US Stock MarketDetailed Quotes

CMND Clearmind Medicine

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  • 1.6400
  • -0.0700-4.09%
Close Jul 19 16:00 ET
  • 1.5800
  • -0.0600-3.66%
Post 19:56 ET
5.43MMarket Cap-418P/E (TTM)

Clearmind Medicine Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Apr 30, 2024
(Q1)Jan 31, 2024
(FY)Oct 31, 2023
(Q4)Oct 31, 2023
(Q3)Jul 31, 2023
(Q2)Apr 30, 2023
(Q1)Jan 31, 2023
(FY)Oct 31, 2022
(Q4)Oct 31, 2022
(Q3)Jul 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
110.83%8.31M
168.17%9.37M
1,582.36%3.99M
1,582.36%3.99M
374.84%2.99M
225.07%3.94M
58.60%3.5M
-93.61%236.99K
-93.61%236.99K
-88.08%630.73K
-Cash and cash equivalents
116.26%8.31M
176.33%9.29M
4,047.73%3.92M
4,047.73%3.92M
635.64%2.9M
390.15%3.84M
52.49%3.36M
-97.45%94.62K
-97.45%94.62K
-92.54%394.54K
-Short-term investments
--0
-35.63%86.67K
-56.26%62.27K
-56.26%62.27K
-60.79%92.62K
-76.92%98.84K
--134.64K
--142.37K
--142.37K
--236.2K
Receivables
20.32%174.53K
-44.20%153.87K
141.52%173.77K
141.52%173.77K
380.69%177.22K
-23.87%145.06K
186.02%275.78K
-44.57%71.95K
-44.57%71.95K
-34.04%36.87K
-Accounts receivable
----
----
----
----
----
----
----
----
----
-34.04%36.87K
-Related party accounts receivable
62.09%105.02K
47.82%85.38K
184.83%98.34K
184.83%98.34K
--95.55K
--64.79K
--57.76K
--34.53K
--34.53K
----
-Other receivables
-13.40%69.51K
-68.59%68.49K
101.56%75.43K
101.56%75.43K
--81.67K
--80.26K
--218.02K
-71.17%37.43K
-71.17%37.43K
----
Prepaid assets
9.26%210.61K
-54.58%316.89K
179.11%29.22K
179.11%29.22K
596.59%113.8K
511.30%192.76K
813.77%697.65K
-91.90%10.47K
-91.90%10.47K
--16.34K
Total current assets
103.18%8.69M
120.28%9.84M
1,211.80%4.19M
1,211.80%4.19M
380.46%3.29M
198.29%4.28M
88.03%4.47M
-91.96%319.41K
-91.96%319.41K
-87.21%683.94K
Non current assets
Net PPE
-93.96%624
227.84%96.38K
-96.51%1.25K
-96.51%1.25K
-87.85%5.51K
-18.12%10.34K
98.06%29.4K
115.21%35.73K
115.21%35.73K
-70.20%45.31K
-Gross PPE
----
227.84%96.38K
-24.91%26.83K
-24.91%26.83K
-94.05%5.51K
-41.94%10.34K
56.54%29.4K
115.21%35.73K
115.21%35.73K
--92.52K
-Accumulated depreciation
----
----
---25.58K
---25.58K
----
----
----
----
----
---47.22K
Goodwill and other intangible assets
24.11%113.85K
-10.26%116.55K
-9.87%86.27K
-9.87%86.27K
-36.46%88.83K
-35.70%91.73K
-11.81%129.87K
-40.10%95.72K
-40.10%95.72K
-12.62%139.8K
-Other intangible assets
----
----
----
----
----
----
-11.81%129.87K
----
----
-12.62%139.8K
Related parties assets
62.09%105.02K
47.82%85.38K
184.83%98.34K
184.83%98.34K
--95.55K
--64.79K
--57.76K
--34.53K
--34.53K
----
Non current deferred assets
----
----
--0
--0
--0
--0
--0
--145.62K
--145.62K
----
Other non current assets
272.58%40.18K
176.17%41.26K
153.02%27.24K
153.02%27.24K
-62.89%5.73K
-30.22%10.78K
