(Q3)Jun 30, 2024 | (Q2)Mar 31, 2024 | (Q1)Dec 31, 2023 | (FY)Sep 30, 2023 | (Q4)Sep 30, 2023 | (Q3)Jun 30, 2023 | (Q2)Mar 31, 2023 | (Q1)Dec 31, 2022 | (FY)Sep 30, 2022 | (Q4)Sep 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 4.41%62.03M | 2.98%59.6M | 4.48%59.62M | 3.40%60.49M | 3.40%60.49M | 3.34%59.41M | 3.64%57.88M | 4.67%57.06M | 269.15%58.5M | 269.15%58.5M |
-Cash and cash equivalents | 4.41%62.02M | 2.98%59.59M | 4.48%59.61M | 3.40%60.48M | 3.40%60.48M | 3.34%59.4M | 3.64%57.87M | 4.68%57.05M | 269.33%58.49M | 269.33%58.49M |
-Short-term investments | 10.00%11K | 10.00%11K | 10.00%11K | 11.11%10K | 11.11%10K | 0.00%10K | 0.00%10K | 0.00%10K | -10.00%9K | -10.00%9K |
Receivables | 47.38%3.18M | 41.29%3.09M | 14.49%2.67M | 5.73%2.55M | 5.73%2.55M | -12.00%2.16M | -24.64%2.19M | -27.44%2.33M | -21.61%2.41M | -21.61%2.41M |
-Accounts receivable | 36.98%2.63M | 31.62%2.56M | 3.86%2.16M | -0.24%2.05M | -0.24%2.05M | -11.44%1.92M | -25.39%1.94M | -26.57%2.08M | -26.62%2.05M | -26.62%2.05M |
-Accrued interest receivable | --255K | --261K | --264K | 153.00%253K | 153.00%253K | ---- | ---- | ---- | --100K | --100K |
-Other receivables | 24.05%294K | 11.43%273K | -2.33%251K | -3.89%247K | -3.89%247K | -16.25%237K | -18.06%245K | -33.76%257K | -7.22%257K | -7.22%257K |
Prepaid assets | -48.00%390K | -16.82%732K | -20.87%603K | -11.16%669K | -11.16%669K | 39.93%750K | 38.36%880K | 35.35%762K | -4.44%753K | -4.44%753K |
Total current assets | 5.27%65.6M | 4.07%63.43M | 4.55%62.89M | 3.32%63.7M | 3.32%63.7M | 3.04%62.32M | 2.63%60.95M | 3.20%60.15M | 212.88%61.66M | 212.88%61.66M |
Non current assets | ||||||||||
Net PPE | 103.42%1.43M | 83.88%1.47M | -45.54%488K | -38.21%600K | -38.21%600K | -33.27%702K | -29.76%800K | -27.45%896K | -26.50%971K | -26.50%971K |
-Gross PPE | -0.51%2.91M | -2.33%2.89M | -5.26%2.84M | -4.66%2.89M | -4.66%2.89M | -4.38%2.92M | -4.20%2.96M | -4.33%3M | -4.51%3.03M | -4.51%3.03M |
-Accumulated depreciation | 33.36%-1.48M | 34.23%-1.42M | -11.87%-2.36M | -11.18%-2.29M | -11.18%-2.29M | -10.77%-2.22M | -10.70%-2.16M | -10.67%-2.11M | -11.19%-2.06M | -11.19%-2.06M |
Non current accounts receivable | 1.27%82.25M | 1.46%82.26M | 0.56%81.47M | 0.49%81.26M | 0.49%81.26M | 0.72%81.22M | 0.53%81.07M | 0.46%81.01M | 0.28%80.87M | 0.28%80.87M |
Other non current assets | 16.56%183K | 15.92%182K | 3.82%163K | 0.00%156K | 0.00%156K | -21.50%157K | 3.29%157K | -36.18%157K | -33.62%156K | -33.62%156K |
Total non current assets | 2.17%83.86M | 2.29%83.91M | 0.06%82.12M | 0.03%82.02M | 0.03%82.02M | 0.23%82.08M | 0.11%82.03M | -0.07%82.07M | -0.25%82M | -0.25%82M |
Total assets | 3.51%149.46M | 3.05%147.34M | 1.96%145.01M | 1.44%145.72M | 1.44%145.72M | 1.42%144.4M | 1.17%142.97M | 1.29%142.22M | 40.97%143.65M | 40.97%143.65M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -0.21%485K | 12.22%542K | 3.16%978K | -8.78%748K | -8.78%748K | 14.62%486K | 13.65%483K | 11.79%948K | -21.90%820K | -21.90%820K |
