(Q3)Jun 30, 2024 | (Q2)Mar 31, 2024 | (Q1)Dec 31, 2023 | (FY)Sep 30, 2023 | (Q4)Sep 30, 2023 | (Q3)Jun 30, 2023 | (Q2)Mar 31, 2023 | (Q1)Dec 31, 2022 | (FY)Sep 30, 2022 | (Q4)Sep 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -46.18%17.91M | -56.79%12.56M | -44.84%20.35M | -36.51%26.48M | -36.51%26.48M | -30.73%33.28M | -47.87%29.07M | -43.62%36.89M | -40.47%41.71M | -40.47%41.71M |
-Cash and cash equivalents | -46.18%17.91M | -56.79%12.56M | -44.84%20.35M | -36.51%26.48M | -36.51%26.48M | -30.73%33.28M | -47.87%29.07M | -43.62%36.89M | -40.47%41.71M | -40.47%41.71M |
Prepaid assets | 28.88%10.09M | 54.47%9.01M | 44.83%7.86M | 176.57%7.89M | 176.57%7.89M | 180.70%7.83M | 133.13%5.84M | 115.18%5.43M | 4.06%2.85M | 4.06%2.85M |
Total current assets | -31.88%28.01M | -38.19%21.57M | -33.34%28.21M | -22.87%34.37M | -22.87%34.37M | -19.12%41.11M | -40.09%34.9M | -37.72%42.32M | -38.80%44.56M | -38.80%44.56M |
Non current assets | ||||||||||
Net PPE | -40.70%299.93K | -36.42%352.78K | -32.86%404.85K | -29.89%455.86K | -29.89%455.86K | -27.37%505.83K | -25.20%554.84K | -23.31%602.99K | -21.65%650.17K | -21.65%650.17K |
-Gross PPE | -40.70%299.93K | -36.42%352.78K | -32.86%404.85K | -29.89%455.86K | -29.89%455.86K | -27.37%505.83K | -25.20%554.84K | -23.31%602.99K | -21.65%650.17K | -21.65%650.17K |
Goodwill and other intangible assets | 0.00%68.75M | 0.00%68.75M | 0.00%68.75M | 0.00%68.75M | 0.00%68.75M | 0.00%68.75M | 0.00%68.75M | 0.00%68.75M | 0.00%68.75M | 0.00%68.75M |
-Goodwill | 0.00%9.35M | 0.00%9.35M | 0.00%9.35M | 0.00%9.35M | 0.00%9.35M | 0.00%9.35M | 0.00%9.35M | 0.00%9.35M | 0.00%9.35M | 0.00%9.35M |
-Other intangible assets | 0.00%59.4M | 0.00%59.4M | 0.00%59.4M | 0.00%59.4M | 0.00%59.4M | 0.00%59.4M | 0.00%59.4M | 0.00%59.4M | 0.00%59.4M | 0.00%59.4M |
Non current prepaid assets | 0.00%38.06K | 0.00%38.06K | 0.00%38.06K | 0.00%38.06K | 0.00%38.06K | 0.00%38.06K | 0.00%38.06K | 0.00%38.06K | 0.00%38.06K | 0.00%38.06K |
Total non current assets | -0.30%69.08M | -0.29%69.14M | -0.29%69.19M | -0.28%69.24M | -0.28%69.24M | -0.27%69.29M | -0.27%69.34M | -0.26%69.39M | -0.26%69.44M | -0.26%69.44M |
Total assets | -12.06%97.09M | -12.98%90.71M | -12.81%97.4M | -9.11%103.61M | -9.11%103.61M | -8.24%110.4M | -18.43%104.24M | -18.77%111.71M | -19.96%114M | -19.96%114M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -45.99%1.66M | -2.06%2.67M | 72.17%2.65M | 151.19%2.93M | 151.19%2.93M | 82.17%3.08M | 59.85%2.73M | -14.06%1.54M | -8.75%1.17M | -8.75%1.17M |
-accounts payable | -45.99%1.66M | -2.06%2.67M | 72.17%2.65M | 151.19%2.93M | 151.19%2.93M | 82.17%3.08M | 59.85%2.73M | -14.06%1.54M | -8.75%1.17M | -8.75%1.17M |
Current accrued expenses | -38.35%550.49K | -93.28%151.2K | -59.89%276.9K | -66.11%476.3K | -66.11%476.3K | -31.38%892.87K | 68.40%2.25M | -77.99%690.4K | 125.96%1.41M | 125.96%1.41M |
