(Q1)Jul 31, 2024 | (FY)Apr 30, 2024 | (Q4)Apr 30, 2024 | (Q3)Jan 31, 2024 | (Q2)Oct 31, 2023 | (Q1)Jul 31, 2023 | (FY)Apr 30, 2023 | (Q4)Apr 30, 2023 | (Q3)Jan 31, 2023 | (Q2)Oct 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 346.03%196.11K | -82.63%56.27K | -82.63%56.27K | 60.86%235.08K | -82.29%209.42K | -98.01%43.97K | -86.86%324.05K | -86.86%324.05K | -95.93%146.14K | -70.77%1.18M |
-Cash and cash equivalents | 346.03%196.11K | -82.63%56.27K | -82.63%56.27K | 60.86%235.08K | -82.29%209.42K | -98.01%43.97K | -86.86%324.05K | -86.86%324.05K | -95.93%146.14K | -70.77%1.18M |
Receivables | 66.27%185.93K | 210.26%184.27K | 210.26%184.27K | -69.15%170.05K | -72.58%165.23K | -88.39%111.82K | -92.91%59.39K | -92.91%59.39K | 40.43%551.21K | 135.07%602.55K |
-Accounts receivable | 104.78%52.44K | -15.30%38.02K | -15.30%38.02K | -65.00%37.17K | -68.03%34.03K | -19.13%25.61K | -88.78%44.89K | -88.78%44.89K | 63.24%106.19K | 43.39%106.46K |
-Notes receivable | 0.00%100 | 0.00%100 | 0.00%100 | -99.97%100 | -99.97%100 | --100 | --100 | --100 | --312.3K | --312.3K |
-Taxes receivable | --133.39K | 914.71%146.15K | 914.71%146.15K | ---- | ---- | ---- | --14.4K | --14.4K | ---- | ---- |
-Other receivables | ---- | ---- | ---- | 0.04%132.78K | -28.67%131.1K | -90.76%86.12K | ---- | ---- | -59.47%132.73K | 0.93%183.79K |
Inventory | 53.79%474.6K | 73.80%1.22M | 73.80%1.22M | -21.39%624.82K | -64.18%272.7K | -70.78%308.6K | -40.53%701.47K | -40.53%701.47K | -41.86%794.82K | 2.75%761.27K |
Prepaid assets | -51.29%53.27K | -46.92%89.3K | -46.92%89.3K | -38.35%144.87K | -52.86%166.77K | -29.23%109.38K | -31.62%168.23K | -31.62%168.23K | 15.43%234.98K | 226.18%353.81K |
Restricted cash | 0.00%20.7K | 0.00%20.7K | 0.00%20.7K | 0.00%20.7K | 0.00%20.7K | 0.00%20.7K | 0.00%20.7K | 0.00%20.7K | -5.67%20.7K | -5.67%20.7K |
Total current assets | 56.55%930.61K | 23.23%1.57M | 23.23%1.57M | -31.60%1.2M | -71.42%834.82K | -86.51%594.46K | -73.18%1.27M | -73.18%1.27M | -68.63%1.75M | -43.55%2.92M |
Non current assets | ||||||||||
Net PPE | -17.02%2.25M | -17.18%2.36M | -17.18%2.36M | -18.24%2.41M | -10.12%2.55M | -4.52%2.71M | 164.07%2.85M | 164.07%2.85M | 172.26%2.95M | 166.86%2.84M |
-Gross PPE | -0.13%7.61M | 0.04%7.61M | 0.04%7.61M | 0.93%7.61M | 4.64%7.62M | 6.44%7.62M | 42.41%7.61M | 42.41%7.61M | 42.37%7.54M | 39.17%7.28M |
-Accumulated depreciation | -9.20%-5.36M | -10.37%-5.25M | -10.37%-5.25M | -13.23%-5.2M | -14.09%-5.07M | -13.64%-4.91M | -11.56%-4.76M | -11.56%-4.76M | -8.99%-4.59M | -6.56%-4.44M |
Non current note receivables | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 | --0 |
Other non current assets | 0.00%27.93K | 0.00%27.93K | 0.00%27.93K | 0.00%27.93K | 0.00%27.93K | 0.00%27.93K | 0.00%27.93K | 0.00%27.93K | -0.00%27.93K | 0.00%27.93K |
Total non current assets | -16.85%2.28M | -17.01%2.39M | -17.01%2.39M | -18.07%2.44M | -10.02%2.58M | -13.86%2.74M | 102.82%2.88M | 102.82%2.88M | 107.27%2.98M | 162.60%2.87M |
Total assets | -3.76%3.21M | -4.68%3.96M | -4.68%3.96M | -23.07%3.64M | -41.00%3.42M | -56.07%3.33M | -32.66%4.16M | -32.66%4.16M | -32.57%4.73M | -7.61%5.79M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 287.91%1.47M | 351.00%1.34M | 351.00%1.34M | 484.92%1.26M | 292.55%392.43K | 1,710.54%380.21K | 143.87%296.74K | 143.87%296.74K | 101.09%215.75K | -4.68%99.97K |
-Current debt | 1,581.61%1.11M | 1,394.48%986.35K | 1,394.48%986.35K | 1,298.58%923.07K | 120.00%66K | 214.29%66K | 450.00%66K | 450.00%66K | --66K | --30K |