-Total tax payable | -0.21%485K | 12.22%542K | 3.16%978K | -8.78%748K | -8.78%748K | 14.62%486K | 13.65%483K | 11.79%948K | -21.90%820K | -21.90%820K |
Current accrued expenses | 11.07%1M | 26.52%1.06M | 24.50%1.06M | -31.59%905K | -31.59%905K | -8.14%903K | -27.15%837K | -48.71%853K | -6.37%1.32M | -6.37%1.32M |
Current debt and capital lease obligation | -21.24%293K | -22.10%289K | -49.59%186K | -23.98%279K | -23.98%279K | 1.92%372K | 2.20%371K | 2.22%369K | 2.23%367K | 2.23%367K |
-Current capital lease obligation | -21.24%293K | -22.10%289K | -49.59%186K | -23.98%279K | -23.98%279K | 1.92%372K | 2.20%371K | 2.22%369K | 2.23%367K | 2.23%367K |
Current liabilities | 8.14%3.77M | 20.27%3.17M | 3.54%2.78M | -11.13%4.19M | -11.13%4.19M | -1.22%3.49M | -19.20%2.64M | -26.90%2.69M | -15.16%4.72M | -15.16%4.72M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 2.79%40.18M | 2.75%40.18M | 0.28%39.24M | 0.04%39.16M | 0.04%39.16M | -0.21%39.09M | -0.21%39.11M | -0.22%39.13M | 5,960.22%39.15M | 5,960.22%39.15M |
-Long term debt | 0.79%39.4M | 0.78%39.32M | 0.76%39.24M | 0.76%39.16M | 0.76%39.16M | 0.75%39.09M | 0.74%39.01M | 0.73%38.94M | --38.87M | --38.87M |
-Long term capital lease obligation | --781K | 829.03%864K | ---- | --0 | --0 | --0 | -79.91%93K | -66.43%186K | -56.81%279K | -56.81%279K |
Non current deferred liabilities | 6.62%15.35M | 6.50%15.06M | 7.82%14.83M | 8.33%14.61M | 8.33%14.61M | 5.14%14.39M | 4.99%14.14M | 5.71%13.75M | 8.45%13.49M | 8.45%13.49M |
Total non current liabilities | 3.82%55.52M | 3.74%55.24M | 2.24%54.07M | 2.16%53.78M | 2.16%53.78M | 1.17%53.48M | 1.12%53.25M | 1.26%52.88M | 302.33%52.64M | 302.33%52.64M |
Total liabilities | 4.08%59.3M | 4.52%58.41M | 2.31%56.85M | 1.07%57.97M | 1.07%57.97M | 1.02%56.97M | -0.07%55.89M | -0.59%55.56M | 207.64%57.35M | 207.64%57.35M |
Shareholders'equity | ||||||||||
Share capital | 3.84%22.61M | 3.86%22.34M | 3.93%22.06M | 4.05%21.8M | 4.05%21.8M | 3.90%21.77M | 4.21%21.51M | 4.38%21.23M | 4.94%20.95M | 4.94%20.95M |
-common stock | 3.84%22.61M | 3.86%22.34M | 3.93%22.06M | 4.05%21.8M | 4.05%21.8M | 3.90%21.77M | 4.21%21.51M | 4.38%21.23M | 4.94%20.95M | 4.94%20.95M |
Retained earnings | 2.90%67.56M | 1.53%66.58M | 1.03%66.1M | 0.93%65.95M | 0.93%65.95M | 0.97%65.65M | 1.28%65.58M | 1.94%65.43M | 3.24%65.35M | 3.24%65.35M |
Total stockholders'equity | 3.13%90.16M | 2.10%88.92M | 1.74%88.16M | 1.68%87.75M | 1.68%87.75M | 1.68%87.43M | 1.98%87.09M | 2.53%86.66M | 3.65%86.3M | 3.65%86.3M |
Total equity | 3.13%90.16M | 2.10%88.92M | 1.74%88.16M | 1.68%87.75M | 1.68%87.75M | 1.68%87.43M | 1.98%87.09M | 2.53%86.66M | 3.65%86.3M | 3.65%86.3M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Audit Opinions | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- |
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