(Q3)Jul 31, 2024 | (Q2)Apr 30, 2024 | (Q1)Jan 31, 2024 | (FY)Oct 31, 2023 | (Q4)Oct 31, 2023 | (Q2)Apr 30, 2023 | (Q1)Jan 31, 2023 | (FY)Oct 31, 2022 | (Q4)Oct 31, 2022 | (Q3)Jul 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | --35.97M | 55.69%35.27M | 21.32%28.75M | 19.71%30.26M | 19.71%30.26M | 46.95%22.65M | 122.16%23.7M | 69.95%25.28M | 69.95%25.28M | -32.81%18.74M |
-Cash and cash equivalents | --35.25M | 53.60%34.54M | 21.05%28.69M | 20.08%30.12M | 20.08%30.12M | 49.92%22.49M | 135.15%23.7M | 78.99%25.08M | 78.99%25.08M | -31.23%18.32M |
-Short-term investments | --712K | 342.07%725K | --63K | -27.69%141K | -27.69%141K | -60.48%164K | --0 | -77.33%195K | -77.33%195K | -66.51%419K |
Receivables | --2.64M | -57.76%4.1M | -58.32%4.48M | -7.65%7.57M | -7.65%7.57M | -11.39%9.72M | 21.07%10.74M | 10.04%8.2M | 10.04%8.2M | 98.15%14.11M |
-Accounts receivable | --2.86M | -55.78%4.16M | -60.50%4.08M | -5.62%7.47M | -5.62%7.47M | -4.43%9.41M | 28.97%10.33M | 21.90%7.92M | 21.90%7.92M | 140.77%12.43M |
-Loans receivable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -60.34%568K |
-Taxes receivable | ---- | -47.56%161K | -3.19%394K | -64.08%102K | -64.08%102K | -60.89%307K | -29.71%407K | -58.30%284K | -58.30%284K | 111.22%1.11M |
-Recievables adjustments allowances | ---222K | ---218K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Inventory | --29.07M | 3.38%28.12M | 2.32%25.44M | 10.93%25.97M | 10.93%25.97M | 19.39%27.2M | 15.35%24.87M | 37.39%23.41M | 37.39%23.41M | 56.42%23.54M |
Prepaid assets | --8M | 114.79%4.9M | 40.96%6.61M | -32.52%4.84M | -32.52%4.84M | -73.13%2.28M | -43.83%4.69M | 3.58%7.17M | 3.58%7.17M | 50.22%7.75M |
Total current assets | --75.67M | 17.03%72.38M | 2.01%65.28M | 7.16%68.65M | 7.16%68.65M | 7.29%61.84M | 29.42%64M | 38.40%64.06M | 38.40%64.06M | 16.15%64.14M |
Non current assets | ||||||||||
Net PPE | --63.14M | 6.52%61.73M | 1.25%60.48M | -6.80%57.79M | -6.80%57.79M | -3.80%57.95M | -0.84%59.74M | 17.56%62M | 17.56%62M | 23.29%59.9M |
-Gross PPE | --97.37M | 16.55%94.12M | 12.57%90.59M | 8.91%86.19M | 8.91%86.19M | 9.50%80.75M | 14.07%80.48M | 29.47%79.14M | 29.47%79.14M | 39.65%76.92M |
-Accumulated depreciation | ---34.23M | -42.04%-32.39M | -45.17%-30.11M | -65.76%-28.4M | -65.76%-28.4M | -68.82%-22.8M | -101.20%-20.74M | -104.37%-17.13M | -104.37%-17.13M | -162.14%-17.01M |
Goodwill and other intangible assets | --97.34M | -32.11%98.15M | -32.02%99.44M | -28.87%103.49M | -28.87%103.49M | -18.96%144.57M | -16.64%146.28M | 2.26%145.49M | 2.26%145.49M | 44.47%182.07M |
-Goodwill | --76.34M | -11.65%76.94M | -12.23%75.77M | -8.65%76.2M | -8.65%76.2M | -21.99%87.09M | -17.99%86.33M | 4.34%83.42M | 4.34%83.42M | ---- |
