CA Stock MarketDetailed Quotes

BTI.H Bioasis Technologies Inc

Watchlist
  • 0.005
  • 0.0000.00%
15min DelayMarket Closed Mar 18 15:52 ET
397.07KMarket Cap-125P/E (TTM)

Bioasis Technologies Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Nov 30, 2022
(Q2)Aug 31, 2022
(Q1)May 31, 2022
(FY)Feb 28, 2022
(Q4)Feb 28, 2022
(Q3)Nov 30, 2021
(Q2)Aug 31, 2021
(Q1)May 31, 2021
(FY)Feb 28, 2021
(Q4)Feb 28, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-93.96%156.52K
-83.89%568.23K
-59.17%764.97K
-36.76%1.73M
-36.76%1.73M
-3.36%2.59M
81.58%3.53M
887.02%1.87M
374.82%2.74M
374.82%2.74M
-Cash and cash equivalents
-93.96%156.52K
-83.89%568.23K
-59.17%764.97K
-36.76%1.73M
-36.76%1.73M
-3.36%2.59M
81.58%3.53M
887.02%1.87M
374.82%2.74M
374.82%2.74M
Receivables
-77.13%13.85K
-62.27%17.87K
285.28%174.1K
222.67%97.67K
222.67%97.67K
95.64%60.55K
157.74%47.36K
210.60%45.19K
126.50%30.27K
126.50%30.27K
-Accounts receivable
-77.13%13.85K
-62.27%17.87K
285.28%174.1K
222.67%97.67K
222.67%97.67K
95.64%60.55K
157.74%47.36K
210.60%45.19K
126.50%30.27K
126.50%30.27K
Prepaid assets
19.38%213.2K
15.02%322.31K
-12.70%204.23K
-4.69%278.28K
-4.69%278.28K
-0.56%178.58K
49.83%280.23K
182.86%233.95K
371.66%291.97K
371.66%291.97K
Total current assets
-86.46%383.56K
-76.44%908.41K
-46.89%1.14M
-31.13%2.11M
-31.13%2.11M
-2.13%2.83M
79.46%3.86M
649.86%2.15M
369.43%3.06M
369.43%3.06M
Non current assets
Net PPE
-90.16%42
-83.73%102
-80.30%157
-95.34%216
-95.34%216
-92.09%427
-89.75%627
-88.82%797
-78.04%4.64K
-78.04%4.64K
Goodwill and other intangible assets
700.13%1.38M
660.95%1.41M
-26.99%145.51K
-25.28%158.96K
-25.28%158.96K
-23.78%172.41K
-22.45%185.85K
-21.64%199.3K
-20.93%212.75K
-20.93%212.75K
-Other intangible assets
700.13%1.38M
660.95%1.41M
-26.99%145.51K
-25.28%158.96K
-25.28%158.96K
-23.78%172.41K
-22.45%185.85K
-21.64%199.3K
-20.93%212.75K
-20.93%212.75K
Total non current assets
698.18%1.38M
658.44%1.41M
-27.20%145.67K
-26.78%159.18K
-26.78%159.18K
-25.37%172.83K
-24.13%186.48K
-23.48%200.1K
-25.08%217.38K
-25.08%217.38K
Total assets
-41.33%1.76M
-42.53%2.32M
-45.21%1.29M
-30.84%2.27M
-30.84%2.27M
-3.85%3.01M
68.83%4.04M
328.89%2.35M
247.89%3.28M
247.89%3.28M
Liabilities
Current liabilities
Current debt and capital lease obligation
0.00%1.5M
33.33%1.5M
1,288.32%1.5M
2,592.80%1.5M
2,592.80%1.5M
3,291.36%1.5M
2,443.52%1.13M
-80.28%108.04K
-88.53%55.7K
-88.53%55.7K
-Current debt
0.00%1.5M
33.33%1.5M
1,288.32%1.5M
2,592.80%1.5M
2,592.80%1.5M
3,291.36%1.5M
2,443.52%1.13M
-80.28%108.04K
-88.53%55.7K
-88.53%55.7K
Payables
52.49%1.86M
6.27%1.54M
-26.65%1.2M
-19.20%1.49M
-19.20%1.49M
-26.62%1.22M
-13.62%1.45M
-35.36%1.64M
-7.41%1.84M
-7.41%1.84M
-accounts payable
52.49%1.86M
6.27%1.54M
-26.65%1.2M
-19.20%1.49M
-19.20%1.49M
-26.62%1.22M
-13.62%1.45M
-35.36%1.64M
-7.41%1.84M
-7.41%1.84M
Current deferred liabilities
--245.03K
944.30%393.96K
--321.39K
----
----
----
--37.73K
----
----
----
Current liabilities
32.54%3.6M
31.47%3.43M
72.95%3.03M
57.41%2.99M
57.41%2.99M
59.44%2.72M
51.67%2.61M
-43.33%1.75M
-23.32%1.9M
-23.32%1.9M
Non current liabilities
Long term debt and capital lease obligation
37.05%713.59K
-22.78%503.67K
--273.36K
594.77%401.76K
594.77%401.76K
625.11%520.68K
799.67%652.22K
----
