(Q1)Jun 30, 2024 | (FY)Mar 31, 2024 | (Q4)Mar 31, 2024 | (Q3)Dec 31, 2023 | (Q2)Sep 30, 2023 | (Q1)Jun 30, 2023 | (FY)Mar 31, 2023 | (Q4)Mar 31, 2023 | (Q3)Dec 31, 2022 | (Q2)Sep 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 95.85%100.73K | 37.79%786.06K | 37.79%786.06K | -81.15%85.09K | -51.97%1.2M | -99.29%51.43K | -95.27%570.46K | -95.27%570.46K | -97.31%451.42K | -78.64%2.5M |
-Cash and cash equivalents | 95.85%100.73K | 37.79%786.06K | 37.79%786.06K | -81.15%85.09K | -51.97%1.2M | -99.29%51.43K | -95.27%570.46K | -95.27%570.46K | -97.31%451.42K | -78.64%2.5M |
Receivables | -2.51%2.08M | -0.42%1.81M | -0.42%1.81M | -25.41%1.8M | -22.92%1.85M | -3.34%2.13M | -24.87%1.81M | -24.87%1.81M | -1.98%2.41M | 12.49%2.4M |
-Accounts receivable | 0.34%1.52M | 19.97%1.47M | 19.97%1.47M | -20.34%1.57M | -19.85%1.61M | -17.20%1.51M | -39.00%1.22M | -39.00%1.22M | -0.69%1.98M | 22.25%2.01M |
-Other receivables | -9.45%562.25K | -42.84%336.46K | -42.84%336.46K | -48.38%224.9K | -38.67%240.21K | 63.15%620.93K | 44.88%588.6K | 44.88%588.6K | -7.43%435.66K | -20.18%391.65K |
Inventory | -13.64%1.91M | -19.58%1.88M | -19.58%1.88M | 6.06%2.05M | 14.82%2.13M | 54.82%2.22M | 177.25%2.34M | 177.25%2.34M | 436.88%1.93M | 1,469.60%1.85M |
Total current assets | -6.97%4.09M | -5.29%4.47M | -5.29%4.47M | -17.98%3.93M | -23.31%5.18M | -59.43%4.4M | -69.19%4.72M | -69.19%4.72M | -75.55%4.79M | -51.59%6.75M |
Non current assets | ||||||||||
Net PPE | -25.11%1.14M | -23.11%1.24M | -23.11%1.24M | -21.38%1.33M | 22.58%1.43M | 24.76%1.52M | 26.68%1.61M | 26.68%1.61M | 21.13%1.7M | --1.16M |
-Gross PPE | -24.56%1.15M | -22.62%1.25M | -22.62%1.25M | -20.94%1.35M | 22.99%1.44M | 25.17%1.53M | 27.10%1.62M | 27.10%1.62M | 21.61%1.7M | --1.17M |
-Accumulated depreciation | -61.06%-15.7K | -72.05%-14.22K | -72.05%-14.22K | -87.89%-12.73K | -112.60%-11.24K | -156.78%-9.75K | -257.97%-8.26K | -257.97%-8.26K | ---6.77K | ---5.29K |
Non current accounts receivable | -25.40%103.49K | 55.60%149.91K | 55.60%149.91K | 88.08%135.56K | 157.44%132.93K | --138.74K | --96.34K | --96.34K | 2,546.86%72.07K | 783.27%51.64K |
Non current prepaid assets | 0.00%85K | 0.00%85K | 0.00%85K | 0.00%85K | 0.00%85K | 0.00%85K | 0.00%85K | 0.00%85K | 157.58%85K | --85K |
Total non current assets | -23.91%1.33M | -17.78%1.47M | -17.78%1.47M | -16.14%1.55M | 26.46%1.65M | 33.79%1.74M | 32.11%1.79M | 32.11%1.79M | 29.05%1.85M | 22,160.11%1.3M |
Total assets | -11.77%5.42M | -8.72%5.94M | -8.72%5.94M | -17.46%5.49M | -15.26%6.82M | -49.43%6.14M | -60.96%6.51M | -60.96%6.51M | -68.42%6.65M | -42.28%8.05M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 15.28%4.81M | 52.02%5.22M | 52.02%5.22M | 95.34%4.66M | 269.32%4.53M | 186.27%4.17M | 196.26%3.44M | 196.26%3.44M | 66.78%2.38M | -24.40%1.23M |
-accounts payable | 15.28%4.81M | 52.02%5.22M | 52.02%5.22M | 95.34%4.66M | 269.32%4.53M | 186.27%4.17M | 196.26%3.44M | 196.26%3.44M | 66.78%2.38M | -24.40%1.23M |
Current accrued expenses | 33.89%3.2M | 171.85%4.37M | 171.85%4.37M | 161.25%2.89M | 50.45%2.12M | 92.21%2.39M | 11.91%1.61M | 11.91%1.61M | -25.61%1.11M | 31.90%1.41M |
Current debt and capital lease obligation | 82.82%11.97M | 136.67%12.09M | 136.67%12.09M | 193.80%10.13M | 506.28%8.28M | 349.52%6.55M | 191.95%5.11M | 191.95%5.11M | 157.38%3.45M | -25.40%1.37M |
-Current debt | 85.47%11.5M | 143.72%11.64M | 143.72%11.64M | 211.04%9.72M | 595.76%7.92M | 400.81%6.2M | 210.03%4.77M | 210.03%4.77M | 174.66%3.13M | -37.85%1.14M |
