(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 | -63.64%12K | -91.31%37K | -67.59%35K | -67.59%35K | 122.00%111K | -96.25%33K | -80.55%426K | -65.50%108K | -65.50%108K | -76.19%50K |
-Cash and cash equivalents | -63.64%12K | -91.31%37K | -67.59%35K | -67.59%35K | 122.00%111K | -96.25%33K | -80.55%426K | -65.50%108K | -65.50%108K | -76.19%50K |
Receivables | -59.38%91K | -49.74%96K | -46.39%89K | -46.39%89K | -66.06%111K | -18.25%224K | -37.99%191K | -42.56%166K | -42.56%166K | 32.39%327K |
-Taxes receivable | -59.38%91K | -49.74%96K | -46.39%89K | -46.39%89K | -66.06%111K | -18.25%224K | -37.99%191K | -42.56%166K | -42.56%166K | 32.39%327K |
Prepaid assets | -46.72%65K | -60.21%76K | -9.84%110K | -9.84%110K | 6.21%171K | -23.75%122K | 45.80%191K | 1.67%122K | 1.67%122K | 87.21%161K |
Total current assets | -55.67%168K | -74.13%209K | -40.91%234K | -40.91%234K | -26.95%393K | -71.13%379K | -69.27%808K | -45.15%396K | -45.15%396K | -0.92%538K |
Non current assets | ||||||||||
Net PPE | -18.42%31K | -20.00%32K | -23.26%33K | -23.26%33K | -28.57%35K | -32.14%38K | -35.48%40K | -37.68%43K | -37.68%43K | -37.97%49K |
-Gross PPE | -88.56%31K | -88.19%32K | 0.00%271K | 0.00%271K | 0.00%271K | 0.00%271K | 0.00%271K | 0.00%271K | 0.00%271K | 0.00%271K |
-Accumulated depreciation | ---- | ---- | -4.39%-238K | -4.39%-238K | -6.31%-236K | -8.37%-233K | -10.53%-231K | -12.87%-228K | -12.87%-228K | -15.63%-222K |
Goodwill and other intangible assets | -11.31%251K | -11.00%259K | -10.70%267K | -10.70%267K | -10.42%275K | -10.16%283K | -10.19%291K | -9.94%299K | -9.94%299K | -9.71%307K |
Total non current assets | -12.15%282K | -12.08%291K | -12.28%300K | -12.28%300K | -12.92%310K | -13.48%321K | -14.25%331K | -14.71%342K | -14.71%342K | -15.04%356K |
Total assets | -35.71%450K | -56.10%500K | -27.64%534K | -27.64%534K | -21.36%703K | -58.41%700K | -62.22%1.14M | -34.28%738K | -34.28%738K | -7.07%894K |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 245.95%4.01M | -14.27%3.92M | -81.38%596K | -81.38%596K | -72.79%936K | -65.14%1.16M | 496.61%4.57M | 242.72%3.2M | 242.72%3.2M | --3.44M |
-Current debt | 245.95%4.01M | -14.27%3.92M | -81.38%596K | -81.38%596K | -72.79%936K | -65.14%1.16M | 496.61%4.57M | 242.72%3.2M | 242.72%3.2M | --3.44M |
Payables | 22.13%2.42M | 11.80%2.35M | 47.64%2.19M | 47.64%2.19M | 77.74%1.98M | 158.36%1.98M | 136.07%2.1M | 218.45%1.48M | 218.45%1.48M | 89.13%1.11M |
-accounts payable | 22.13%2.42M | 11.80%2.35M | 47.64%2.19M | 47.64%2.19M | 77.74%1.98M | 158.36%1.98M | 136.07%2.1M | 218.45%1.48M | 218.45%1.48M | 89.13%1.11M |
Current accrued expenses | 8.29%679K | -50.14%541K | -24.33%482K | -24.33%482K | 124.84%706K | 242.62%627K | 235.91%1.09M | 100.31%637K | 100.31%637K | 105.23%314K |
