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EWK Earthworks Industries Inc

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  • 0.050
  • 0.0000.00%
15min DelayMarket Closed Nov 29 16:00 ET
5.66MMarket Cap2.50P/E (TTM)

Earthworks Industries Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Aug 31, 2024
(Q2)May 31, 2024
(Q1)Feb 29, 2024
(FY)Nov 30, 2023
(Q4)Nov 30, 2023
(Q3)Aug 31, 2023
(Q2)May 31, 2023
(Q1)Feb 28, 2023
(FY)Nov 30, 2022
(Q4)Nov 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-66.58%84.14K
-60.76%306.76K
519.12%559.71K
334.44%908.87K
334.44%908.87K
628.33%251.76K
1,489.29%781.68K
-50.91%90.4K
-27.38%209.21K
-27.38%209.21K
-Cash and cash equivalents
-66.58%84.14K
-60.76%306.76K
519.12%559.71K
334.44%908.87K
334.44%908.87K
628.33%251.76K
1,489.29%781.68K
-50.91%90.4K
-27.38%209.21K
-27.38%209.21K
Receivables
134.93%6.15K
--15.79K
91.53%11.6K
94.76%12.19K
94.76%12.19K
-77.81%2.62K
--0
-24.06%6.06K
-15.70%6.26K
-15.70%6.26K
-Accounts receivable
134.93%6.15K
--15.79K
91.53%11.6K
94.76%12.19K
94.76%12.19K
-77.81%2.62K
--0
-24.06%6.06K
-15.70%6.26K
-15.70%6.26K
Prepaid assets
-13.69%69.49K
-99.03%1.32K
199.62%117.94K
356.09%180.76K
356.09%180.76K
583.38%80.51K
85.95%136.25K
-69.39%39.36K
-69.26%39.63K
-69.26%39.63K
Total current assets
-52.29%159.78K
-64.72%323.87K
407.46%689.26K
331.92%1.1M
331.92%1.1M
476.00%334.89K
588.44%917.92K
-57.65%135.83K
-39.90%255.1K
-39.90%255.1K
Non current assets
Net PPE
--3K
--3.23K
----
1.15%11.99M
1.15%11.99M
--0
--0
--0
1,351,091.11%11.85M
1,351,091.11%11.85M
-Gross PPE
--3K
--3.23K
----
1.15%11.99M
1.15%11.99M
--0
--0
--0
1,351,091.11%11.85M
1,351,091.11%11.85M
Other non current assets
3.85%12.33M
1.11%12.07M
0.30%11.98M
----
----
4.48%11.87M
10.48%11.93M
9.24%11.94M
----
----
Total non current assets
3.87%12.33M
1.14%12.07M
0.30%11.98M
1.15%11.99M
1.15%11.99M
4.48%11.87M
10.47%11.93M
9.23%11.94M
9.69%11.85M
9.69%11.85M
Total assets
2.33%12.49M
-3.56%12.39M
4.88%12.66M
8.12%13.09M
8.12%13.09M
6.88%12.21M
17.52%12.85M
7.32%12.07M
7.81%12.11M
7.81%12.11M
Liabilities
Current liabilities
Current debt and capital lease obligation
5.63%1.05M
4.61%1.05M
3.72%1.02M
-67.15%295.39K
-67.15%295.39K
5.27%998.46K
7.41%1M
14.23%985.9K
5.36%899.12K
5.36%899.12K
-Current debt
5.63%1.05M
4.61%1.05M
3.72%1.02M
-67.15%295.39K
-67.15%295.39K
5.27%998.46K
7.41%1M
14.23%985.9K
5.36%899.12K
5.36%899.12K
Payables
94.78%850.07K
91.51%846.69K
133.39%984K
132.08%1.06M
132.08%1.06M
0.59%436.42K
2.26%442.11K
-4.36%421.61K
1.71%456.98K
1.71%456.98K
-accounts payable
6.49%464.74K
5.75%467.52K
44.02%607.2K
49.11%681.42K
49.11%681.42K
0.59%436.42K
2.26%442.11K
-4.36%421.61K
1.71%456.98K
1.71%456.98K
-Total tax payable
--385.33K
--379.16K
--376.8K
--379.16K
--379.16K
----
----
----
--0
--0
Current accrued expenses
6.69%486.18K
9.43%475.8K
9.11%465.43K
--0
--0
11.28%455.69K
8.50%434.78K
8.77%426.57K
8.96%418.36K
8.96%418.36K
Current deferred liabilities
--2.77M
--2.58M
345.42%3.03M
319.10%2.83M
319.10%2.83M
--0
--0
100.29%680.45K
91.99%675.4K
91.99%675.4K
Other current liabilities
70.00%125.47K
70.93%126.82K
70.01%126.2K
71.54%126.39K
71.54%126.39K
--73.81K
--74.2K
--74.23K
--73.68K
--73.68K
Current liabilities
168.88%5.28M
159.91%5.07M
117.44%5.63M
70.91%4.31M
