US Stock MarketDetailed Quotes

GRNBF GREENBANK CAPITAL INC

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  • 0.015000
  • 0.0000000.00%
15min DelayClose Aug 14 16:00 ET
1.87MMarket Cap-428P/E (TTM)

GREENBANK CAPITAL 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
-97.16%3.55K
-97.76%3.38K
-99.57%559
-58.30%80.13K
-58.30%80.13K
-63.13%124.72K
-74.72%150.99K
-89.14%128.64K
-82.78%192.18K
-82.78%192.18K
-Cash and cash equivalents
-97.16%3.55K
-97.76%3.38K
-99.57%559
-58.30%80.13K
-58.30%80.13K
-63.13%124.72K
-74.72%150.99K
-89.14%128.64K
-82.78%192.18K
-82.78%192.18K
Receivables
16.36%4.86K
43.55%4.73K
-7.13%4.48K
82.35%4.38K
82.35%4.38K
-95.48%4.18K
-95.54%3.29K
-78.37%4.82K
-94.53%2.4K
-94.53%2.4K
-Accounts receivable
7.67%1.76K
7.67%1.76K
1.53%1.66K
143.74%1.66K
143.74%1.66K
140.41%1.63K
140.41%1.63K
140.41%1.63K
0.00%679
0.00%679
-Taxes receivable
21.92%3.11K
78.71%2.97K
-11.56%2.82K
58.15%2.73K
58.15%2.73K
-96.78%2.55K
-97.25%1.66K
-64.28%3.19K
-94.37%1.72K
-94.37%1.72K
Prepaid assets
222.94%52K
--0
-73.42%2.28K
-28.78%6.1K
-28.78%6.1K
-32.38%16.1K
-87.50%8.57K
-82.86%8.57K
-83.47%8.57K
-83.47%8.57K
Other current assets
----
0.00%1
----
--1
--1
----
0.00%1
--1
----
----
Total current assets
-58.34%60.41K
-95.02%8.11K
-94.85%7.31K
-55.40%90.62K
-55.40%90.62K
-68.11%145K
-77.98%162.85K
-88.70%142.03K
-83.23%203.15K
-83.23%203.15K
Non current assets
Net PPE
--60K
--60K
----
----
----
----
----
----
----
----
Investments and advances
-3.12%8.37M
-5.93%8.33M
7.28%8.31M
12.67%8.6M
12.67%8.6M
21.61%8.64M
22.24%8.85M
8.06%7.74M
68.77%7.63M
68.77%7.63M
Long-term notes receivables
-42.31%4.77M
-37.35%4.61M
-25.02%4.77M
--4.71M
--4.71M
--8.27M
--7.36M
--6.36M
--0
--0
Financial assets
----
----
----
--0
--0
--240K
--460K
--340K
--220K
--220K
Total non current assets
-23.02%13.2M
-22.04%13M
-9.47%13.08M
69.51%13.3M
69.51%13.3M
101.41%17.14M
95.13%16.67M
77.68%14.45M
45.30%7.85M
45.30%7.85M
Total assets
-23.32%13.26M
-22.74%13.01M
-10.31%13.08M
66.36%13.39M
66.36%13.39M
92.82%17.29M
81.34%16.84M
55.41%14.59M
21.75%8.05M
21.75%8.05M
Liabilities
Current liabilities
Payables
19.14%270.53K
-37.42%215.61K
-34.39%264.08K
-37.66%221.54K
-37.66%221.54K
-67.40%227.07K
-47.38%344.52K
-51.27%402.47K
-37.76%355.36K
-37.76%355.36K
-accounts payable
34.85%184.95K
17.94%134.16K
14.26%131.22K
5.35%109.38K
5.35%109.38K
-63.48%137.15K
-70.25%113.75K
-74.39%114.84K
-31.10%103.83K
-31.10%103.83K
-Due to related parties current
-4.83%85.57K
-64.71%81.45K
-53.81%132.86K
-55.41%112.16K
-55.41%112.16K
