US Stock MarketDetailed Quotes

IPNFF IMAGINEAR INC

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  • 0.027000
  • +0.002000+8.00%
15min DelayClose Jul 26 16:00 ET
7.16MMarket Cap-2250P/E (TTM)

IMAGINEAR INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Feb 29, 2024
(Q1)Nov 30, 2023
(FY)Aug 31, 2023
(Q4)Aug 31, 2023
(Q3)May 31, 2023
(Q2)Feb 28, 2023
(Q1)Nov 30, 2022
(FY)Aug 31, 2022
(Q4)Aug 31, 2022
(Q3)May 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
281.19%154.35K
218.14%441.09K
-76.99%110.75K
-76.99%110.75K
-63.96%347.02K
-97.95%40.49K
-95.64%138.65K
-88.56%481.24K
-88.56%481.24K
-81.82%963K
-Cash and cash equivalents
281.19%154.35K
218.14%441.09K
-76.99%110.75K
-76.99%110.75K
-63.96%347.02K
-97.95%40.49K
-95.64%138.65K
-88.56%481.24K
-88.56%481.24K
-81.82%963K
Receivables
-88.18%12.76K
-61.42%21.72K
-44.14%14.89K
-44.14%14.89K
-54.16%138.26K
-53.22%108.02K
-61.97%56.28K
-60.37%26.65K
-60.37%26.65K
196.86%301.63K
-Accounts receivable
-91.62%8.64K
-94.72%2.63K
-98.36%375
-98.36%375
-55.82%132K
-54.62%103.11K
-64.40%49.72K
-64.74%22.86K
-64.74%22.86K
207.18%298.78K
-Taxes receivable
-15.91%4.12K
190.76%19.09K
282.70%14.51K
282.70%14.51K
119.59%6.26K
33.96%4.9K
-21.36%6.57K
57.41%3.79K
57.41%3.79K
-34.37%2.85K
Prepaid assets
-40.50%14.48K
126.56%54.99K
175.57%80.89K
175.57%80.89K
46.56%52.83K
-77.45%24.34K
7.19%24.27K
-31.60%29.35K
-31.60%29.35K
-57.49%36.05K
Current deferred assets
----
----
--0
--0
123.34%84.96K
--84.93K
--84.42K
--81.5K
--81.5K
--38.04K
Total current assets
-29.55%181.59K
70.54%517.8K
-66.62%206.52K
-66.62%206.52K
-53.46%623.07K
-88.87%257.77K
-90.94%303.62K
-85.66%618.74K
-85.66%618.74K
-75.59%1.34M
Non current assets
Net PPE
----
----
--0
--0
--0
--0
8.65%5.64K
8.65%9.02K
8.65%9.02K
8.65%12.4K
-Gross PPE
----
----
--0
--0
--0
--0
8.65%5.64K
8.65%9.02K
8.65%9.02K
8.65%12.4K
Goodwill and other intangible assets
--0
-94.21%710
-81.11%2.9K
-81.11%2.9K
-87.95%6.01K
--9.18K
--12.26K
--15.37K
--15.37K
--49.89K
-Other intangible assets
----
-94.21%710
-81.11%2.9K
-81.11%2.9K
--6.01K
--9.18K
--12.26K
--15.37K
--15.37K
----
Total non current assets
--0
-96.03%710
-88.10%2.9K
-88.10%2.9K
-90.35%6.01K
342.15%9.18K
74.94%17.9K
82.76%24.39K
82.76%24.39K
278.55%62.3K
Total assets
-31.98%181.59K
61.27%518.51K
-67.44%209.43K
-67.44%209.43K
-55.10%629.08K
-88.49%266.95K
-90.43%321.52K
-85.14%643.13K
-85.14%643.13K
-74.53%1.4M
Liabilities
Current liabilities
Payables
14.60%866.8K
31.76%879.01K
123.99%898.49K
123.99%898.49K
239.96%848.43K
239.69%756.36K
115.76%667.16K
17.02%401.13K
17.02%401.13K
-32.31%249.56K
