1.23M
-15.43%1.23M
-18.35%1.21M
Other non current liabilities
----
----
----
----
----
----
-91.38%39.38K
-86.91%71.26K
-86.91%71.26K
-87.43%72.49K
Total non current liabilities
--0
--0
--0
--0
--0
--0
15.34%2.07M
-0.84%1.98M
-0.84%1.98M
-9.31%1.87M
Total liabilities
21.80%2.46M
-60.66%2.04M
-53.33%2.07M
-53.33%2.07M
-56.26%2.04M
-45.20%2.02M
26.03%5.19M
15.31%4.44M
15.31%4.44M
12.87%4.66M
Shareholders'equity
Share capital
6.50%22.89M
7.33%22.38M
11.06%22.22M
11.06%22.22M
16.93%22.03M
17.31%21.49M
13.83%20.85M
23.98%20.01M
23.98%20.01M
20.85%18.84M
-common stock
6.50%22.89M
7.33%22.38M
11.06%22.22M
11.06%22.22M
16.93%22.03M
17.31%21.49M
13.83%20.85M
23.98%20.01M
23.98%20.01M
20.85%18.84M
Retained earnings
-8.80%-31.87M
-14.40%-31.51M
-19.31%-30.97M
-19.31%-30.97M
-28.51%-29.94M
-34.20%-29.29M
-41.04%-27.54M
-54.38%-25.95M
-54.38%-25.95M
-82.44%-23.3M
Paid-in capital
--7.68M
--7.57M
----
----
----
----
----
----
----
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Gains losses not affecting retained earnings
-103.91%-261.3K
-104.35%-258.92K
6.20%7.22M
6.20%7.22M
4,174.15%6.96M
3,225.14%6.68M
5,097.93%5.95M
43,278.18%6.79M
43,278.18%6.79M
700.54%162.82K
Other equity interest
----
----
----
----
----
----
----
----
----
52.82%6.14M
Total stockholders'equity
-39.02%-1.56M
-146.10%-1.82M
-280.51%-1.53M
-280.51%-1.53M
-151.36%-948.01K
-156.28%-1.12M
-118.21%-740.98K
-75.15%847.74K
-75.15%847.74K
-73.09%1.85M
Noncontrolling interests
----
----
--0
--0
--0
--0
--0
-131.03%-897.48K
-131.03%-897.48K
-184.30%-713.36K
Total equity
-39.02%-1.56M
-146.10%-1.82M
-2,976.45%-1.53M
-2,976.45%-1.53M
-183.72%-948.01K
-178.27%-1.12M
-120.60%-740.98K
-101.65%-49.74K
-101.65%-49.74K
-82.86%1.13M
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)Jul 31, 2024(Q1)Apr 30, 2024(FY)Jan 31, 2024(Q4)Jan 31, 2024(Q3)Oct 31, 2023(Q2)Jul 31, 2023(Q1)Apr 30, 2023(FY)Jan 31, 2023(Q4)Jan 31, 2023(Q3)Oct 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 65.83%712.71K-69.02%120.73K-26.06%407.3K-26.06%407.3K-51.03%554.66K-10.80%429.78K-86.18%389.7K-66.06%550.87K-66.06%550.87K-79.95%1.13M
-Cash and cash equivalents 65.83%712.71K-69.02%120.73K-26.06%407.3K-26.06%407.3K-51.03%554.66K-10.80%429.78K-86.18%389.7K-66.06%550.87K-66.06%550.87K-79.95%1.13M
Receivables -88.91%35.88K-84.22%34.38K-85.63%20.61K-85.63%20.61K26.58%343.35K37.05%323.5K23.99%217.89K10.65%143.44K10.65%143.44K45.08%271.25K
-Accounts receivable -98.31%3.3K-89.03%10.6K-84.71%6.75K-84.71%6.75K363.08%212.37K391.34%195.02K183.21%96.62K50.57%44.11K50.57%44.11K91.67%45.86K
-Other receivables -74.64%32.58K-80.39%23.78K-86.04%13.86K-86.04%13.86K-41.88%130.99K-34.57%128.47K-14.37%121.28K-1.01%99.33K-1.01%99.33K38.24%225.39K
Prepaid assets 31.67%112.12K-89.91%20.73K-75.63%68.47K-75.63%68.47K-63.89%140.95K-67.29%85.15K-23.52%205.5K-21.72%280.94K-21.72%280.94K-35.61%390.32K
Total current assets 2.66%860.7K-78.37%175.84K-49.10%496.38K-49.10%496.38K-42.09%1.04M-14.29%838.43K-75.08%813.09K-53.82%975.24K-53.82%975.24K-72.14%1.79M
Non current assets
Net PPE -97.35%36-99.99%279-99.98%637-99.98%637-99.97%1K-99.96%1.36K-5.81%3.17M-18.27%2.95M-18.27%2.95M-5.11%2.97M
-Gross PPE 0.49%4.35K-99.90%4.35K-99.88%4.33K-99.88%4.33K-99.88%4.35K-99.88%4.33K12.83%4.17M-1.74%3.75M-1.74%3.75M10.40%3.58M
-Accumulated depreciation -45.28%-4.31K99.59%-4.07K99.54%-3.69K99.54%-3.69K99.46%-3.34K99.36%-2.97K-205.13%-996.14K-288.75%-799.14K-288.75%-799.14K-428.31%-614K
