(Q3)Apr 30, 2024 | (Q2)Jan 31, 2024 | (Q1)Oct 31, 2023 | (FY)Jul 31, 2023 | (Q4)Jul 31, 2023 | (Q3)Apr 30, 2023 | (Q2)Jan 31, 2023 | (Q1)Oct 31, 2022 | (FY)Jul 31, 2022 | (Q4)Jul 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -31.59%3.51M | -83.16%1M | -21.04%4.94M | -35.13%5.06M | -35.13%5.06M | -45.95%5.13M | -40.36%5.96M | 637.75%6.26M | 2,163.72%7.81M | 2,163.72%7.81M |
-Cash and cash equivalents | -31.59%3.51M | -83.16%1M | -21.04%4.94M | 80.48%5.06M | 80.48%5.06M | -45.95%5.13M | -40.36%5.96M | 637.75%6.26M | 713.58%2.81M | 713.58%2.81M |
-Short-term investments | ---- | ---- | ---- | --0 | --0 | --0 | --0 | --0 | --5M | --5M |
Receivables | 1,829.51%8.46M | 547.25%2.83M | 192.75%1.01M | 179.00%940.77K | 179.00%940.77K | -17.20%438.38K | 45.37%436.61K | 25.20%344.4K | 43.46%337.2K | 43.46%337.2K |
-Accounts receivable | 2,838.19%8.12M | 767.05%2.6M | 218.58%700.16K | 201.72%663.63K | 201.72%663.63K | -37.68%276.3K | 38.55%300.01K | 5.52%219.78K | 25.06%219.95K | 25.06%219.95K |
-Accrued interest receivable | 152.14%160K | --0 | --140.45K | 245.08%101.25K | 245.08%101.25K | --63.46K | --10.47K | --0 | --29.34K | --29.34K |
-Taxes receivable | 82.99%180.48K | 78.16%224.7K | 34.50%167.61K | 100.09%175.88K | 100.09%175.88K | 14.51%98.63K | 50.50%126.12K | 86.55%124.62K | 48.54%87.9K | 48.54%87.9K |
Inventory | 1.33%204.98K | -38.16%142.06K | -10.00%144.1K | 3.34%159.78K | 3.34%159.78K | 127.63%202.28K | 720.07%229.73K | 496.65%160.12K | 447.90%154.62K | 447.90%154.62K |
Prepaid assets | 758.80%406.01K | 558.78%364.81K | 50.04%166.23K | 50.97%181.49K | 50.97%181.49K | -20.34%47.28K | -5.68%55.38K | 53.40%110.79K | 114.08%120.22K | 114.08%120.22K |
Current deferred assets | --177.77K | --196.66K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Total current assets | 119.31%12.76M | -32.17%4.53M | -8.93%6.26M | -24.62%6.34M | -24.62%6.34M | -42.79%5.82M | -35.63%6.68M | 462.35%6.88M | 1,167.23%8.42M | 1,167.23%8.42M |
Non current assets | ||||||||||
Net PPE | -8.02%2.54M | -7.73%2.61M | -7.28%2.61M | -6.96%2.68M | -6.96%2.68M | -6.10%2.76M | -5.37%2.83M | -6.14%2.82M | -5.93%2.88M | -5.93%2.88M |
-Gross PPE | ---- | ---- | ---- | 1.80%4.93M | 1.80%4.93M | ---- | 2.28%4.93M | 1.70%4.84M | 1.70%4.84M | 1.70%4.84M |
-Accumulated depreciation | ---- | ---- | ---- | -14.70%-2.25M | -14.70%-2.25M | ---- | -14.78%-2.1M | -15.05%-2.03M | -15.52%-1.96M | -15.52%-1.96M |
Goodwill and other intangible assets | -1.24%10.05M | -1.24%10.08M | -1.28%10.12M | -1.32%10.15M | -1.32%10.15M | -1.34%10.18M | -2.78%10.21M | -4.13%10.25M | -5.45%10.28M | -5.45%10.28M |
-Goodwill | 0.00%4.64M | 0.00%4.64M | 0.00%4.64M | 0.00%4.64M | 0.00%4.64M | 0.00%4.64M | 0.00%4.64M | 0.00%4.64M | 0.00%4.64M | 0.00%4.64M |
-Other intangible assets | -2.28%5.41M | -2.28%5.44M | -2.34%5.47M | -2.41%5.51M | -2.41%5.51M | -2.43%5.54M | -4.98%5.57M | -7.30%5.6M | -9.51%5.64M | -9.51%5.64M |
Total non current assets | -2.69%12.59M | -2.65%12.7M | -2.57%12.73M | -2.55%12.83M | -2.55%12.83M | -2.39%12.94M | -3.35%13.04M | -4.57%13.06M | -5.56%13.17M | -5.56%13.17M |
Total assets | 35.15%25.35M | -12.65%17.23M | -4.76%18.99M | -11.16%19.18M | -11.16%19.18M | -19.93%18.75M | -17.39%19.73M | 33.73%19.94M | 47.77%21.59M | 47.77%21.59M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 200.64%3.7M | 233.40%1.84M | 5.45%561.09K | 83.61%753.6K | 83.61%753.6K | 211.48%1.23M | 88.68%551.15K | 20.50%532.1K | -26.11%410.44K | -26.11%410.44K |