-4.66%14.94K
-33.28%10.77K
-33.28%10.77K
--15.43K
Total non current assets
37.04%154.65K
45.91%254.2K
-60.13%114.76K
-60.13%114.76K
-50.10%100.07K
-33.91%112.85K
-2.01%174.21K
49.49%287.83K
49.49%287.83K
-35.73%200.53K
Total assets
101.48%8.85M
117.49%10.1M
608.90%4.3M
608.90%4.3M
282.84%3.39M
173.58%4.39M
81.76%4.64M
-85.41%607.24K
-85.41%607.24K
-84.37%884.47K
Liabilities
Current liabilities
Payables
-25.11%468.17K
-2.55%760.62K
-59.53%476.83K
-59.53%476.83K
-53.72%262.23K
226.87%625.11K
419.26%780.49K
308.82%1.18M
308.82%1.18M
60.75%566.63K
-accounts payable
-28.58%421.16K
-9.59%608.52K
-56.54%446.15K
-56.54%446.15K
-49.86%230.85K
256.18%589.73K
487.90%673.03K
264.61%1.03M
264.61%1.03M
69.43%460.39K
-Due to related parties current
32.87%47.01K
41.55%152.1K
-79.78%30.68K
-79.78%30.68K
-70.47%31.38K
37.82%35.38K
199.93%107.46K
2,176.48%151.73K
2,176.48%151.73K
31.55%106.24K
Current debt and capital lease obligation
----
215.63%63.71K
----
----
----
--3.62K
--20.18K
--28.21K
--28.21K
--37.52K
-Current capital lease obligation
----
215.63%63.71K
--0
--0
--0
--3.62K
--20.18K
--28.21K
--28.21K
--37.52K
Other current liabilities
183.87%3.73M
--4.2M
1,359.81%3.12M
1,359.81%3.12M
--990.65K
--1.31M
----
--213.51K
--213.51K
----
Current liabilities
116.12%4.2M
527.69%5.03M
153.09%3.59M
153.09%3.59M
107.38%1.25M
916.17%1.94M
432.69%800.67K
392.70%1.42M
392.70%1.42M
71.40%604.15K
Non current liabilities
Long term debt and capital lease obligation
----
--30.51K
----
----
----
----
----
----
----
----
-Long term capital lease obligation
----
--30.51K
----
----
----
----
----
----
----
----
Total non current liabilities
--0
--30.51K
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
116.12%4.2M
531.50%5.06M
153.09%3.59M
153.09%3.59M
107.38%1.25M
916.17%1.94M
432.69%800.67K
392.70%1.42M
392.70%1.42M
71.40%604.15K
Shareholders'equity
Share capital
110.61%22.76M
70.41%22.52M
151.37%12.39M
151.37%12.39M
56.58%11.27M
49.95%10.81M
112.57%13.22M
-22.75%4.93M
-22.75%4.93M
13.55%7.19M
-common stock
110.61%22.76M
70.41%22.52M
151.37%12.39M
151.37%12.39M
56.58%11.27M
49.95%10.81M
112.57%13.22M
-22.75%4.93M
-22.75%4.93M
13.55%7.19M
Retained earnings
-103.51%-21.04M
-65.26%-20.14M
-82.01%-13.57M
-82.01%-13.57M
-22.55%-11.09M
-37.89%-10.34M
-138.11%-12.18M
-108.15%-7.46M
-108.15%-7.46M
-491.15%-9.05M
Gains losses not affecting retained earnings
-36.58%-21.25K
15.40%-21.25K
1.59%-15.37K
1.59%-15.37K
---16.03K
---15.56K
---25.12K
---15.61K
---15.61K
----
Other equity interest
47.86%2.95M
-5.63%2.68M
10.34%1.91M
10.34%1.91M
-7.58%1.97M
17.07%2M
117.49%2.83M
60.64%1.73M
60.64%1.73M
315.11%2.13M
Total stockholders'equity
89.86%4.65M
31.22%5.04M
187.51%711.14K
187.51%711.14K
660.99%2.13M
73.11%2.45M
59.82%3.84M
-120.97%-812.68K