Goodwill and other intangible assets -33.80%37.52K-30.04%41.93K-18.11%46.33K-18.11%46.33K-94.18%50.74K-93.56%56.68K-93.47%59.93K-94.22%56.58K-94.22%56.58K-25.29%871.23K
-Goodwill -------------------------------------25.40%827.9K
-Other intangible assets -33.80%37.52K-30.04%41.93K-18.11%46.33K-18.11%46.33K17.09%50.74K21.68%56.68K20.27%59.93K6.59%56.58K6.59%56.58K-23.08%43.33K
Non current prepaid assets ----------0--0--0--0145.33%401.57K136.95%408.98K136.95%408.98K--158.03K
Total non current assets -35.29%37.56K-98.84%42.21K-98.63%46.97K-98.63%46.97K-98.71%51.74K-98.60%58.04K-18.31%3.64M-28.25%3.42M-28.25%3.42M-6.91%4M
Total assets 0.20%898.26K-95.10%218.05K-87.63%543.35K-87.63%543.35K-81.17%1.09M-82.50%896.47K-42.33%4.45M-36.10%4.39M-36.10%4.39M-46.04%5.79M
Liabilities
Current liabilities
Current debt and capital lease obligation ------------------------22.42%455.6K8.58%386.52K8.58%386.52K19.75%369.82K
-Current capital lease obligation ----------0--0--0--022.42%455.6K8.58%386.52K8.58%386.52K19.75%369.82K
Current deferred liabilities 1,057.17%283.66K-77.81%9.64K-79.96%7.42K-79.96%7.42K77.85%22.23K52.59%24.51K719.07%43.46K253.07%37.01K253.07%37.01K--12.5K
Other current liabilities -------------------------75.27%31.21K-71.53%57.63K-71.53%57.63K-80.19%39.31K
Current liabilities 21.80%2.46M-34.59%2.04M-15.80%2.07M-15.80%2.07M-26.91%2.04M-4.80%2.02M34.27%3.12M32.69%2.46M32.69%2.46M35.04%2.79M
Non current liabilities
Long term debt and capital lease obligation ----------0--0--0--051.82%2.03M31.41%1.91M31.41%1.91M20.99%1.8M
-Long term debt --------------------------674.84K--680.52K--680.52K--585.03K
-Long term capital lease obligation ----------0--0--0--01.32%1.35M-15.43%1.23M-15.43%1.23M-18.35%1.21M
Other non current liabilities -------------------------91.38%39.38K-86.91%71.26K-86.91%71.26K-87.43%72.49K
Total non current liabilities --0--0--0--0--0--015.34%2.07M-0.84%1.98M-0.84%1.98M-9.31%1.87M
Total liabilities 21.80%2.46M-60.66%2.04M-53.33%2.07M-53.33%2.07M-56.26%2.04M-45.20%2.02M26.03%5.19M15.31%4.44M15.31%4.44M12.87%4.66M
Shareholders'equity
Share capital 6.50%22.89M7.33%22.38M11.06%22.22M11.06%22.22M16.93%22.03M17.31%21.49M13.83%20.85M23.98%20.01M23.98%20.01M20.85%18.84M
-common stock 6.50%22.89M7.33%22.38M11.06%22.22M11.06%22.22M16.93%22.03M17.31%21.49M13.83%20.85M23.98%20.01M23.98%20.01M20.85%18.84M
Retained earnings -8.80%-31.87M-14.40%-31.51M-19.31%-30.97M-19.31%-30.97M-28.51%-29.94M-34.20%-29.29M-41.04%-27.54M-54.38%-25.95M-54.38%-25.95M-82.44%-23.3M
Paid-in capital --7.68M--7.57M--------------------------------
Gains losses not affecting retained earnings -103.91%-261.3K-104.35%-258.92K6.20%7.22M6.20%7.22M4,174.15%6.96M3,225.14%6.68M5,097.93%5.95M43,278.18%6.79M43,278.18%6.79M700.54%162.82K
Other equity interest ------------------------------------52.82%6.14M
Total stockholders'equity -39.02%-1.56M-146.10%-1.82M-280.51%-1.53M-280.51%-1.53M-151.36%-948.01K-156.28%-1.12M-118.21%-740.98K-75.15%847.74K-75.15%847.74K-73.09%1.85M
Noncontrolling interests ----------0--0--0--0--0-131.03%-897.48K-131.03%-897.48K-184.30%-713.36K
Total equity -39.02%-1.56M-146.10%-1.82M-2,976.45%-1.53M-2,976.45%-1.53M-183.72%-948.01K-178.27%-1.12M-120.60%-740.98K-101.65%-49.74K-101.65%-49.74K-82.86%1.13M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

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Price Target

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