CA Stock MarketDetailed Quotes

LFST Lifeist Wellness Inc

Watchlist
  • 0.135
  • -0.025-15.63%
15min DelayMarket Closed Jul 25 16:00 ET
4.01MMarket Cap-250P/E (TTM)

Lifeist Wellness Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Feb 29, 2024
(FY)Nov 30, 2023
(Q4)Nov 30, 2023
(Q3)Aug 31, 2023
(Q1)Feb 28, 2023
(FY)Nov 30, 2022
(Q4)Nov 30, 2022
(Q3)Aug 31, 2022
(Q2)May 31, 2022
(Q1)Feb 28, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-4.91%1.65M
-61.75%1.45M
-61.75%1.45M
-61.87%1.37M
-81.11%1.73M
-70.16%3.8M
-70.16%3.8M
-79.91%3.61M
-71.37%6.58M
-68.17%9.18M
-Cash and cash equivalents
-4.91%1.65M
-61.75%1.45M
-61.75%1.45M
-61.87%1.37M
-81.11%1.73M
-70.16%3.8M
-70.16%3.8M
-79.91%3.61M
-71.37%6.58M
-68.17%9.18M
-Accounts receivable
-47.92%2.3M
-36.67%2.11M
-36.67%2.11M
-65.06%2.04M
55.86%4.42M
-1.71%3.34M
-1.71%3.34M
57.28%5.85M
110.98%5.25M
122.03%2.84M
Total current assets
-26.32%8.93M
-41.69%8.78M
-41.69%8.78M
-46.75%10.71M
-43.77%12.12M
-45.43%15.06M
-45.43%15.06M
-32.56%20.12M
-34.78%22.33M
-44.48%21.55M
Non current assets
-Accumulated depreciation
-31.85%-5.33M
-35.14%-5.05M
-35.14%-5.05M
-36.49%-4.61M
-48.26%-4.04M
-54.38%-3.74M
-54.38%-3.74M
-60.55%-3.38M
-56.03%-3.05M
-63.38%-2.73M
Investment properties
-72.78%35.63K
-53.08%35.78K
-53.08%35.78K
-84.80%42.94K
-65.24%130.89K
-78.97%76.25K
-78.97%76.25K
-68.47%282.49K
-78.37%213.95K
-66.01%376.55K
-Long term equity investment
468.03%821.1K
373.26%868.66K
373.26%868.66K
122.29%497.2K
-54.03%144.55K
-49.59%183.55K
-49.59%183.55K
-45.60%223.67K
-41.92%265.14K
-36.58%314.47K
-Including:Financial assets designated as fair value through profit or loss, Total
-70.00%2.79K
-40.00%2.79K
-40.00%2.79K
-98.42%2.79K
-94.95%9.29K
-93.94%4.64K
-93.94%4.64K
--176.51K
--61.3K
-39.90%183.9K
-Including:Available-for-sale securities
-73.00%32.84K
-53.93%32.99K
-53.93%32.99K
-62.11%40.16K
-36.87%121.61K
-74.96%71.61K
-74.96%71.61K
--105.98K
--152.65K
-75.97%192.64K
Financial assets
----
----
----
----
----
----
----
--0
--0
--0
Non current note receivables
864.43%130.84K
632.50%132.99K
632.50%132.99K
--14.43K
--13.57K
--18.16K
--18.16K
----
----
----
-Goodwill
-7.88%1.92M
-7.88%1.92M
-7.88%1.92M
-35.19%2.97M
-63.26%2.08M
-64.28%2.08M
-64.28%2.08M
-24.22%4.59M
-26.80%4.59M
-12.44%5.67M
-Other intangible assets
-90.40%2.86M
-76.53%7.1M
-76.53%7.1M
-7.86%27.76M
-13.23%29.76M
-12.09%30.23M
-12.09%30.23M
-13.24%30.12M
-13.59%30.01M
-0.36%34.3M
Regulatory assets
-38.75%3.14M
-59.84%2.33M
-59.84%2.33M
-61.64%2.8M
23.71%5.12M
-9.48%5.81M
-9.48%5.81M
47.91%7.3M
55.52%7.09M
49.22%4.14M
Non current deferred assets
----
----
----
-85.18%20.17K
-58.51%79.18K
-50.40%107.87K
-50.40%107.87K
-44.16%136.03K