-120.97%-812.68K
-94.72%280.32K
Total equity
89.86%4.65M
31.22%5.04M
187.51%711.14K
187.51%711.14K
660.99%2.13M
73.11%2.45M
59.82%3.84M
-120.97%-812.68K
-120.97%-812.68K
-94.72%280.32K
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
--
--
(Q2)Apr 30, 2024(Q1)Jan 31, 2024(FY)Oct 31, 2023(Q4)Oct 31, 2023(Q3)Jul 31, 2023(Q2)Apr 30, 2023(Q1)Jan 31, 2023(FY)Oct 31, 2022(Q4)Oct 31, 2022(Q3)Jul 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 110.83%8.31M168.17%9.37M1,582.36%3.99M1,582.36%3.99M374.84%2.99M225.07%3.94M58.60%3.5M-93.61%236.99K-93.61%236.99K-88.08%630.73K
-Cash and cash equivalents 116.26%8.31M176.33%9.29M4,047.73%3.92M4,047.73%3.92M635.64%2.9M390.15%3.84M52.49%3.36M-97.45%94.62K-97.45%94.62K-92.54%394.54K
-Short-term investments --0-35.63%86.67K-56.26%62.27K-56.26%62.27K-60.79%92.62K-76.92%98.84K--134.64K--142.37K--142.37K--236.2K
Receivables 20.32%174.53K-44.20%153.87K141.52%173.77K141.52%173.77K380.69%177.22K-23.87%145.06K186.02%275.78K-44.57%71.95K-44.57%71.95K-34.04%36.87K
-Accounts receivable -------------------------------------34.04%36.87K
-Related party accounts receivable 62.09%105.02K47.82%85.38K184.83%98.34K184.83%98.34K--95.55K--64.79K--57.76K--34.53K--34.53K----
-Other receivables -13.40%69.51K-68.59%68.49K101.56%75.43K101.56%75.43K--81.67K--80.26K--218.02K-71.17%37.43K-71.17%37.43K----
Prepaid assets 9.26%210.61K-54.58%316.89K179.11%29.22K179.11%29.22K596.59%113.8K511.30%192.76K813.77%697.65K-91.90%10.47K-91.90%10.47K--16.34K
Total current assets 103.18%8.69M120.28%9.84M1,211.80%4.19M1,211.80%4.19M380.46%3.29M198.29%4.28M88.03%4.47M-91.96%319.41K-91.96%319.41K-87.21%683.94K
Non current assets
Net PPE -93.96%624227.84%96.38K-96.51%1.25K-96.51%1.25K-87.85%5.51K-18.12%10.34K98.06%29.4K115.21%35.73K115.21%35.73K-70.20%45.31K
-Gross PPE ----227.84%96.38K-24.91%26.83K-24.91%26.83K-94.05%5.51K-41.94%10.34K56.54%29.4K115.21%35.73K115.21%35.73K--92.52K
-Accumulated depreciation -----------25.58K---25.58K-----------------------47.22K
Goodwill and other intangible assets 24.11%113.85K-10.26%116.55K-9.87%86.27K-9.87%86.27K-36.46%88.83K-35.70%91.73K-11.81%129.87K-40.10%95.72K-40.10%95.72K-12.62%139.8K
-Other intangible assets -------------------------11.81%129.87K---------12.62%139.8K
Related parties assets 62.09%105.02K47.82%85.38K184.83%98.34K184.83%98.34K--95.55K--64.79K--57.76K--34.53K--34.53K----
Non current deferred assets ----------0--0--0--0--0--145.62K--145.62K----
Other non current assets 272.58%40.18K176.17%41.26K153.02%27.24K153.02%27.24K-62.89%5.73K-30.22%10.78K-4.66%14.94K-33.28%10.77K-33.28%10.77K--15.43K
Total non current assets 37.04%154.65K45.91%254.2K-60.13%114.76K-60.13%114.76K-50.10%100.07K-33.91%112.85K-2.01%174.21K49.49%287.83K49.49%287.83K-35.73%200.53K