-71.99%89.92K
-15.27%230.77K
-23.81%287.63K
-40.14%251.54K
-40.14%251.54K
Current accrued expenses
155.13%835.69K
107.22%647.72K
126.14%477.72K
127.88%449.91K
127.88%449.91K
--327.55K
--312.58K
--211.25K
33.65%197.43K
33.65%197.43K
Current debt and capital lease obligation
6.67%4.77M
7.47%4.61M
10.82%4.54M
11.01%4.49M
11.01%4.49M
10.28%4.47M
1.91%4.29M
--4.1M
729.02%4.05M
729.02%4.05M
-Current debt
6.67%4.77M
7.47%4.61M
10.82%4.54M
11.01%4.49M
11.01%4.49M
10.28%4.47M
1.91%4.29M
--4.1M
729.02%4.05M
729.02%4.05M
Current deferred liabilities
--174.55K
----
----
----
----
----
----
----
----
----
Other current liabilities
--16K
245.18%16K
--16K
1,599,800.00%16K
1,599,800.00%16K
----
-1,101,900.00%-11.02K
----
-100.00%1
-100.00%1
Current liabilities
20.69%6.07M
11.22%5.49M
12.47%5.3M
12.61%5.18M
12.61%5.18M
5.78%5.03M
1.48%4.94M
444.17%4.71M
253.77%4.6M
253.77%4.6M
Non current liabilities
Long term debt and capital lease obligation
2.93%463.48K
2.96%460.18K
2.98%456.88K
3.00%453.57K
3.00%453.57K
-42.67%450.27K
-33.80%446.97K
-90.73%443.66K
-74.97%440.36K
-74.97%440.36K
-Long term debt
2.93%463.48K
2.96%460.18K
2.98%456.88K
3.00%453.57K
3.00%453.57K
-42.67%450.27K
-33.80%446.97K
-90.73%443.66K
-74.97%440.36K
-74.97%440.36K
Total non current liabilities
2.93%463.48K
2.96%460.18K
2.98%456.88K
3.00%453.57K
3.00%453.57K
-42.67%450.27K
-33.80%446.97K
-90.73%443.66K
-74.97%440.36K
-74.97%440.36K
Total liabilities
19.23%6.53M
10.53%5.95M
11.65%5.76M
11.77%5.63M
11.77%5.63M
-1.09%5.48M
-2.82%5.38M
-8.79%5.16M
64.74%5.04M
64.74%5.04M
Shareholders'equity
Share capital
1.54%22.63M
3.63%22.63M
3.83%22.57M
182.84%22.57M
182.84%22.57M
185.03%22.29M
202.98%21.84M
201.59%21.74M
8.74%7.98M
8.74%7.98M
-common stock
1.54%22.63M
3.63%22.63M
3.83%22.57M
182.84%22.57M
182.84%22.57M
185.03%22.29M
202.98%21.84M
201.59%21.74M
8.74%7.98M
8.74%7.98M
Retained earnings
-25.95%-15.65M
-36.48%-17.57M
-16.46%-17.24M
-125.00%-16.82M
-125.00%-16.82M
-16.08%-12.43M
-24.80%-12.87M
-42.62%-14.81M
6.40%-7.48M
6.40%-7.48M
Paid-in capital
----
----
----
--0
--0
----
----
----
--0
--0
Other equity interest
-96.89%70.01K
-17.78%2.31M
-17.78%2.31M
-17.78%2.31M
-17.78%2.31M
-20.74%2.25M
-18.38%2.81M
-18.38%2.81M
-18.38%2.81M
-18.38%2.81M
Total stockholders'equity
-41.80%7.04M
-37.42%7.37M
-21.61%7.64M
143.25%8.06M
143.25%8.06M
439.32%12.1M
342.97%11.77M
275.61%9.74M
18.62%3.31M
18.62%3.31M
Noncontrolling interests
-8.88%-316.82K
2.62%-310.44K
0.21%-308.18K
1.75%-295.62K
1.75%-295.62K
-124.54%-290.97K
-129.33%-318.8K
-127.06%-308.82K