-Other intangible assets | --21M | -63.10%21.21M | -60.52%23.67M | -56.05%27.28M | -56.05%27.28M | -13.89%57.48M | -14.62%59.95M | -0.42%62.07M | -0.42%62.07M | ---- |
Investments and advances | --0 | --0 | --0 | -11.82%179K | -11.82%179K | -58.37%179K | -61.83%179K | -59.88%203K | -59.88%203K | -76.80%203K |
Long-term notes receivables | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
Non current prepaid assets | --2.31M | -37.88%2.21M | -42.40%2.1M | 10.68%3.31M | 10.68%3.31M | 42.04%3.55M | 75.52%3.65M | 77.75%2.99M | 77.75%2.99M | 108.34%3.35M |
Total non current assets | --162.79M | -21.41%162.08M | -22.79%162.03M | -21.80%164.76M | -21.80%164.76M | -15.61%206.25M | -12.97%209.84M | 5.38%210.68M | 5.38%210.68M | 37.19%245.52M |
Total assets | --238.46M | -12.54%234.46M | -16.99%227.31M | -15.05%233.4M | -15.05%233.4M | -11.24%268.09M | -5.76%273.83M | 11.59%274.74M | 11.59%274.74M | 32.23%309.66M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | --12.06M | -20.11%12.44M | -58.82%9.69M | -35.42%12.42M | -35.42%12.42M | --15.57M | --23.53M | 73.34%19.23M | 73.34%19.23M | 74.05%22.81M |
-accounts payable | --8.48M | 36.12%8.42M | -45.42%6.18M | 8.90%8.35M | 8.90%8.35M | --6.18M | --11.33M | -12.23%7.67M | -12.23%7.67M | 74.05%22.81M |
-Total tax payable | --3.58M | -57.14%4.02M | -71.25%3.51M | -64.84%4.06M | -64.84%4.06M | --9.39M | --12.21M | 391.28%11.56M | 391.28%11.56M | ---- |
Current accrued expenses | --8.54M | 55.19%8.76M | 23.83%6.45M | 20.87%8.49M | 20.87%8.49M | --5.64M | --5.21M | -3.24%7.02M | -3.24%7.02M | ---- |
Current debt and capital lease obligation | --36.22M | 22.20%37.48M | 34.87%36.65M | 20.51%32.2M | 20.51%32.2M | 83.92%30.67M | 101.15%27.17M | 117.66%26.72M | 117.66%26.72M | 75.58%18.64M |
-Current debt | --27.97M | 23.62%29.68M | 43.57%28.87M | 30.89%24.99M | 30.89%24.99M | 159.60%24.01M | 207.24%20.11M | 191.61%19.09M | 191.61%19.09M | 129.91%11.23M |
-Current capital lease obligation | --8.24M | 17.07%7.8M | 10.09%7.77M | -5.44%7.21M | -5.44%7.21M | -10.33%6.66M | 1.39%7.06M | 33.16%7.63M | 33.16%7.63M | 29.25%7.41M |
Current deferred liabilities | --2.3M | 179.56%2.02M | 6,965.22%1.63M | 112.32%1.36M | 112.32%1.36M | --724K | --23K | 246.49%641K | 246.49%641K | ---- |
Other current liabilities | --973K | -70.17%1.13M | -33.50%3.38M | -42.00%3.68M | -42.00%3.68M | -53.84%3.79M | -44.64%5.08M | -36.51%6.34M | -36.51%6.34M | 3.72%10.76M |
Current liabilities | --60.09M | 9.63%61.82M | -5.29%57.79M | -3.01%58.14M | -3.01%58.14M | 11.37%56.39M | 36.07%61.01M | 46.96%59.94M | 46.96%59.94M | 53.12%52.21M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | --30.21M | -23.90%30.15M | -30.48%28.67M | -6.57%40.33M | -6.57%40.33M | -10.28%39.62M | -7.67%41.23M | 0.03%43.17M | 0.03%43.17M | 5.74%44.55M |