-Current capital lease obligation | 16.17%365.02K | 52.53%351.94K | 52.53%351.94K | 126.32%338.92K | 366.53%326.43K | --314.21K | 110.38%230.74K | 110.38%230.74K | 39.58%149.75K | -33.29%69.97K |
Payables | 48.83%2.18M | 38.63%2.05M | 38.63%2.05M | 44.08%1.52M | 60.55%1.6M | -5.22%1.47M | 4.55%1.48M | 4.55%1.48M | -9.46%1.05M | 19.56%994.65K |
-accounts payable | 48.83%2.18M | 38.63%2.05M | 38.63%2.05M | 44.08%1.52M | 60.55%1.6M | -5.22%1.47M | 4.55%1.48M | 4.55%1.48M | -9.46%1.05M | 19.56%994.65K |
Current accrued expenses | -17.09%158.38K | -17.09%158.38K | -17.09%158.38K | -14.24%191.02K | -14.24%191.02K | -14.24%191.02K | -14.24%191.02K | -14.24%191.02K | 24.43%222.73K | 24.43%222.73K |
Current deferred liabilities | 1,896.36%591.92K | 311.80%989.12K | 311.80%989.12K | 220.53%444.38K | -35.20%42.62K | -86.66%29.65K | -38.54%240.2K | -38.54%240.2K | -76.71%138.64K | -17.49%65.77K |
Current liabilities | 113.25%4.41M | 105.49%4.54M | 105.49%4.54M | 109.48%3.41M | 60.72%2.22M | 2.69%2.07M | 2.65%2.21M | 2.65%2.21M | -20.27%1.63M | 15.69%1.38M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -20.28%1.51M | -18.83%1.61M | -18.83%1.61M | -17.27%1.7M | -17.29%1.8M | -14.70%1.89M | 121.35%1.98M | 121.35%1.98M | 121.37%2.06M | 127.92%2.17M |
-Long term debt | -26.17%51.5K | -26.70%56.34K | -26.70%56.34K | -21.62%61K | -43.04%65.46K | -21.93%69.75K | -37.97%76.87K | -37.97%76.87K | -40.91%77.82K | -9.95%114.94K |
-Long term capital lease obligation | -20.05%1.46M | -18.51%1.55M | -18.51%1.55M | -17.10%1.64M | -15.85%1.73M | -14.40%1.82M | 147.00%1.9M | 147.00%1.9M | 148.13%1.98M | 149.21%2.06M |
Non current accrued expenses | 8.71%631.87K | 8.71%631.87K | 8.71%631.87K | -25.84%581.26K | -25.84%581.26K | -25.84%581.26K | -25.84%581.26K | -25.84%581.26K | 4.71%783.79K | 4.71%783.79K |
Total non current liabilities | -13.46%2.14M | -12.57%2.24M | -12.57%2.24M | -19.63%2.29M | -19.56%2.38M | -18.43%2.47M | 52.58%2.56M | 52.58%2.56M | 69.36%2.84M | 73.75%2.96M |
Total liabilities | 44.23%6.54M | 42.11%6.78M | 42.11%6.78M | 27.41%5.7M | 6.02%4.6M | -10.00%4.54M | 24.53%4.77M | 24.53%4.77M | 20.15%4.47M | 49.80%4.34M |
Shareholders'equity | ||||||||||
Share capital | 1.27%83.19M | 1.97%83.19M | 1.97%83.19M | 1.97%83.19M | 1.98%83.15M | 0.75%82.15M | 2.12%81.58M | 2.12%81.58M | 2.44%81.58M | 3.29%81.53M |
-common stock | 1.27%83.19M | 1.97%83.19M | 1.97%83.19M | 1.97%83.19M | 1.98%83.15M | 0.75%82.15M | 2.12%81.58M | 2.12%81.58M | 2.44%81.58M | 3.29%81.53M |
Additional paid-in capital | 3.18%11.04M | 3.60%11.03M | 3.60%11.03M | 5.26%10.98M | 8.02%10.84M | 10.73%10.7M | 14.12%10.64M | 14.12%10.64M | 14.11%10.43M | 15.10%10.03M |
Retained earnings | -3.88%-97.84M | -4.59%-97.3M | -4.59%-97.3M | -5.15%-96.5M | -5.77%-95.44M | -6.11%-94.19M | -6.95%-93.03M | -6.95%-93.03M | -7.20%-91.77M | -6.89%-90.23M |
Other equity interest | 107.55%273.6K | 36.45%273.6K | 36.45%273.6K | 1,351.68%273.6K | 142.68%268.2K | 19.28%131.82K | 69.10%200.51K | 69.10%200.51K | -84.43%18.85K | -14.08%110.51K |
Total stockholders'equity | -177.03%-3.34M | -359.80%-2.81M | -359.80%-2.81M | -918.10%-2.06M | -181.81%-1.19M | -147.32%-1.2M | -126.13%-612.07K | -126.13%-612.07K | -92.32%252.28K | -56.98%1.45M |
Total equity | -177.03%-3.34M | -359.80%-2.81M | -359.80%-2.81M | -918.10%-2.06M | -181.81%-1.19M | -147.32%-1.2M | -126.13%-612.07K | -126.13%-612.07K | -92.32%252.28K | -56.98%1.45M |
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 | -- | -- | -- |
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