-accounts payable
15.60%847.4K
33.60%865.91K
129.14%881.69K
129.14%881.69K
257.71%835.83K
254.58%733.02K
121.03%648.11K
113.42%384.78K
113.42%384.78K
12.95%233.66K
-Due to related parties current
-16.90%19.4K
-31.20%13.1K
2.71%16.8K
2.71%16.8K
-20.77%12.6K
46.51%23.34K
19.07%19.04K
-89.93%16.36K
-89.93%16.36K
-90.17%15.9K
Current accrued expenses
93.66%58.97K
-29.59%52.34K
-12.02%104.94K
-12.02%104.94K
7.87%48.63K
0.00%30.45K
369.91%74.34K
99.76%119.28K
99.76%119.28K
-19.07%45.08K
Current debt and capital lease obligation
-75.43%13.03K
180.36%53.03K
138.08%53.03K
138.08%53.03K
325.00%53.03K
1,635.91%53.03K
215.37%18.92K
181.96%22.28K
181.96%22.28K
7.89%12.48K
-Current debt
-75.43%13.03K
306.94%53.03K
306.94%53.03K
306.94%53.03K
--53.03K
--53.03K
--13.03K
--13.03K
--13.03K
----
-Current capital lease obligation
----
----
--0
--0
--0
--0
-1.90%5.88K
17.00%9.24K
17.00%9.24K
7.89%12.48K
Current deferred liabilities
-91.47%1.7K
-29.49%14.29K
-39.39%11.86K
-39.39%11.86K
-71.95%16.99K
52.61%19.89K
18.89%20.26K
-33.41%19.56K
-33.41%19.56K
-55.96%60.58K
Other current liabilities
----
----
----
----
----
--100
----
----
----
----
Current liabilities
9.38%940.5K
27.92%998.67K
90.01%1.07M
90.01%1.07M
163.01%967.08K
219.40%859.83K
124.28%780.67K
27.85%562.24K
27.85%562.24K
-35.88%367.7K
Non current liabilities
Long term debt and capital lease obligation
----
----
----
----
----
----
0.00%40K
0.00%40K
0.00%40K
0.00%40K
-Long term debt
----
----
----
----
----
----
0.00%40K
0.00%40K
0.00%40K
0.00%40K
Total non current liabilities
--0
--0
--0
--0
--0
--0
0.00%40K
0.00%40K
0.00%40K
0.00%40K
Total liabilities
9.38%940.5K
21.69%998.67K
77.39%1.07M
77.39%1.07M
137.20%967.08K
178.08%859.83K
111.47%820.67K
25.53%602.24K
25.53%602.24K
-33.54%407.7K
Shareholders'equity
Share capital
5.27%36.2M
5.11%36.14M
1.45%34.89M
1.45%34.89M
1.31%34.84M
0.03%34.39M
0.03%34.39M
0.09%34.39M
0.09%34.39M
0.15%34.39M
-common stock
5.27%36.2M
5.11%36.14M
1.45%34.89M
1.45%34.89M
1.31%34.84M
0.03%34.39M
0.03%34.39M
0.09%34.39M
0.09%34.39M
0.15%34.39M
Retained earnings
-5.86%-44.64M
-5.06%-44.19M
-4.31%-43.28M
-4.31%-43.28M
-4.58%-42.37M
-6.85%-42.17M
-9.51%-42.06M
-10.87%-41.49M
-10.87%-41.49M
-11.53%-40.52M
Gains losses not affecting retained earnings
4.64%7.52M
3.50%7.42M
3.82%7.41M
3.82%7.41M
1.06%7.2M
1.58%7.19M
2.72%7.17M
3.32%7.14M
3.32%7.14M
3.56%7.12M
Other equity interest
--159.71K
--141.63K
--116.48K
--116.48K
----
----
----
----
----
----
Total stockholders'equity
-28.00%-758.9K
3.81%-480.16K
-2,200.55%-858.89K
-2,200.55%-858.89K
-134.03%-338K
-129.51%-592.88K
-116.80%-499.16K
