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JE Just Energy Group Inc

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  • 0.000
  • 0.0000.00%
15min DelayMarket Closed Sep 13 09:30 ET
0Market Cap0.00P/E (TTM)

Just Energy Group Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2021
(Q2)Sep 30, 2021
(Q1)Jun 30, 2021
(FY)Mar 31, 2021
(Q4)Mar 31, 2021
(Q3)Dec 31, 2020
(Q2)Sep 30, 2020
(Q1)Jun 30, 2020
(FY)Mar 31, 2020
(Q4)Mar 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
163.21%175.39M
156.46%199.95M
821.08%184.27M
727.77%215.99M
727.77%215.99M
270.44%66.64M
159.18%77.97M
690.44%20.01M
163.89%26.09M
163.89%26.09M
-Cash and cash equivalents
163.21%175.39M
156.46%199.95M
821.08%184.27M
727.77%215.99M
727.77%215.99M
270.44%66.64M
159.18%77.97M
690.44%20.01M
163.89%26.09M
163.89%26.09M
-Accounts receivable
-6.84%157.78M
2.20%192.5M
-14.89%160.58M
-21.79%189.25M
-21.79%189.25M
-20.08%169.36M
-29.71%188.36M
-27.63%188.68M
-33.71%241.97M
-33.71%241.97M
-Other receivables
-65.58%5.39M
148.61%34.14M
11.42%15.82M
-4.98%11.85M
-4.98%11.85M
-57.48%15.66M
-49.91%13.73M
-49.49%14.2M
-59.36%12.47M
-59.36%12.47M
Prepaid assets
----
----
----
--0
--0
----
----
--146.97M
0.00%146.97M
0.00%146.97M
Current deferred assets
-22.53%39.81M
-36.86%42.12M
-34.77%43.62M
-41.39%45.68M
-41.39%45.68M
-36.76%51.38M
-17.97%66.71M
-10.81%66.87M
9.15%77.94M
9.15%77.94M
Holding assets for sale
----
----
----
--0
--0
--2.57M
--2.45M
--3.4M
--7.61M
--7.61M
Total current assets
90.80%1.16B
90.41%1.26B
52.46%936.99M
9.02%756.99M
9.02%756.99M
-12.86%606.95M
-9.75%661.34M
-11.39%614.59M
-36.41%694.38M
-36.41%694.38M
Non current assets
-Accumulated depreciation
----
----
----
-4.70%-65.79M
-4.70%-65.79M
----
----
----
-24.19%-62.84M
-24.19%-62.84M
-Long term equity investment
-99.96%211K
-99.93%358K
-99.82%959K
-99.70%1.56M
-99.70%1.56M
2.96%515.23M
-1.71%496.04M
-29.60%519.35M
114.61%528.52M
114.61%528.52M
-Including:Held to maturity investments
618.48%209.77M
1,095.02%461.9M
291.79%215.77M
-31.16%25.03M
-31.16%25.03M
-69.11%29.2M
-51.96%38.65M
-25.05%55.07M
-74.84%36.35M
-74.84%36.35M
Financial assets
383.10%96.96M
414.58%115.61M
104.19%54.99M
-63.18%10.6M
-63.18%10.6M
-25.26%20.07M
-33.84%22.47M
-6.28%26.93M
211.10%28.79M
211.10%28.79M
Non current note receivables
-80.29%673K
122.52%7.6M
-1.23%3.6M
4.82%3.74M
4.82%3.74M
-0.87%3.41M
-8.20%3.42M
-11.79%3.64M
-15.71%3.57M
-15.71%3.57M
-Goodwill
-35.18%227.68M
-35.26%231.97M
-36.09%231.59M
-36.79%234.49M
-36.79%234.49M
-20.96%351.27M
-19.69%358.3M
-19.90%362.39M
-21.52%370.96M
-21.52%370.96M
-Other intangible assets
----
----
----
----
----
----
----
0.00%13.03M
0.00%13.03M
0.00%13.03M
Regulatory assets
60.75%570.32M
12.84%420.26M
-1.04%377.64M
-15.46%349.09M
-15.46%349.09M
-16.36%354.79M
-18.91%372.45M
-20.24%381.63M
-43.22%412.94M
-43.22%412.94M
Total assets
164.69%13.04M
5.22%10.63M
44.74%10.23M
24.05%8.24M
24.05%8.24M
-62.55%4.93M
-34.34%10.1M
-58.45%7.07M
-65.00%6.64M
-65.00%6.64M
Liabilities
Current liabilities
Current debt and capital lease obligation
17,534.65%623.39M