-Long term debt | --55K | -97.50%361K | -99.51%77K | -26.54%12.51M | -26.54%12.51M | -24.49%14.46M | -15.48%15.83M | -10.90%17.03M | -10.90%17.03M | -9.37%19.07M |
-Long term capital lease obligation | --30.16M | 18.36%29.79M | 12.56%28.59M | 6.44%27.82M | 6.44%27.82M | 0.58%25.17M | -2.03%25.4M | 8.71%26.14M | 8.71%26.14M | 20.82%25.48M |
Non current deferred liabilities | --519K | -96.38%279K | -90.31%761K | -86.81%1.27M | -86.81%1.27M | -21.90%7.7M | -24.18%7.86M | 11.96%9.6M | 11.96%9.6M | -6.71%10.39M |
Derivative product liabilities | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
Total non current liabilities | --30.73M | -35.70%30.43M | -40.05%29.43M | -21.17%41.6M | -21.17%41.6M | -24.47%47.33M | -22.60%49.09M | -1.23%52.77M | -1.23%52.77M | 3.14%54.95M |
Total liabilities | --90.82M | -11.05%92.25M | -20.79%87.21M | -11.51%99.74M | -11.51%99.74M | -8.45%103.71M | 1.70%110.1M | 19.64%112.71M | 19.64%112.71M | 22.65%107.16M |
Shareholders'equity | ||||||||||
Share capital | --299.48M | 3.33%296.3M | 2.80%294.58M | 3.05%288.03M | 3.05%288.03M | 8.18%286.75M | 14.88%286.55M | 33.80%279.51M | 33.80%279.51M | 44.97%272.81M |
-common stock | --299.48M | 3.33%296.3M | 2.80%294.58M | 3.05%288.03M | 3.05%288.03M | 8.18%286.75M | 14.88%286.55M | 33.80%279.51M | 33.80%279.51M | 44.97%272.81M |
Retained earnings | ---204.67M | -18.83%-206.1M | -19.84%-205.71M | -22.51%-205.93M | -22.51%-205.93M | -54.31%-173.44M | -65.13%-171.65M | -91.47%-168.09M | -91.47%-168.09M | -65.40%-115.41M |
Paid-in capital | --39.79M | 28.92%36.56M | 27.91%31.32M | 33.40%30.75M | 33.40%30.75M | 46.54%28.36M | 42.21%24.49M | 52.03%23.05M | 52.03%23.05M | 70.23%21.04M |
Gains losses not affecting retained earnings | --5.79M | 62.92%5.69M | 52.75%4.52M | -7.20%5.26M | -7.20%5.26M | 411.79%3.49M | 210.17%2.96M | 974.23%5.67M | 974.23%5.67M | 93.77%-25K |
Other equity interest | --4.7M | -46.92%7.31M | -20.24%12.93M | -17.00%13.46M | -17.00%13.46M | 24.21%13.78M | 44.57%16.21M | 39.98%16.21M | 39.98%16.21M | 32.36%17.15M |
Total stockholders'equity | --145.09M | -12.07%139.76M | -13.19%137.65M | -15.86%131.56M | -15.86%131.56M | -12.67%158.94M | -9.33%158.56M | 6.21%156.35M | 6.21%156.35M | 36.45%195.56M |
Noncontrolling interests | --2.55M | -55.01%2.45M | -52.76%2.45M | -62.87%2.11M | -62.87%2.11M | -19.53%5.44M | -30.36%5.18M | 18.52%5.68M | 18.52%5.68M | 98.71%6.94M |
Total equity | --147.64M | -13.49%142.21M | -14.44%140.1M | -17.51%133.67M | -17.51%133.67M | -12.91%164.38M | -10.19%163.74M | 6.60%162.03M | 6.60%162.03M | 37.93%202.5M |
Currency Unit | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD |
Audit Opinions | -- | -- | -- | Unqualified Opinion | -- | -- | -- | Unqualified Opinion | -- | -- |
No Data
No Data