-139.52%-300.88K
-139.52%-300.88K
Total equity
-43.05%6.73M
-38.39%7.06M
-22.31%7.33M
157.73%7.76M
157.73%7.76M
244.42%11.81M
205.88%11.45M
152.56%9.43M
-15.26%3.01M
-15.26%3.01M
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 -97.16%3.55K-97.76%3.38K-99.57%559-58.30%80.13K-58.30%80.13K-63.13%124.72K-74.72%150.99K-89.14%128.64K-82.78%192.18K-82.78%192.18K
-Cash and cash equivalents -97.16%3.55K-97.76%3.38K-99.57%559-58.30%80.13K-58.30%80.13K-63.13%124.72K-74.72%150.99K-89.14%128.64K-82.78%192.18K-82.78%192.18K
Receivables 16.36%4.86K43.55%4.73K-7.13%4.48K82.35%4.38K82.35%4.38K-95.48%4.18K-95.54%3.29K-78.37%4.82K-94.53%2.4K-94.53%2.4K
-Accounts receivable 7.67%1.76K7.67%1.76K1.53%1.66K143.74%1.66K143.74%1.66K140.41%1.63K140.41%1.63K140.41%1.63K0.00%6790.00%679
-Taxes receivable 21.92%3.11K78.71%2.97K-11.56%2.82K58.15%2.73K58.15%2.73K-96.78%2.55K-97.25%1.66K-64.28%3.19K-94.37%1.72K-94.37%1.72K
Prepaid assets 222.94%52K--0-73.42%2.28K-28.78%6.1K-28.78%6.1K-32.38%16.1K-87.50%8.57K-82.86%8.57K-83.47%8.57K-83.47%8.57K
Other current assets ----0.00%1------1--1----0.00%1--1--------
Total current assets -58.34%60.41K-95.02%8.11K-94.85%7.31K-55.40%90.62K-55.40%90.62K-68.11%145K-77.98%162.85K-88.70%142.03K-83.23%203.15K-83.23%203.15K
Non current assets
Net PPE --60K--60K--------------------------------
Investments and advances -3.12%8.37M-5.93%8.33M7.28%8.31M12.67%8.6M12.67%8.6M21.61%8.64M22.24%8.85M8.06%7.74M68.77%7.63M68.77%7.63M
Long-term notes receivables -42.31%4.77M-37.35%4.61M-25.02%4.77M--4.71M--4.71M--8.27M--7.36M--6.36M--0--0
Financial assets --------------0--0--240K--460K--340K--220K--220K
Total non current assets -23.02%13.2M-22.04%13M-9.47%13.08M69.51%13.3M69.51%13.3M101.41%17.14M95.13%16.67M77.68%14.45M45.30%7.85M45.30%7.85M
Total assets -23.32%13.26M-22.74%13.01M-10.31%13.08M66.36%13.39M66.36%13.39M92.82%17.29M81.34%16.84M55.41%14.59M21.75%8.05M21.75%8.05M
Liabilities
Current liabilities
Payables 19.14%270.53K-37.42%215.61K-34.39%264.08K-37.66%221.54K-37.66%221.54K-67.40%227.07K-47.38%344.52K-51.27%402.47K-37.76%355.36K-37.76%355.36K
-accounts payable 34.85%184.95K17.94%134.16K14.26%131.22K5.35%109.38K5.35%109.38K-63.48%137.15K-70.25%113.75K-74.39%114.84K-31.10%103.83K-31.10%103.83K
-Due to related parties current -4.83%85.57K-64.71%81.45K-53.81%132.86K-55.41%112.16K-55.41%112.16K-71.99%89.92K-15.27%230.77K-23.81%287.63K-40.14%251.54K-40.14%251.54K
Current accrued expenses 155.13%835.69K107.22%647.72K126.14%477.72K127.88%449.91K127.88%449.91K--327.55K--312.58K--211.25K33.65%197.43K33.65%197.43K