15,829.54%630.49M
136.67%622.23M
158.07%654.18M
158.07%654.18M
-98.71%3.54M
-98.21%3.96M
555.88%262.91M
-47.09%253.49M
-47.09%253.49M
-Current debt
17,534.65%623.39M
15,829.54%630.49M
136.67%622.23M
158.07%654.18M
158.07%654.18M
-98.71%3.54M
-98.21%3.96M
555.88%262.91M
-47.09%253.49M
-47.09%253.49M
-accounts payable
154.75%878.83M
102.81%885.49M
93.28%835.37M
48.99%792.72M
48.99%792.72M
8.21%344.98M
10.09%436.61M
38.87%432.2M
-17.81%532.05M
-17.81%532.05M
-Total tax payable
-95.78%28.57M
-94.37%34.55M
-95.07%30.2M
-86.90%84.56M
-86.90%84.56M
5.83%677.42M
-33.20%613.28M
-47.50%612.44M
69.59%645.45M
69.59%645.45M
-Due to related parties current
105.42%25.76M
-4.79%15.93M
-14.53%13.83M
-36.97%11.47M
-36.97%11.47M
-23.78%12.54M
-15.81%16.73M
-21.47%16.18M
-19.58%18.19M
-19.58%18.19M
-Other payable
26.25%9.83M
22.33%10.22M
-22.87%8.01M
-37.76%7.94M
-37.76%7.94M
-86.31%7.78M
-96.34%8.36M
-96.31%10.38M
42.28%12.76M
42.28%12.76M
Current provisions
-8.25%73.46M
-30.95%60M
-11.43%61.82M
-19.19%84.67M
-19.19%84.67M
10.32%80.07M
44.15%86.89M
49.48%69.79M
-31.81%104.77M
-31.81%104.77M
Current deferred liabilities
-9.19%8.09M
-1.82%9.37M
60.22%2.88M
65.26%1.41M
65.26%1.41M
-22.95%8.91M
-20.84%9.55M
-45.59%1.8M
-98.03%852K
-98.03%852K
Current liabilities
170.08%1.64B
142.60%1.69B
74.52%1.59B
50.33%1.6B
50.33%1.6B
-33.96%607.46M
-26.77%695.13M
21.42%912.57M
-28.52%1.07B
-28.52%1.07B
Non current liabilities
Non current accrued expenses
-37.13%12.98M
-28.39%15.73M
-32.54%16.13M
-38.09%17.83M
-38.09%17.83M
-33.88%20.64M
-38.26%21.97M
-37.06%23.9M
11.34%28.79M
11.34%28.79M
Unpaid loss and loss reserve
8.93%129.97M
6.97%116.5M
3.02%126.03M
-15.88%104.64M
-15.88%104.64M
-24.72%119.31M
-30.82%108.91M
-22.18%122.34M
-54.48%124.39M
-54.48%124.39M
Derivative product liabilities
-81.91%24.66M
-84.67%13.26M
-83.62%9.45M
-19.80%61.17M
-19.80%61.17M
44.53%136.33M
-33.31%86.53M
-46.52%57.7M
19.81%76.27M
19.81%76.27M
Long term provisions
-99.96%211K
-99.93%358K
-99.82%959K
-99.70%1.56M
-99.70%1.56M
2.96%515.23M
-1.71%496.04M
-29.60%519.35M
114.61%528.52M
114.61%528.52M
Total non current liabilities
29.91%1.67B
31.53%1.72B
6.41%1.62B
-1.43%1.69B
-1.43%1.69B
-17.63%1.28B
-29.93%1.31B
-20.49%1.53B
-8.57%1.71B
-8.57%1.71B
Shareholders'equity
Share capital
0.00%1.54B
0.05%1.54B
23.33%1.54B
23.34%1.54B
23.34%1.54B
23.40%1.54B
23.41%1.54B
0.36%1.25B
0.92%1.25B
0.92%1.25B
-common stock
0.00%1.54B
0.05%1.54B
39.80%1.54B
39.82%1.54B
39.82%1.54B
39.90%1.54B
39.92%1.54B
-11.46%1.1B
1.04%1.1B
1.04%1.1B
Additional paid-in capital
18.29%-10.19M
17.31%-10.61M
62.34%-11.02M
60.99%-11.63M
60.99%-11.63M
59.54%-12.47M
59.66%-12.83M
-16.15%-29.27M
-16.78%-29.83M
-16.78%-29.83M
Retained earnings
1,545.41%3.41M
1,232.65%3.27M
780.05%3.31M
-73.67%1.14M
-73.67%1.14M
-95.11%207K
-94.06%245K
-92.01%376K
6.87%4.33M
6.87%4.33M
Gains losses not affecting retained earnings
8.02%95.48M
10.29%96.03M
13.01%98.38M
7.58%91.07M
7.58%91.07M
-2.81%88.39M
1.72%87.07M
13.36%87.05M
7.03%84.65M
7.03%84.65M
Other equity interest
3.31%66.34M
-24.53%48.13M
-18.76%35.57M