-88.83%57.83K
-88.83%57.83K
-Long term debt
37.05%713.59K
-22.78%503.67K
--273.36K
594.77%401.76K
594.77%401.76K
625.11%520.68K
799.67%652.22K
----
-88.83%57.83K
-88.83%57.83K
Derivative product liabilities
-89.21%142.96K
-92.10%85.6K
-79.26%135.69K
-13.17%792.04K
-13.17%792.04K
35.96%1.33M
-6.69%1.08M
148.55%654.38K
110.46%912.17K
110.46%912.17K
Total non current liabilities
-53.60%856.55K
-66.06%589.27K
-37.49%409.05K
23.07%1.19M
23.07%1.19M
76.39%1.85M
40.69%1.74M
148.55%654.38K
1.96%969.99K
1.96%969.99K
Total liabilities
-2.29%4.46M
-7.47%4.02M
42.88%3.43M
45.80%4.18M
45.80%4.18M
65.89%4.56M
47.09%4.35M
-28.25%2.4M
-16.30%2.87M
-16.30%2.87M
Shareholders'equity
Share capital
5.49%28.75M
5.49%28.75M
0.72%27.45M
0.72%27.45M
0.72%27.45M
4.30%27.26M
4.30%27.26M
4.41%27.26M
7.24%27.26M
7.24%27.26M
-common stock
5.49%28.75M
5.49%28.75M
0.72%27.45M
0.72%27.45M
0.72%27.45M
4.30%27.26M
4.30%27.26M
4.41%27.26M
7.24%27.26M
7.24%27.26M
Additional paid-in capital
2.42%11.36M
2.62%11.35M
3.54%11.1M
4.13%11.1M
4.13%11.1M
3.56%11.09M
3.47%11.06M
1.90%10.72M
1.78%10.66M
1.78%10.66M
Retained earnings
-7.17%-42.96M
-8.15%-41.98M
-6.94%-40.89M
-7.85%-40.65M
-7.85%-40.65M
-9.52%-40.09M
-3.50%-38.81M
3.08%-38.23M
1.82%-37.69M
1.82%-37.69M
Gains losses not affecting retained earnings
-14.38%155.37K
-9.33%169.91K
-8.57%186.3K
-0.59%184.56K
-0.59%184.56K
32.66%181.46K
66.56%187.39K
1,062.21%203.77K
1,001.47%185.65K
1,001.47%185.65K
Total stockholders'equity
-72.95%-2.7M
-455.34%-1.7M
-4,123.79%-2.15M
-570.87%-1.92M
-570.87%-1.92M
-517.14%-1.56M
45.51%-306.25K
98.19%-50.79K
116.38%407.2K
116.38%407.2K
Total equity
-72.95%-2.7M
-455.34%-1.7M
-4,123.79%-2.15M
-570.87%-1.92M
-570.87%-1.92M
-517.14%-1.56M
45.51%-306.25K
98.19%-50.79K
116.38%407.2K
116.38%407.2K
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
--
(Q3)Nov 30, 2022(Q2)Aug 31, 2022(Q1)May 31, 2022(FY)Feb 28, 2022(Q4)Feb 28, 2022(Q3)Nov 30, 2021(Q2)Aug 31, 2021(Q1)May 31, 2021(FY)Feb 28, 2021(Q4)Feb 28, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -93.96%156.52K-83.89%568.23K-59.17%764.97K-36.76%1.73M-36.76%1.73M-3.36%2.59M81.58%3.53M887.02%1.87M374.82%2.74M374.82%2.74M
-Cash and cash equivalents -93.96%156.52K-83.89%568.23K-59.17%764.97K-36.76%1.73M-36.76%1.73M-3.36%2.59M81.58%3.53M887.02%1.87M374.82%2.74M374.82%2.74M
Receivables -77.13%13.85K-62.27%17.87K285.28%174.1K222.67%97.67K222.67%97.67K95.64%60.55K157.74%47.36K210.60%45.19K126.50%30.27K126.50%30.27K
-Accounts receivable -77.13%13.85K-62.27%17.87K285.28%174.1K222.67%97.67K222.67%97.67K95.64%60.55K157.74%47.36K210.60%45.19K126.50%30.27K126.50%30.27K
Prepaid assets 19.38%213.2K15.02%322.31K-12.70%204.23K-4.69%278.28K-4.69%278.28K-0.56%178.58K49.83%280.23K182.86%233.95K371.66%291.97K371.66%291.97K
Total current assets -86.46%383.56K-76.44%908.41K-46.89%1.14M-31.13%2.11M-31.13%2.11M-2.13%2.83M79.46%3.86M649.86%2.15M369.43%3.06M369.43%3.06M
Non current assets
Net PPE -90.16%42-83.73%102-80.30%157-95.34%216-95.34%216-92.09%427-89.75%627-88.82%797-78.04%4.64K-78.04%4.64K
Goodwill and other intangible assets 700.13%1.38M660.95%1.41M-26.99%145.51K-25.28%158.96K-25.28%158.96K-23.78%172.41K-22.45%185.85K-21.64%199.3K-20.93%212.75K-20.93%212.75K