-accounts payable | 200.64%3.7M | 233.40%1.84M | 5.45%561.09K | 83.61%753.6K | 83.61%753.6K | 211.48%1.23M | 88.68%551.15K | 20.50%532.1K | -26.11%410.44K | -26.11%410.44K |
Current accrued expenses | --6.12M | 563.99%2.08M | 71.38%738.2K | -19.61%502.21K | -19.61%502.21K | ---- | -78.39%313.42K | -66.41%430.73K | -50.18%624.73K | -50.18%624.73K |
Current debt and capital lease obligation | -42.32%2.08M | -98.99%36.37K | 58,893.32%3.6M | 424.87%3.6M | 424.87%3.6M | 78,220.27%3.6M | 78,209.98%3.6M | 32.80%6.11K | 14,823.77%686.2K | 14,823.77%686.2K |
-Current debt | -43.03%2.04M | ---- | --3.58M | 426.34%3.58M | 426.34%3.58M | --3.58M | --3.58M | ---- | --680.17K | --680.17K |
-Current capital lease obligation | 78.66%37.82K | 75.75%36.37K | 262.46%22.13K | 258.97%21.65K | 258.97%21.65K | 360.33%21.17K | 350.04%20.69K | 32.80%6.11K | 31.14%6.03K | 31.14%6.03K |
Current liabilities | 146.13%11.89M | -11.43%3.96M | 405.85%4.9M | 182.18%4.86M | 182.18%4.86M | 331.19%4.83M | 155.57%4.47M | -43.94%968.94K | -5.11%1.72M | -5.11%1.72M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 35.97%106.25K | 36.90%114.5K | -98.14%66.93K | -97.98%72.57K | -97.98%72.57K | -98.51%78.14K | -98.38%83.64K | -32.52%3.59M | -31.84%3.59M | -31.84%3.59M |
-Long term debt | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -32.64%3.58M | -31.98%3.58M | -31.98%3.58M |
-Long term capital lease obligation | 35.97%106.25K | 36.90%114.5K | 371.58%66.93K | 360.88%72.57K | 360.88%72.57K | 778.52%78.14K | 709.51%83.64K | 23.54%14.19K | 24.67%15.75K | 24.67%15.75K |
Total non current liabilities | 35.97%106.25K | 36.90%114.5K | -98.14%66.93K | -97.98%72.57K | -97.98%72.57K | -98.51%78.14K | -98.38%83.64K | -32.52%3.59M | -31.84%3.59M | -31.84%3.59M |
Total liabilities | 144.37%12M | -10.54%4.07M | 8.92%4.97M | -7.22%4.93M | -7.22%4.93M | -22.88%4.91M | -34.05%4.55M | -35.32%4.56M | -25.00%5.31M | -25.00%5.31M |
Shareholders'equity | ||||||||||
Share capital | 4.27%29.84M | 3.96%29.7M | 7.50%29.7M | 6.43%29.35M | 6.43%29.35M | 3.79%28.62M | 6.57%28.57M | 31.33%27.63M | 36.44%27.57M | 36.44%27.57M |
-common stock | 4.27%29.84M | 3.96%29.7M | 7.50%29.7M | 6.43%29.35M | 6.43%29.35M | 3.79%28.62M | 6.57%28.57M | 31.33%27.63M | 36.44%27.57M | 36.44%27.57M |
Retained earnings | -12.90%-27.73M | -18.55%-27.36M | -18.73%-26.15M | -22.09%-25.43M | -22.09%-25.43M | -22.54%-24.56M | -19.26%-23.08M | -20.83%-22.02M | -19.84%-20.83M | -19.84%-20.83M |
Paid-in capital | 120.59%8.3M | 120.02%8.09M | 9.71%4.03M | 2.39%3.76M | 2.39%3.76M | 9.04%3.76M | 6.49%3.68M | 7.59%3.68M | 8.54%3.68M | 8.54%3.68M |
Other equity interest | -51.27%2.94M | -54.59%2.73M | 5.55%6.43M | 12.19%6.56M | 12.19%6.56M | -0.82%6.02M | -1.03%6.01M | 274.02%6.1M | 348.08%5.85M | 348.08%5.85M |
Total stockholders'equity | -3.59%13.35M | -13.29%13.16M | -8.82%14.02M | -12.44%14.25M | -12.44%14.25M | -18.82%13.84M | -10.62%15.18M | 95.68%15.38M | 116.29%16.27M | 116.29%16.27M |
Total equity | -3.59%13.35M | -13.29%13.16M | -8.82%14.02M | -12.44%14.25M | -12.44%14.25M | -18.82%13.84M | -10.62%15.18M | 95.68%15.38M | 116.29%16.27M | 116.29%16.27M |
Currency Unit | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD |
Audit Opinions | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- |
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