CA Stock MarketDetailed Quotes

CHGX ChitogenX Inc

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  • 0.005
  • -0.005-50.00%
15min DelayMarket Closed Nov 18 15:41 ET
415.65KMarket Cap-200P/E (TTM)

ChitogenX Inc 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
-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
--
--
(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%35K122.00%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%35K122.00%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%166K32.39%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%166K32.39%327K
Prepaid assets -46.72%65K-60.21%76K-9.84%110K-9.84%110K6.21%171K-23.75%122K45.80%191K1.67%122K1.67%122K87.21%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%32K0.00%271K0.00%271K0.00%271K0.00%271K0.00%271K0.00%271K0.00%271K0.00%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%1.16M496.61%4.57M242.72%3.2M242.72%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%1.16M496.61%4.57M242.72%3.2M242.72%3.2M--3.44M
Payables 22.13%2.42M11.80%2.35M47.64%2.19M47.64%2.19M77.74%1.98M158.36%1.98M136.07%2.1M218.45%1.48M218.45%1.48M89.13%1.11M
-accounts payable 22.13%2.42M11.80%2.35M47.64%2.19M47.64%2.19M77.74%1.98M158.36%1.98M136.07%2.1M218.45%1.48M218.45%1.48M89.13%1.11M
Current accrued expenses 8.29%679K-50.14%541K-24.33%482K-24.33%482K124.84%706K242.62%627K235.91%1.09M100.31%637K100.31%637K105.23%314K
Current deferred liabilities ----------0--0--0--0----6,150.00%750K6,150.00%750K--0
Other current liabilities ----9,600.00%97K-------------99.89%1K-99.00%1K727.34%1.15M727.34%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%3.77M273.11%7.76M286.41%7.22M286.41%7.22M692.65%6.04M
Non current liabilities
Long term debt and capital lease obligation -95.38%115K-95.25%115K38.76%3.28M38.76%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%115K38.76%3.28M38.76%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%115K2.50%3.44M2.50%3.44M18.02%3.09M12.06%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%6.61M38.09%10.83M28.61%10.58M28.61%10.58M18.94%8.66M
Shareholders'equity
Share capital 3.06%14.2M37.11%14.2M37.11%14.2M37.11%14.2M36.88%14.31M31.80%13.78M-0.94%10.36M31.25%10.36M31.25%10.36M32.49%10.46M
-common stock 3.06%14.2M37.11%14.2M37.11%14.2M37.11%14.2M36.88%14.31M31.80%13.78M-0.94%10.36M31.25%10.36M31.25%10.36M32.49%10.46M
Additional paid-in capital 55.79%4.52M69.41%4.44M57.08%4.01M57.08%4.01M52.54%3.75M22.76%2.9M19.07%2.62M21.25%2.55M21.25%2.55M31.08%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%2.18M24.17%2.88M4.27%2.39M31.62%2.41M31.62%2.41M16.49%2.32M
Total stockholders'equity -14.62%-6.77M32.71%-6.52M37.23%-6.18M37.23%-6.18M22.60%-6.01M1.57%-5.91M-100.75%-9.69M-38.56%-9.84M-38.56%-9.84M-22.90%-7.77M
Total equity -14.62%-6.77M32.71%-6.52M37.23%-6.18M37.23%-6.18M22.60%-6.01M1.57%-5.91M-100.75%-9.69M-38.56%-9.84M-38.56%-9.84M-22.90%-7.77M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-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.

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