70.91%4.31M
-19.74%1.96M
-19.11%1.95M
27.16%2.59M
23.80%2.52M
23.80%2.52M
Non current liabilities
Long term debt and capital lease obligation
----
----
----
--710.78K
--710.78K
----
----
----
----
----
-Long term debt
----
----
----
--710.78K
--710.78K
----
----
----
----
----
Non current accrued expenses
--0
--0
--0
--455.8K
--455.8K
----
----
----
--0
--0
Non current deferred liabilities
--0
--0
--0
--0
--0
13.40%7.82M
23.83%8.12M
1.22%7.35M
1.67%7.2M
1.67%7.2M
Total non current liabilities
--0
--0
--0
-83.79%1.17M
-83.79%1.17M
13.40%7.82M
23.83%8.12M
1.22%7.35M
1.67%7.2M
1.67%7.2M
Total liabilities
-45.99%5.28M
-49.64%5.07M
-43.35%5.63M
-43.64%5.48M
-43.64%5.48M
4.72%9.78M
12.28%10.07M
6.90%9.94M
6.61%9.72M
6.61%9.72M
Shareholders'equity
Share capital
12.92%27.36M
12.92%27.36M
14.36%26.68M
14.10%26.62M
14.10%26.62M
7.12%24.23M
8.05%24.23M
5.53%23.33M
5.58%23.33M
5.58%23.33M
-common stock
12.92%27.36M
12.92%27.36M
14.36%26.68M
14.10%26.62M
14.10%26.62M
7.12%24.23M
8.05%24.23M
5.53%23.33M
5.58%23.33M
5.58%23.33M
Additional paid-in capital
4.38%4.05M
----
--4.05M
----
----
--3.88M
--3.82M
----
----
----
Retained earnings
5.58%-25.34M
4.19%-25.32M
4.96%-24.88M
6.44%-24.24M
6.44%-24.24M
-6.13%-26.83M
-8.42%-26.43M
-8.45%-26.18M
-8.22%-25.91M
-8.22%-25.91M
Gains losses not affecting retained earnings
-1.83%836.52K
511.43%5.28M
-82.20%887.03K
5.40%5.22M
5.40%5.22M
-82.03%852.11K
-77.93%862.88K
25.06%4.98M
25.57%4.96M
25.57%4.96M
Other equity interest
0.00%289.6K
----
--289.6K
----
----
--289.6K
--289.6K
----
----
----
Total stockholders'equity
197.19%7.21M
163.50%7.32M
229.14%7.04M
219.26%7.61M
219.26%7.61M
16.59%2.43M
41.44%2.78M
9.34%2.14M
13.00%2.38M
13.00%2.38M
Total equity
197.19%7.21M
163.50%7.32M
229.14%7.04M
219.26%7.61M
219.26%7.61M
16.59%2.43M
41.44%2.78M
9.34%2.14M
13.00%2.38M
13.00%2.38M
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
--
(Q3)Aug 31, 2024(Q2)May 31, 2024(Q1)Feb 29, 2024(FY)Nov 30, 2023(Q4)Nov 30, 2023(Q3)Aug 31, 2023(Q2)May 31, 2023(Q1)Feb 28, 2023(FY)Nov 30, 2022(Q4)Nov 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -66.58%84.14K-60.76%306.76K519.12%559.71K334.44%908.87K334.44%908.87K628.33%251.76K1,489.29%781.68K-50.91%90.4K-27.38%209.21K-27.38%209.21K
-Cash and cash equivalents -66.58%84.14K-60.76%306.76K519.12%559.71K334.44%908.87K334.44%908.87K628.33%251.76K1,489.29%781.68K-50.91%90.4K-27.38%209.21K-27.38%209.21K
Receivables 134.93%6.15K--15.79K91.53%11.6K94.76%12.19K94.76%12.19K-77.81%2.62K--0-24.06%6.06K-15.70%6.26K-15.70%6.26K
-Accounts receivable 134.93%6.15K--15.79K91.53%11.6K94.76%12.19K94.76%12.19K-77.81%2.62K--0-24.06%6.06K-15.70%6.26K-15.70%6.26K
Prepaid assets -13.69%69.49K-99.03%1.32K199.62%117.94K356.09%180.76K356.09%180.76K583.38%80.51K85.95%136.25K-69.39%39.36K-69.26%39.63K-69.26%39.63K
Total current assets -52.29%159.78K-64.72%323.87K407.46%689.26K331.92%1.1M331.92%1.1M476.00%334.89K588.44%917.92K-57.65%135.83K-39.90%255.1K-39.90%255.1K
Non current assets
Net PPE --3K--3.23K----1.15%11.99M1.15%11.99M--0--0--01,351,091.11%11.85M1,351,091.11%11.85M
-Gross PPE --3K--3.23K----1.15%11.99M1.15%11.99M--0--0--01,351,091.11%11.85M1,351,091.11%11.85M
Other non current assets 3.85%12.33M1.11%12.07M0.30%11.98M--------4.48%11.87M10.48%11.93M9.24%11.94M--------