-Current capital lease obligation | 35.87%475.03K | 36.28%457.37K | 36.28%457.37K | 26.89%409.7K | 59.66%364.03K | 59.62%349.62K | 59.57%335.61K | 59.57%335.61K | 59.96%322.88K | --228K |
Current deferred liabilities | --79.01K | --21.55K | --21.55K | --11.04K | --8.75K | ---- | --0 | --0 | ---- | ---- |
Other current liabilities | -74.00%516.11K | -1.62%991.87K | -1.62%991.87K | 163.94%928.33K | 644.56%2.88M | 373.32%1.98M | 93.61%1.01M | 93.61%1.01M | -38.51%351.72K | -44.09%387.34K |
Current liabilities | 36.31%20.58M | 103.38%22.7M | 103.38%22.7M | 155.38%18.62M | 306.13%17.82M | 229.82%15.1M | 129.32%11.16M | 129.32%11.16M | 50.98%7.29M | -15.83%4.39M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -19.36%11.11M | -18.36%11.78M | -18.36%11.78M | -11.64%12.46M | -3.44%13.12M | 1.35%13.78M | 6.12%14.44M | 6.12%14.44M | 3.57%14.1M | 1,460.21%13.59M |
-Long term debt | -17.54%10.31M | -16.81%10.86M | -16.81%10.86M | -9.74%11.4M | -5.02%11.95M | -0.26%12.5M | 4.54%13.05M | 4.54%13.05M | 1.62%12.64M | 1,345.15%12.58M |
-Long term capital lease obligation | -37.16%803.38K | -32.99%929.12K | -32.99%929.12K | -28.04%1.05M | 16.50%1.17M | 20.40%1.28M | 23.79%1.39M | 23.79%1.39M | 24.17%1.46M | --1M |
Derivative product liabilities | 94.83%1.32M | 89.14%1.44M | 89.14%1.44M | 53.61%1.14M | 92.61%1.35M | 26.41%679.24K | 115.40%759.07K | 115.40%759.07K | 158.59%741.68K | 475.97%701.64K |
Total non current liabilities | -14.00%12.43M | -12.99%13.22M | -12.99%13.22M | -8.38%13.59M | 1.28%14.47M | 2.30%14.46M | 8.88%15.2M | 8.88%15.2M | 6.77%14.84M | 1,339.42%14.29M |
Total liabilities | 11.70%33.01M | 36.29%35.92M | 36.29%35.92M | 45.57%32.21M | 72.92%32.3M | 57.97%29.56M | 40.02%26.36M | 40.02%26.36M | 18.17%22.13M | 200.89%18.68M |
Shareholders'equity | ||||||||||
Share capital | 4,103.75%2.21M | 17,005.50%1.5M | 17,005.50%1.5M | 1,887.18%1.04M | 2,339.80%1.27M | 1.60%52.52K | -82.92%8.76K | -82.92%8.76K | 5.20%52.25K | 6.18%51.91K |
-common stock | -58.78%21.65K | 8.71%9.52K | 8.71%9.52K | -81.97%9.42K | -83.02%8.81K | 1.60%52.51K | -82.93%8.75K | -82.93%8.75K | 5.21%52.24K | 6.18%51.9K |
-Preferred stock | 31,231,385.71%2.19M | 21,270,285.71%1.49M | 21,270,285.71%1.49M | 14,697,942.86%1.03M | 15,719,787.50%1.26M | -12.50%7 | -12.50%7 | -12.50%7 | -12.50%7 | -11.11%8 |
Retained earnings | -15.73%-134.45M | -13.26%-127.5M | -13.26%-127.5M | -14.28%-123.1M | -16.60%-120.05M | -18.47%-116.17M | -21.00%-112.57M | -21.00%-112.57M | -23.73%-107.71M | -29.17%-102.97M |
Paid-in capital | 12.06%104.23M | 3.10%95.72M | 3.10%95.72M | 3.54%95.56M | 1.09%93.34M | 1.20%93.01M | 1.46%92.84M | 1.46%92.84M | 7.48%92.3M | 8.77%92.34M |
Gains losses not affecting retained earnings | 117.03%55.96K | 121.19%32.38K | 121.19%32.38K | -76.20%-251.89K | 32.43%-47.39K | 38.65%-328.63K | 80.12%-152.8K | 80.12%-152.8K | 77.52%-142.96K | 88.61%-70.14K |
Other equity interest | 1,338.89%359.71K | 976.30%269.07K | 976.30%269.07K | 0.00%25K | 0.00%25K | -65.42%25K | -75.56%25K | -75.56%25K | -99.39%25K | -99.20%25K |
Total stockholders'equity | -17.86%-27.59M | -51.05%-29.98M | -51.05%-29.98M | -72.64%-26.73M | -139.76%-25.47M | -256.86%-23.41M | -825.31%-19.85M | -825.31%-19.85M | -767.58%-15.48M | -237.16%-10.62M |
Total equity | -17.86%-27.59M | -51.05%-29.98M | -51.05%-29.98M | -72.64%-26.73M | -139.76%-25.47M | -256.86%-23.41M | -825.31%-19.85M | -825.31%-19.85M | -767.58%-15.48M | -237.16%-10.62M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- |
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