Current debt and capital lease obligation 6.67%4.77M7.47%4.61M10.82%4.54M11.01%4.49M11.01%4.49M10.28%4.47M1.91%4.29M--4.1M729.02%4.05M729.02%4.05M
-Current debt 6.67%4.77M7.47%4.61M10.82%4.54M11.01%4.49M11.01%4.49M10.28%4.47M1.91%4.29M--4.1M729.02%4.05M729.02%4.05M
Current deferred liabilities --174.55K------------------------------------
Other current liabilities --16K245.18%16K--16K1,599,800.00%16K1,599,800.00%16K-----1,101,900.00%-11.02K-----100.00%1-100.00%1
Current liabilities 20.69%6.07M11.22%5.49M12.47%5.3M12.61%5.18M12.61%5.18M5.78%5.03M1.48%4.94M444.17%4.71M253.77%4.6M253.77%4.6M
Non current liabilities
Long term debt and capital lease obligation 2.93%463.48K2.96%460.18K2.98%456.88K3.00%453.57K3.00%453.57K-42.67%450.27K-33.80%446.97K-90.73%443.66K-74.97%440.36K-74.97%440.36K
-Long term debt 2.93%463.48K2.96%460.18K2.98%456.88K3.00%453.57K3.00%453.57K-42.67%450.27K-33.80%446.97K-90.73%443.66K-74.97%440.36K-74.97%440.36K
Total non current liabilities 2.93%463.48K2.96%460.18K2.98%456.88K3.00%453.57K3.00%453.57K-42.67%450.27K-33.80%446.97K-90.73%443.66K-74.97%440.36K-74.97%440.36K
Total liabilities 19.23%6.53M10.53%5.95M11.65%5.76M11.77%5.63M11.77%5.63M-1.09%5.48M-2.82%5.38M-8.79%5.16M64.74%5.04M64.74%5.04M
Shareholders'equity
Share capital 1.54%22.63M3.63%22.63M3.83%22.57M182.84%22.57M182.84%22.57M185.03%22.29M202.98%21.84M201.59%21.74M8.74%7.98M8.74%7.98M
-common stock 1.54%22.63M3.63%22.63M3.83%22.57M182.84%22.57M182.84%22.57M185.03%22.29M202.98%21.84M201.59%21.74M8.74%7.98M8.74%7.98M
Retained earnings -25.95%-15.65M-36.48%-17.57M-16.46%-17.24M-125.00%-16.82M-125.00%-16.82M-16.08%-12.43M-24.80%-12.87M-42.62%-14.81M6.40%-7.48M6.40%-7.48M
Paid-in capital --------------0--0--------------0--0
Other equity interest -96.89%70.01K-17.78%2.31M-17.78%2.31M-17.78%2.31M-17.78%2.31M-20.74%2.25M-18.38%2.81M-18.38%2.81M-18.38%2.81M-18.38%2.81M
Total stockholders'equity -41.80%7.04M-37.42%7.37M-21.61%7.64M143.25%8.06M143.25%8.06M439.32%12.1M342.97%11.77M275.61%9.74M18.62%3.31M18.62%3.31M
Noncontrolling interests -8.88%-316.82K2.62%-310.44K0.21%-308.18K1.75%-295.62K1.75%-295.62K-124.54%-290.97K-129.33%-318.8K-127.06%-308.82K-139.52%-300.88K-139.52%-300.88K
Total equity -43.05%6.73M-38.39%7.06M-22.31%7.33M157.73%7.76M157.73%7.76M244.42%11.81M205.88%11.45M152.56%9.43M-15.26%3.01M-15.26%3.01M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

Analyst Rating

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Price Target

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