Total non current assets 3.87%12.33M1.14%12.07M0.30%11.98M1.15%11.99M1.15%11.99M4.48%11.87M10.47%11.93M9.23%11.94M9.69%11.85M9.69%11.85M
Total assets 2.33%12.49M-3.56%12.39M4.88%12.66M8.12%13.09M8.12%13.09M6.88%12.21M17.52%12.85M7.32%12.07M7.81%12.11M7.81%12.11M
Liabilities
Current liabilities
Current debt and capital lease obligation 5.63%1.05M4.61%1.05M3.72%1.02M-67.15%295.39K-67.15%295.39K5.27%998.46K7.41%1M14.23%985.9K5.36%899.12K5.36%899.12K
-Current debt 5.63%1.05M4.61%1.05M3.72%1.02M-67.15%295.39K-67.15%295.39K5.27%998.46K7.41%1M14.23%985.9K5.36%899.12K5.36%899.12K
Payables 94.78%850.07K91.51%846.69K133.39%984K132.08%1.06M132.08%1.06M0.59%436.42K2.26%442.11K-4.36%421.61K1.71%456.98K1.71%456.98K
-accounts payable 6.49%464.74K5.75%467.52K44.02%607.2K49.11%681.42K49.11%681.42K0.59%436.42K2.26%442.11K-4.36%421.61K1.71%456.98K1.71%456.98K
-Total tax payable --385.33K--379.16K--376.8K--379.16K--379.16K--------------0--0
Current accrued expenses 6.69%486.18K9.43%475.8K9.11%465.43K--0--011.28%455.69K8.50%434.78K8.77%426.57K8.96%418.36K8.96%418.36K
Current deferred liabilities --2.77M--2.58M345.42%3.03M319.10%2.83M319.10%2.83M--0--0100.29%680.45K91.99%675.4K91.99%675.4K
Other current liabilities 70.00%125.47K70.93%126.82K70.01%126.2K71.54%126.39K71.54%126.39K--73.81K--74.2K--74.23K--73.68K--73.68K
Current liabilities 168.88%5.28M159.91%5.07M117.44%5.63M70.91%4.31M70.91%4.31M-19.74%1.96M-19.11%1.95M27.16%2.59M23.80%2.52M23.80%2.52M
Non current liabilities
Long term debt and capital lease obligation --------------710.78K--710.78K--------------------
-Long term debt --------------710.78K--710.78K--------------------
Non current accrued expenses --0--0--0--455.8K--455.8K--------------0--0
Non current deferred liabilities --0--0--0--0--013.40%7.82M23.83%8.12M1.22%7.35M1.67%7.2M1.67%7.2M
Total non current liabilities --0--0--0-83.79%1.17M-83.79%1.17M13.40%7.82M23.83%8.12M1.22%7.35M1.67%7.2M1.67%7.2M
Total liabilities -45.99%5.28M-49.64%5.07M-43.35%5.63M-43.64%5.48M-43.64%5.48M4.72%9.78M12.28%10.07M6.90%9.94M6.61%9.72M6.61%9.72M
Shareholders'equity
Share capital 12.92%27.36M12.92%27.36M14.36%26.68M14.10%26.62M14.10%26.62M7.12%24.23M8.05%24.23M5.53%23.33M5.58%23.33M5.58%23.33M
-common stock 12.92%27.36M12.92%27.36M14.36%26.68M14.10%26.62M14.10%26.62M7.12%24.23M8.05%24.23M5.53%23.33M5.58%23.33M5.58%23.33M
Additional paid-in capital 4.38%4.05M------4.05M----------3.88M--3.82M------------
Retained earnings 5.58%-25.34M4.19%-25.32M4.96%-24.88M6.44%-24.24M6.44%-24.24M-6.13%-26.83M-8.42%-26.43M-8.45%-26.18M-8.22%-25.91M-8.22%-25.91M
Gains losses not affecting retained earnings -1.83%836.52K511.43%5.28M-82.20%887.03K5.40%5.22M5.40%5.22M-82.03%852.11K-77.93%862.88K25.06%4.98M25.57%4.96M25.57%4.96M
Other equity interest 0.00%289.6K------289.6K----------289.6K--289.6K------------
Total stockholders'equity 197.19%7.21M163.50%7.32M229.14%7.04M219.26%7.61M219.26%7.61M16.59%2.43M41.44%2.78M9.34%2.14M13.00%2.38M13.00%2.38M
Total equity 197.19%7.21M163.50%7.32M229.14%7.04M219.26%7.61M219.26%7.61M16.59%2.43M41.44%2.78M9.34%2.14M13.00%2.38M13.00%2.38M
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--

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.

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