Current debt and capital lease obligation | 10.67%235.58K | 10.73%229.73K | 10.79%224K | 10.86%218.38K | 10.86%218.38K | 10.93%212.87K | 11.00%207.47K | 11.07%202.18K | 11.14%196.99K | 11.14%196.99K |
-Current capital lease obligation | 10.67%235.58K | 10.73%229.73K | 10.79%224K | 10.86%218.38K | 10.86%218.38K | 10.93%212.87K | 11.00%207.47K | 11.07%202.18K | 11.14%196.99K | 11.14%196.99K |
Current liabilities | -28.30%4.15M | -32.79%4.17M | 22.96%5.58M | 27.57%5.78M | 27.57%5.78M | 29.81%5.79M | 54.40%6.21M | -38.20%4.54M | 13.75%4.53M | 13.75%4.53M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -73.62%84.43K | -61.29%145.1K | -52.27%204.57K | -45.38%262.87K | -45.38%262.87K | -39.95%320.01K | -35.63%374.83K | -32.05%428.57K | -29.04%481.25K | -29.04%481.25K |
-Long term capital lease obligation | -73.62%84.43K | -61.29%145.1K | -52.27%204.57K | -45.38%262.87K | -45.38%262.87K | -39.95%320.01K | -35.63%374.83K | -32.05%428.57K | -29.04%481.25K | -29.04%481.25K |
Non current deferred liabilities | 9.61%6.57M | 9.85%6.43M | 10.09%6.28M | 10.36%6.14M | 10.36%6.14M | 20.22%5.99M | 17.33%5.85M | 14.44%5.71M | 11.55%5.56M | 11.55%5.56M |
Total non current liabilities | 5.39%6.65M | 5.56%6.57M | 5.74%6.49M | 5.92%6.4M | 5.92%6.4M | 14.41%6.31M | 11.79%6.22M | 9.22%6.13M | 6.69%6.04M | 6.69%6.04M |
Total liabilities | -10.73%10.81M | -13.59%10.74M | 13.06%12.07M | 15.20%12.18M | 15.20%12.18M | 21.29%12.1M | 29.66%12.43M | -17.65%10.67M | 9.61%10.57M | 9.61%10.57M |
Shareholders'equity | ||||||||||
Share capital | 13.77%180.73K | 8.70%159.1K | 8.72%158.97K | 8.65%158.86K | 8.65%158.86K | 8.71%158.86K | 0.16%146.36K | 0.12%146.21K | 0.16%146.21K | 0.16%146.21K |
-common stock | 13.77%180.73K | 8.70%159.1K | 8.72%158.97K | 8.65%158.86K | 8.65%158.86K | 8.71%158.86K | 0.16%146.36K | 0.12%146.21K | 0.16%146.21K | 0.16%146.21K |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Retained earnings | -25.14%-190.58M | -25.17%-180.01M | -28.65%-171.46M | -25.09%-162.23M | -25.09%-162.23M | -25.14%-152.29M | -27.45%-143.81M | -26.61%-133.28M | -35.02%-129.69M | -35.02%-129.69M |
Paid-in capital | 10.51%276.08M | 10.37%259.21M | 9.62%256.04M | 8.84%252.9M | 8.84%252.9M | 8.02%249.83M | 1.99%234.87M | 1.96%233.57M | 1.88%232.37M | 1.88%232.37M |
Total stockholders'equity | -12.30%85.68M | -12.98%79.37M | -15.63%84.73M | -11.67%90.83M | -11.67%90.83M | -10.97%97.7M | -22.44%91.21M | -18.98%100.43M | -22.21%102.83M | -22.21%102.83M |
Noncontrolling interests | 0.00%600.38K | 0.00%600.38K | 0.00%600.38K | 0.00%600.38K | 0.00%600.38K | 0.00%600.38K | 0.00%600.38K | 0.00%600.38K | 0.00%600.38K | 0.00%600.38K |
Total equity | -12.22%86.28M | -12.90%79.97M | -15.54%85.33M | -11.60%91.43M | -11.60%91.43M | -10.91%98.3M | -22.33%91.81M | -18.89%101.03M | -22.11%103.43M | -22.11%103.43M |
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 | -- |
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