-3.55%61.47M
-3.55%61.47M
136.35%64.21M
115.81%63.77M
106.55%43.78M
41.75%63.73M
41.75%63.73M
Total equity
44.28%1.54B
52.38%1.73B
17.92%1.31B
-10.20%1.09B
-10.20%1.09B
-17.59%1.07B
-27.16%1.14B
-27.64%1.11B
-28.46%1.22B
-28.46%1.22B
(Q3)Dec 31, 2021(Q2)Sep 30, 2021(Q1)Jun 30, 2021(FY)Mar 31, 2021(Q4)Mar 31, 2021(Q3)Dec 31, 2020(Q2)Sep 30, 2020(Q1)Jun 30, 2020(FY)Mar 31, 2020(Q4)Mar 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments 163.21%175.39M156.46%199.95M821.08%184.27M727.77%215.99M727.77%215.99M270.44%66.64M159.18%77.97M690.44%20.01M163.89%26.09M163.89%26.09M
-Cash and cash equivalents 163.21%175.39M156.46%199.95M821.08%184.27M727.77%215.99M727.77%215.99M270.44%66.64M159.18%77.97M690.44%20.01M163.89%26.09M163.89%26.09M
-Accounts receivable -6.84%157.78M2.20%192.5M-14.89%160.58M-21.79%189.25M-21.79%189.25M-20.08%169.36M-29.71%188.36M-27.63%188.68M-33.71%241.97M-33.71%241.97M
-Other receivables -65.58%5.39M148.61%34.14M11.42%15.82M-4.98%11.85M-4.98%11.85M-57.48%15.66M-49.91%13.73M-49.49%14.2M-59.36%12.47M-59.36%12.47M
Prepaid assets --------------0--0----------146.97M0.00%146.97M0.00%146.97M
Current deferred assets -22.53%39.81M-36.86%42.12M-34.77%43.62M-41.39%45.68M-41.39%45.68M-36.76%51.38M-17.97%66.71M-10.81%66.87M9.15%77.94M9.15%77.94M
Holding assets for sale --------------0--0--2.57M--2.45M--3.4M--7.61M--7.61M
Total current assets 90.80%1.16B90.41%1.26B52.46%936.99M9.02%756.99M9.02%756.99M-12.86%606.95M-9.75%661.34M-11.39%614.59M-36.41%694.38M-36.41%694.38M
Non current assets
-Accumulated depreciation -------------4.70%-65.79M-4.70%-65.79M-------------24.19%-62.84M-24.19%-62.84M
-Long term equity investment -99.96%211K-99.93%358K-99.82%959K-99.70%1.56M-99.70%1.56M2.96%515.23M-1.71%496.04M-29.60%519.35M114.61%528.52M114.61%528.52M
-Including:Held to maturity investments 618.48%209.77M1,095.02%461.9M291.79%215.77M-31.16%25.03M-31.16%25.03M-69.11%29.2M-51.96%38.65M-25.05%55.07M-74.84%36.35M-74.84%36.35M
Financial assets 383.10%96.96M414.58%115.61M104.19%54.99M-63.18%10.6M-63.18%10.6M-25.26%20.07M-33.84%22.47M-6.28%26.93M211.10%28.79M211.10%28.79M
Non current note receivables -80.29%673K122.52%7.6M-1.23%3.6M4.82%3.74M4.82%3.74M-0.87%3.41M-8.20%3.42M-11.79%3.64M-15.71%3.57M-15.71%3.57M
-Goodwill -35.18%227.68M-35.26%231.97M-36.09%231.59M-36.79%234.49M-36.79%234.49M-20.96%351.27M-19.69%358.3M-19.90%362.39M-21.52%370.96M-21.52%370.96M
-Other intangible assets ----------------------------0.00%13.03M0.00%13.03M0.00%13.03M
Regulatory assets 60.75%570.32M12.84%420.26M-1.04%377.64M-15.46%349.09M-15.46%349.09M-16.36%354.79M-18.91%372.45M-20.24%381.63M-43.22%412.94M-43.22%412.94M
Total assets 164.69%13.04M5.22%10.63M44.74%10.23M24.05%8.24M24.05%8.24M-62.55%4.93M-34.34%10.1M-58.45%7.07M-65.00%6.64M-65.00%6.64M
Liabilities
Current liabilities
Current debt and capital lease obligation 17,534.65%623.39M15,829.54%630.49M136.67%622.23M158.07%654.18M158.07%654.18M-98.71%3.54M-98.21%3.96M555.88%262.91M-47.09%253.49M-47.09%253.49M
