US Stock MarketDetailed Quotes

DVHGF DEVONIAN HEALTH GROUP INC

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  • 0.110
  • 0.0000.00%
15min DelayTrading Oct 11 16:00 ET
16.36MMarket Cap-6494P/E (TTM)

DEVONIAN HEALTH GROUP INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
--
(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%5.96M637.75%6.26M2,163.72%7.81M2,163.72%7.81M
-Cash and cash equivalents -31.59%3.51M-83.16%1M-21.04%4.94M80.48%5.06M80.48%5.06M-45.95%5.13M-40.36%5.96M637.75%6.26M713.58%2.81M713.58%2.81M
-Short-term investments --------------0--0--0--0--0--5M--5M
Receivables 1,829.51%8.46M547.25%2.83M192.75%1.01M179.00%940.77K179.00%940.77K-17.20%438.38K45.37%436.61K25.20%344.4K43.46%337.2K43.46%337.2K
-Accounts receivable 2,838.19%8.12M767.05%2.6M218.58%700.16K201.72%663.63K201.72%663.63K-37.68%276.3K38.55%300.01K5.52%219.78K25.06%219.95K25.06%219.95K
-Accrued interest receivable 152.14%160K--0--140.45K245.08%101.25K245.08%101.25K--63.46K--10.47K--0--29.34K--29.34K
-Taxes receivable 82.99%180.48K78.16%224.7K34.50%167.61K100.09%175.88K100.09%175.88K14.51%98.63K50.50%126.12K86.55%124.62K48.54%87.9K48.54%87.9K
Inventory 1.33%204.98K-38.16%142.06K-10.00%144.1K3.34%159.78K3.34%159.78K127.63%202.28K720.07%229.73K496.65%160.12K447.90%154.62K447.90%154.62K
Prepaid assets 758.80%406.01K558.78%364.81K50.04%166.23K50.97%181.49K50.97%181.49K-20.34%47.28K-5.68%55.38K53.40%110.79K114.08%120.22K114.08%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%6.68M462.35%6.88M1,167.23%8.42M1,167.23%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%4.93M1.80%4.93M----2.28%4.93M1.70%4.84M1.70%4.84M1.70%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%4.64M0.00%4.64M0.00%4.64M0.00%4.64M0.00%4.64M0.00%4.64M0.00%4.64M0.00%4.64M0.00%4.64M0.00%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%19.73M33.73%19.94M47.77%21.59M47.77%21.59M
Liabilities
Current liabilities
Payables 200.64%3.7M233.40%1.84M5.45%561.09K83.61%753.6K83.61%753.6K211.48%1.23M88.68%551.15K20.50%532.1K-26.11%410.44K-26.11%410.44K
-accounts payable 200.64%3.7M233.40%1.84M5.45%561.09K83.61%753.6K83.61%753.6K211.48%1.23M88.68%551.15K20.50%532.1K-26.11%410.44K-26.11%410.44K
Current accrued expenses --6.12M563.99%2.08M71.38%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%36.37K58,893.32%3.6M424.87%3.6M424.87%3.6M78,220.27%3.6M78,209.98%3.6M32.80%6.11K14,823.77%686.2K14,823.77%686.2K
-Current debt -43.03%2.04M------3.58M426.34%3.58M426.34%3.58M--3.58M--3.58M------680.17K--680.17K
-Current capital lease obligation 78.66%37.82K75.75%36.37K262.46%22.13K258.97%21.65K258.97%21.65K360.33%21.17K350.04%20.69K32.80%6.11K31.14%6.03K31.14%6.03K
Current liabilities 146.13%11.89M-11.43%3.96M405.85%4.9M182.18%4.86M182.18%4.86M331.19%4.83M155.57%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%106.25K36.90%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%106.25K36.90%114.5K371.58%66.93K360.88%72.57K360.88%72.57K778.52%78.14K709.51%83.64K23.54%14.19K24.67%15.75K24.67%15.75K
Total non current liabilities 35.97%106.25K36.90%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%4.07M8.92%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%29.84M3.96%29.7M7.50%29.7M6.43%29.35M6.43%29.35M3.79%28.62M6.57%28.57M31.33%27.63M36.44%27.57M36.44%27.57M
-common stock 4.27%29.84M3.96%29.7M7.50%29.7M6.43%29.35M6.43%29.35M3.79%28.62M6.57%28.57M31.33%27.63M36.44%27.57M36.44%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%8.3M120.02%8.09M9.71%4.03M2.39%3.76M2.39%3.76M9.04%3.76M6.49%3.68M7.59%3.68M8.54%3.68M8.54%3.68M
Other equity interest -51.27%2.94M-54.59%2.73M5.55%6.43M12.19%6.56M12.19%6.56M-0.82%6.02M-1.03%6.01M274.02%6.1M348.08%5.85M348.08%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%15.18M95.68%15.38M116.29%16.27M116.29%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%15.18M95.68%15.38M116.29%16.27M116.29%16.27M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

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