-98.94%40.89K
-98.94%40.89K
-79.68%993.31K
Total equity
-28.00%-758.9K
3.81%-480.16K
-2,200.55%-858.89K
-2,200.55%-858.89K
-134.03%-338K
-129.51%-592.88K
-116.80%-499.16K
-98.94%40.89K
-98.94%40.89K
-79.68%993.31K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(Q2)Feb 29, 2024(Q1)Nov 30, 2023(FY)Aug 31, 2023(Q4)Aug 31, 2023(Q3)May 31, 2023(Q2)Feb 28, 2023(Q1)Nov 30, 2022(FY)Aug 31, 2022(Q4)Aug 31, 2022(Q3)May 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 281.19%154.35K218.14%441.09K-76.99%110.75K-76.99%110.75K-63.96%347.02K-97.95%40.49K-95.64%138.65K-88.56%481.24K-88.56%481.24K-81.82%963K
-Cash and cash equivalents 281.19%154.35K218.14%441.09K-76.99%110.75K-76.99%110.75K-63.96%347.02K-97.95%40.49K-95.64%138.65K-88.56%481.24K-88.56%481.24K-81.82%963K
Receivables -88.18%12.76K-61.42%21.72K-44.14%14.89K-44.14%14.89K-54.16%138.26K-53.22%108.02K-61.97%56.28K-60.37%26.65K-60.37%26.65K196.86%301.63K
-Accounts receivable -91.62%8.64K-94.72%2.63K-98.36%375-98.36%375-55.82%132K-54.62%103.11K-64.40%49.72K-64.74%22.86K-64.74%22.86K207.18%298.78K
-Taxes receivable -15.91%4.12K190.76%19.09K282.70%14.51K282.70%14.51K119.59%6.26K33.96%4.9K-21.36%6.57K57.41%3.79K57.41%3.79K-34.37%2.85K
Prepaid assets -40.50%14.48K126.56%54.99K175.57%80.89K175.57%80.89K46.56%52.83K-77.45%24.34K7.19%24.27K-31.60%29.35K-31.60%29.35K-57.49%36.05K
Current deferred assets ----------0--0123.34%84.96K--84.93K--84.42K--81.5K--81.5K--38.04K
Total current assets -29.55%181.59K70.54%517.8K-66.62%206.52K-66.62%206.52K-53.46%623.07K-88.87%257.77K-90.94%303.62K-85.66%618.74K-85.66%618.74K-75.59%1.34M
Non current assets
Net PPE ----------0--0--0--08.65%5.64K8.65%9.02K8.65%9.02K8.65%12.4K
-Gross PPE ----------0--0--0--08.65%5.64K8.65%9.02K8.65%9.02K8.65%12.4K
Goodwill and other intangible assets --0-94.21%710-81.11%2.9K-81.11%2.9K-87.95%6.01K--9.18K--12.26K--15.37K--15.37K--49.89K
-Other intangible assets -----94.21%710-81.11%2.9K-81.11%2.9K--6.01K--9.18K--12.26K--15.37K--15.37K----
Total non current assets --0-96.03%710-88.10%2.9K-88.10%2.9K-90.35%6.01K342.15%9.18K74.94%17.9K82.76%24.39K82.76%24.39K278.55%62.3K
Total assets -31.98%181.59K61.27%518.51K-67.44%209.43K-67.44%209.43K-55.10%629.08K-88.49%266.95K-90.43%321.52K-85.14%643.13K-85.14%643.13K-74.53%1.4M
Liabilities
Current liabilities
Payables 14.60%866.8K31.76%879.01K123.99%898.49K123.99%898.49K239.96%848.43K239.69%756.36K115.76%667.16K17.02%401.13K17.02%401.13K-32.31%249.56K
-accounts payable 15.60%847.4K33.60%865.91K129.14%881.69K129.14%881.69K257.71%835.83K254.58%733.02K121.03%648.11K113.42%384.78K113.42%384.78K12.95%233.66K