-Current debt 17,534.65%623.39M15,829.54%630.49M136.67%622.23M158.07%654.18M158.07%654.18M-98.71%3.54M-98.21%3.96M555.88%262.91M-47.09%253.49M-47.09%253.49M
-accounts payable 154.75%878.83M102.81%885.49M93.28%835.37M48.99%792.72M48.99%792.72M8.21%344.98M10.09%436.61M38.87%432.2M-17.81%532.05M-17.81%532.05M
-Total tax payable -95.78%28.57M-94.37%34.55M-95.07%30.2M-86.90%84.56M-86.90%84.56M5.83%677.42M-33.20%613.28M-47.50%612.44M69.59%645.45M69.59%645.45M
-Due to related parties current 105.42%25.76M-4.79%15.93M-14.53%13.83M-36.97%11.47M-36.97%11.47M-23.78%12.54M-15.81%16.73M-21.47%16.18M-19.58%18.19M-19.58%18.19M
-Other payable 26.25%9.83M22.33%10.22M-22.87%8.01M-37.76%7.94M-37.76%7.94M-86.31%7.78M-96.34%8.36M-96.31%10.38M42.28%12.76M42.28%12.76M
Current provisions -8.25%73.46M-30.95%60M-11.43%61.82M-19.19%84.67M-19.19%84.67M10.32%80.07M44.15%86.89M49.48%69.79M-31.81%104.77M-31.81%104.77M
Current deferred liabilities -9.19%8.09M-1.82%9.37M60.22%2.88M65.26%1.41M65.26%1.41M-22.95%8.91M-20.84%9.55M-45.59%1.8M-98.03%852K-98.03%852K
Current liabilities 170.08%1.64B142.60%1.69B74.52%1.59B50.33%1.6B50.33%1.6B-33.96%607.46M-26.77%695.13M21.42%912.57M-28.52%1.07B-28.52%1.07B
Non current liabilities
Non current accrued expenses -37.13%12.98M-28.39%15.73M-32.54%16.13M-38.09%17.83M-38.09%17.83M-33.88%20.64M-38.26%21.97M-37.06%23.9M11.34%28.79M11.34%28.79M
Unpaid loss and loss reserve 8.93%129.97M6.97%116.5M3.02%126.03M-15.88%104.64M-15.88%104.64M-24.72%119.31M-30.82%108.91M-22.18%122.34M-54.48%124.39M-54.48%124.39M
Derivative product liabilities -81.91%24.66M-84.67%13.26M-83.62%9.45M-19.80%61.17M-19.80%61.17M44.53%136.33M-33.31%86.53M-46.52%57.7M19.81%76.27M19.81%76.27M
Long term provisions -99.96%211K-99.93%358K-99.82%959K-99.70%1.56M-99.70%1.56M2.96%515.23M-1.71%496.04M-29.60%519.35M114.61%528.52M114.61%528.52M
Total non current liabilities 29.91%1.67B31.53%1.72B6.41%1.62B-1.43%1.69B-1.43%1.69B-17.63%1.28B-29.93%1.31B-20.49%1.53B-8.57%1.71B-8.57%1.71B
Shareholders'equity
Share capital 0.00%1.54B0.05%1.54B23.33%1.54B23.34%1.54B23.34%1.54B23.40%1.54B23.41%1.54B0.36%1.25B0.92%1.25B0.92%1.25B
-common stock 0.00%1.54B0.05%1.54B39.80%1.54B39.82%1.54B39.82%1.54B39.90%1.54B39.92%1.54B-11.46%1.1B1.04%1.1B1.04%1.1B
Additional paid-in capital 18.29%-10.19M17.31%-10.61M62.34%-11.02M60.99%-11.63M60.99%-11.63M59.54%-12.47M59.66%-12.83M-16.15%-29.27M-16.78%-29.83M-16.78%-29.83M
Retained earnings 1,545.41%3.41M1,232.65%3.27M780.05%3.31M-73.67%1.14M-73.67%1.14M-95.11%207K-94.06%245K-92.01%376K6.87%4.33M6.87%4.33M
Gains losses not affecting retained earnings 8.02%95.48M10.29%96.03M13.01%98.38M7.58%91.07M7.58%91.07M-2.81%88.39M1.72%87.07M13.36%87.05M7.03%84.65M7.03%84.65M
Other equity interest 3.31%66.34M-24.53%48.13M-18.76%35.57M-3.55%61.47M-3.55%61.47M136.35%64.21M115.81%63.77M106.55%43.78M41.75%63.73M41.75%63.73M
Total equity 44.28%1.54B52.38%1.73B17.92%1.31B-10.20%1.09B-10.20%1.09B-17.59%1.07B-27.16%1.14B-27.64%1.11B-28.46%1.22B-28.46%1.22B

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.

Heat List
CA
Overall
Symbol
Latest Price
% Chg

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