Current deferred liabilities | ---- | ---- | --0 | --0 | --0 | --0 | ---- | 6,150.00%750K | 6,150.00%750K | --0 |
Other current liabilities | ---- | 9,600.00%97K | ---- | ---- | ---- | -99.89%1K | -99.00%1K | 727.34%1.15M | 727.34%1.15M | --1.17M |
Current liabilities | 88.72%7.11M | -10.98%6.91M | -54.74%3.27M | -54.74%3.27M | -40.03%3.62M | -26.85%3.77M | 273.11%7.76M | 286.41%7.22M | 286.41%7.22M | 692.65%6.04M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -95.38%115K | -95.25%115K | 38.76%3.28M | 38.76%3.28M | -1.95%2.57M | -1.85%2.49M | -50.74%2.42M | -50.52%2.36M | -50.52%2.36M | -43.61%2.62M |
-Long term debt | -95.38%115K | -95.25%115K | 38.76%3.28M | 38.76%3.28M | -1.95%2.57M | -1.85%2.49M | -50.74%2.42M | -50.52%2.36M | -50.52%2.36M | -43.61%2.62M |
Derivative product liabilities | --0 | --0 | -83.53%164K | -83.53%164K | --523K | --352K | -23.23%651K | -37.04%996K | -37.04%996K | --0 |
Total non current liabilities | -95.95%115K | -96.26%115K | 2.50%3.44M | 2.50%3.44M | 18.02%3.09M | 12.06%2.84M | -46.69%3.07M | -47.17%3.36M | -47.17%3.36M | -59.81%2.62M |
Total liabilities | 9.29%7.22M | -35.17%7.02M | -36.57%6.71M | -36.57%6.71M | -22.47%6.71M | -14.01%6.61M | 38.09%10.83M | 28.61%10.58M | 28.61%10.58M | 18.94%8.66M |
Shareholders'equity | ||||||||||
Share capital | 3.06%14.2M | 37.11%14.2M | 37.11%14.2M | 37.11%14.2M | 36.88%14.31M | 31.80%13.78M | -0.94%10.36M | 31.25%10.36M | 31.25%10.36M | 32.49%10.46M |
-common stock | 3.06%14.2M | 37.11%14.2M | 37.11%14.2M | 37.11%14.2M | 36.88%14.31M | 31.80%13.78M | -0.94%10.36M | 31.25%10.36M | 31.25%10.36M | 32.49%10.46M |
Additional paid-in capital | 55.79%4.52M | 69.41%4.44M | 57.08%4.01M | 57.08%4.01M | 52.54%3.75M | 22.76%2.9M | 19.07%2.62M | 21.25%2.55M | 21.25%2.55M | 31.08%2.46M |
Retained earnings | -6.80%-27.2M | -7.21%-26.87M | -6.18%-26.71M | -6.18%-26.71M | -14.16%-26.25M | -20.48%-25.47M | -26.71%-25.06M | -32.92%-25.16M | -32.92%-25.16M | -27.23%-23M |
Other equity interest | -40.74%1.71M | -28.69%1.71M | -3.37%2.33M | -3.37%2.33M | -5.91%2.18M | 24.17%2.88M | 4.27%2.39M | 31.62%2.41M | 31.62%2.41M | 16.49%2.32M |
Total stockholders'equity | -14.62%-6.77M | 32.71%-6.52M | 37.23%-6.18M | 37.23%-6.18M | 22.60%-6.01M | 1.57%-5.91M | -100.75%-9.69M | -38.56%-9.84M | -38.56%-9.84M | -22.90%-7.77M |
Total equity | -14.62%-6.77M | 32.71%-6.52M | 37.23%-6.18M | 37.23%-6.18M | 22.60%-6.01M | 1.57%-5.91M | -100.75%-9.69M | -38.56%-9.84M | -38.56%-9.84M | -22.90%-7.77M |
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 | -- | -- | -- | -- | 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.
No Data