Total assets 101.48%8.85M117.49%10.1M608.90%4.3M608.90%4.3M282.84%3.39M173.58%4.39M81.76%4.64M-85.41%607.24K-85.41%607.24K-84.37%884.47K
Liabilities
Current liabilities
Payables -25.11%468.17K-2.55%760.62K-59.53%476.83K-59.53%476.83K-53.72%262.23K226.87%625.11K419.26%780.49K308.82%1.18M308.82%1.18M60.75%566.63K
-accounts payable -28.58%421.16K-9.59%608.52K-56.54%446.15K-56.54%446.15K-49.86%230.85K256.18%589.73K487.90%673.03K264.61%1.03M264.61%1.03M69.43%460.39K
-Due to related parties current 32.87%47.01K41.55%152.1K-79.78%30.68K-79.78%30.68K-70.47%31.38K37.82%35.38K199.93%107.46K2,176.48%151.73K2,176.48%151.73K31.55%106.24K
Current debt and capital lease obligation ----215.63%63.71K--------------3.62K--20.18K--28.21K--28.21K--37.52K
-Current capital lease obligation ----215.63%63.71K--0--0--0--3.62K--20.18K--28.21K--28.21K--37.52K
Other current liabilities 183.87%3.73M--4.2M1,359.81%3.12M1,359.81%3.12M--990.65K--1.31M------213.51K--213.51K----
Current liabilities 116.12%4.2M527.69%5.03M153.09%3.59M153.09%3.59M107.38%1.25M916.17%1.94M432.69%800.67K392.70%1.42M392.70%1.42M71.40%604.15K
Non current liabilities
Long term debt and capital lease obligation ------30.51K--------------------------------
-Long term capital lease obligation ------30.51K--------------------------------
Total non current liabilities --0--30.51K--0--0--0--0--0--0--0--0
Total liabilities 116.12%4.2M531.50%5.06M153.09%3.59M153.09%3.59M107.38%1.25M916.17%1.94M432.69%800.67K392.70%1.42M392.70%1.42M71.40%604.15K
Shareholders'equity
Share capital 110.61%22.76M70.41%22.52M151.37%12.39M151.37%12.39M56.58%11.27M49.95%10.81M112.57%13.22M-22.75%4.93M-22.75%4.93M13.55%7.19M
-common stock 110.61%22.76M70.41%22.52M151.37%12.39M151.37%12.39M56.58%11.27M49.95%10.81M112.57%13.22M-22.75%4.93M-22.75%4.93M13.55%7.19M
Retained earnings -103.51%-21.04M-65.26%-20.14M-82.01%-13.57M-82.01%-13.57M-22.55%-11.09M-37.89%-10.34M-138.11%-12.18M-108.15%-7.46M-108.15%-7.46M-491.15%-9.05M
Gains losses not affecting retained earnings -36.58%-21.25K15.40%-21.25K1.59%-15.37K1.59%-15.37K---16.03K---15.56K---25.12K---15.61K---15.61K----
Other equity interest 47.86%2.95M-5.63%2.68M10.34%1.91M10.34%1.91M-7.58%1.97M17.07%2M117.49%2.83M60.64%1.73M60.64%1.73M315.11%2.13M
Total stockholders'equity 89.86%4.65M31.22%5.04M187.51%711.14K187.51%711.14K660.99%2.13M73.11%2.45M59.82%3.84M-120.97%-812.68K-120.97%-812.68K-94.72%280.32K
Total equity 89.86%4.65M31.22%5.04M187.51%711.14K187.51%711.14K660.99%2.13M73.11%2.45M59.82%3.84M-120.97%-812.68K-120.97%-812.68K-94.72%280.32K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
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----

Analysis

Analyst Rating

No Data

Price Target

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