-Due to related parties current -16.90%19.4K-31.20%13.1K2.71%16.8K2.71%16.8K-20.77%12.6K46.51%23.34K19.07%19.04K-89.93%16.36K-89.93%16.36K-90.17%15.9K
Current accrued expenses 93.66%58.97K-29.59%52.34K-12.02%104.94K-12.02%104.94K7.87%48.63K0.00%30.45K369.91%74.34K99.76%119.28K99.76%119.28K-19.07%45.08K
Current debt and capital lease obligation -75.43%13.03K180.36%53.03K138.08%53.03K138.08%53.03K325.00%53.03K1,635.91%53.03K215.37%18.92K181.96%22.28K181.96%22.28K7.89%12.48K
-Current debt -75.43%13.03K306.94%53.03K306.94%53.03K306.94%53.03K--53.03K--53.03K--13.03K--13.03K--13.03K----
-Current capital lease obligation ----------0--0--0--0-1.90%5.88K17.00%9.24K17.00%9.24K7.89%12.48K
Current deferred liabilities -91.47%1.7K-29.49%14.29K-39.39%11.86K-39.39%11.86K-71.95%16.99K52.61%19.89K18.89%20.26K-33.41%19.56K-33.41%19.56K-55.96%60.58K
Other current liabilities ----------------------100----------------
Current liabilities 9.38%940.5K27.92%998.67K90.01%1.07M90.01%1.07M163.01%967.08K219.40%859.83K124.28%780.67K27.85%562.24K27.85%562.24K-35.88%367.7K
Non current liabilities
Long term debt and capital lease obligation ------------------------0.00%40K0.00%40K0.00%40K0.00%40K
-Long term debt ------------------------0.00%40K0.00%40K0.00%40K0.00%40K
Total non current liabilities --0--0--0--0--0--00.00%40K0.00%40K0.00%40K0.00%40K
Total liabilities 9.38%940.5K21.69%998.67K77.39%1.07M77.39%1.07M137.20%967.08K178.08%859.83K111.47%820.67K25.53%602.24K25.53%602.24K-33.54%407.7K
Shareholders'equity
Share capital 5.27%36.2M5.11%36.14M1.45%34.89M1.45%34.89M1.31%34.84M0.03%34.39M0.03%34.39M0.09%34.39M0.09%34.39M0.15%34.39M
-common stock 5.27%36.2M5.11%36.14M1.45%34.89M1.45%34.89M1.31%34.84M0.03%34.39M0.03%34.39M0.09%34.39M0.09%34.39M0.15%34.39M
Retained earnings -5.86%-44.64M-5.06%-44.19M-4.31%-43.28M-4.31%-43.28M-4.58%-42.37M-6.85%-42.17M-9.51%-42.06M-10.87%-41.49M-10.87%-41.49M-11.53%-40.52M
Gains losses not affecting retained earnings 4.64%7.52M3.50%7.42M3.82%7.41M3.82%7.41M1.06%7.2M1.58%7.19M2.72%7.17M3.32%7.14M3.32%7.14M3.56%7.12M
Other equity interest --159.71K--141.63K--116.48K--116.48K------------------------
Total stockholders'equity -28.00%-758.9K3.81%-480.16K-2,200.55%-858.89K-2,200.55%-858.89K-134.03%-338K-129.51%-592.88K-116.80%-499.16K-98.94%40.89K-98.94%40.89K-79.68%993.31K
Total equity -28.00%-758.9K3.81%-480.16K-2,200.55%-858.89K-2,200.55%-858.89K-134.03%-338K-129.51%-592.88K-116.80%-499.16K-98.94%40.89K-98.94%40.89K-79.68%993.31K
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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