-Other intangible assets 700.13%1.38M660.95%1.41M-26.99%145.51K-25.28%158.96K-25.28%158.96K-23.78%172.41K-22.45%185.85K-21.64%199.3K-20.93%212.75K-20.93%212.75K
Total non current assets 698.18%1.38M658.44%1.41M-27.20%145.67K-26.78%159.18K-26.78%159.18K-25.37%172.83K-24.13%186.48K-23.48%200.1K-25.08%217.38K-25.08%217.38K
Total assets -41.33%1.76M-42.53%2.32M-45.21%1.29M-30.84%2.27M-30.84%2.27M-3.85%3.01M68.83%4.04M328.89%2.35M247.89%3.28M247.89%3.28M
Liabilities
Current liabilities
Current debt and capital lease obligation 0.00%1.5M33.33%1.5M1,288.32%1.5M2,592.80%1.5M2,592.80%1.5M3,291.36%1.5M2,443.52%1.13M-80.28%108.04K-88.53%55.7K-88.53%55.7K
-Current debt 0.00%1.5M33.33%1.5M1,288.32%1.5M2,592.80%1.5M2,592.80%1.5M3,291.36%1.5M2,443.52%1.13M-80.28%108.04K-88.53%55.7K-88.53%55.7K
Payables 52.49%1.86M6.27%1.54M-26.65%1.2M-19.20%1.49M-19.20%1.49M-26.62%1.22M-13.62%1.45M-35.36%1.64M-7.41%1.84M-7.41%1.84M
-accounts payable 52.49%1.86M6.27%1.54M-26.65%1.2M-19.20%1.49M-19.20%1.49M-26.62%1.22M-13.62%1.45M-35.36%1.64M-7.41%1.84M-7.41%1.84M
Current deferred liabilities --245.03K944.30%393.96K--321.39K--------------37.73K------------
Current liabilities 32.54%3.6M31.47%3.43M72.95%3.03M57.41%2.99M57.41%2.99M59.44%2.72M51.67%2.61M-43.33%1.75M-23.32%1.9M-23.32%1.9M
Non current liabilities
Long term debt and capital lease obligation 37.05%713.59K-22.78%503.67K--273.36K594.77%401.76K594.77%401.76K625.11%520.68K799.67%652.22K-----88.83%57.83K-88.83%57.83K
-Long term debt 37.05%713.59K-22.78%503.67K--273.36K594.77%401.76K594.77%401.76K625.11%520.68K799.67%652.22K-----88.83%57.83K-88.83%57.83K
Derivative product liabilities -89.21%142.96K-92.10%85.6K-79.26%135.69K-13.17%792.04K-13.17%792.04K35.96%1.33M-6.69%1.08M148.55%654.38K110.46%912.17K110.46%912.17K
Total non current liabilities -53.60%856.55K-66.06%589.27K-37.49%409.05K23.07%1.19M23.07%1.19M76.39%1.85M40.69%1.74M148.55%654.38K1.96%969.99K1.96%969.99K
Total liabilities -2.29%4.46M-7.47%4.02M42.88%3.43M45.80%4.18M45.80%4.18M65.89%4.56M47.09%4.35M-28.25%2.4M-16.30%2.87M-16.30%2.87M
Shareholders'equity
Share capital 5.49%28.75M5.49%28.75M0.72%27.45M0.72%27.45M0.72%27.45M4.30%27.26M4.30%27.26M4.41%27.26M7.24%27.26M7.24%27.26M
-common stock 5.49%28.75M5.49%28.75M0.72%27.45M0.72%27.45M0.72%27.45M4.30%27.26M4.30%27.26M4.41%27.26M7.24%27.26M7.24%27.26M
Additional paid-in capital 2.42%11.36M2.62%11.35M3.54%11.1M4.13%11.1M4.13%11.1M3.56%11.09M3.47%11.06M1.90%10.72M1.78%10.66M1.78%10.66M
Retained earnings -7.17%-42.96M-8.15%-41.98M-6.94%-40.89M-7.85%-40.65M-7.85%-40.65M-9.52%-40.09M-3.50%-38.81M3.08%-38.23M1.82%-37.69M1.82%-37.69M
Gains losses not affecting retained earnings -14.38%155.37K-9.33%169.91K-8.57%186.3K-0.59%184.56K-0.59%184.56K32.66%181.46K66.56%187.39K1,062.21%203.77K1,001.47%185.65K1,001.47%185.65K
Total stockholders'equity -72.95%-2.7M-455.34%-1.7M-4,123.79%-2.15M-570.87%-1.92M-570.87%-1.92M-517.14%-1.56M45.51%-306.25K98.19%-50.79K116.38%407.2K116.38%407.2K
Total equity -72.95%-2.7M-455.34%-1.7M-4,123.79%-2.15M-570.87%-1.92M-570.87%-1.92M-517.14%-1.56M45.51%-306.25K98.19%-50.79K116.38%407.2K116.38%407.2K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

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.

Heat List
CA
Overall
Symbol
Latest Price
% Chg

No Data