--163.68K
100.55%190.82K
Total assets
-0.11%408.79K
-84.27%119.46K
-84.27%119.46K
-62.90%373.35K
-38.42%409.25K
71.40%759.51K
71.40%759.51K
124.45%1.01M
-48.98%666.6K
-28.14%664.53K
Liabilities
Current liabilities
Current debt and capital lease obligation
189.87%355.37K
174.45%397.36K
174.45%397.36K
30.70%214.45K
-34.00%122.6K
-23.98%144.78K
-23.98%144.78K
-16.38%164.08K
-10.79%180.29K
-12.37%185.75K
-Current capital lease obligation
189.87%355.37K
174.45%397.36K
174.45%397.36K
30.70%214.45K
-34.00%122.6K
-23.98%144.78K
-23.98%144.78K
-16.38%164.08K
-10.79%180.29K
-12.37%185.75K
-accounts payable
243.42%3.16M
18.50%2.63M
18.50%2.63M
-66.51%1.11M
-38.15%920.47K
16.74%2.22M
16.74%2.22M
76.46%3.33M
6.11%2.03M
83.80%1.49M
-Total tax payable
468.03%821.1K
373.26%868.66K
373.26%868.66K
97.27%497.2K
-58.81%144.55K
-72.79%183.55K
-72.79%183.55K
-73.74%252.04K
-76.61%295.9K
-78.01%350.96K
Current accrued expenses
49.21%7.71M
46.50%5.82M
46.50%5.82M
53.95%5.55M
-5.22%5.17M
-39.58%3.98M
-39.58%3.98M
-40.79%3.6M
-24.63%4.86M
-15.56%5.45M
Current provisions
----
----
----
----
----
----
----
37.96%626.59K
21.50%626.59K
-36.67%326.59K
Current deferred liabilities
-43.41%91.56K
-9.08%221.41K
-9.08%221.41K
2.00%177.67K
-51.13%161.79K
-72.15%243.51K
-72.15%243.51K
-56.58%174.18K
53.93%524.52K
-12.57%331.08K
Current liabilities
70.41%11.32M
27.39%9.07M
27.39%9.07M
-18.98%7.05M
-27.26%6.64M
-36.53%7.12M
-36.53%7.12M
-16.06%8.71M
-1.27%9.3M
9.05%9.13M
Non current liabilities
Long term debt and capital lease obligation
----
----
----
----
----
----
----
--0
--0
----
-Long term debt
468.03%821.1K
373.26%868.66K
373.26%868.66K
122.29%497.2K
-54.03%144.55K
-49.59%183.55K
-49.59%183.55K
-45.60%223.67K
-41.92%265.14K
-36.58%314.47K
Non current accrued expenses
-23.53%2.18M
-19.24%2.5M
-19.24%2.5M
-8.91%3.05M
-18.80%2.85M
-16.69%3.1M
-16.69%3.1M
-15.60%3.35M
-24.94%3.46M
-27.30%3.51M
Total non current liabilities
78.87%12.14M
36.08%9.94M
36.08%9.94M
-15.71%7.55M
-28.42%6.79M
-38.58%7.3M
-38.58%7.3M
-20.94%8.96M
-10.19%9.6M
-4.88%9.48M
Shareholders'equity
Share capital
2.14%160.08M
2.33%159.99M
2.33%159.99M
3.22%159.8M
1.60%156.73M
1.60%156.35M
1.60%156.35M
1.31%154.82M
1.30%154.54M
1.28%154.26M
-common stock
2.14%160.08M
2.33%159.99M
2.33%159.99M
3.22%159.8M
1.60%156.73M
1.60%156.35M
1.60%156.35M
1.31%154.82M
1.30%154.54M
1.28%154.26M
Additional paid-in capital
110.59%51.81M
98.75%47.56M
98.75%47.56M
13.13%26.9M
25.56%24.6M
24.23%23.93M
24.23%23.93M
23.86%23.78M
47.19%28.25M
2.35%19.59M
Gains losses not affecting retained earnings
-0.23%-5.02M
1.58%-5M
1.58%-5M
0.41%-5.04M
-2.20%-5.01M
-4.71%-5.08M
-4.71%-5.08M
-19.87%-5.06M
-18.63%-4.99M
-20.49%-4.9M
Total equity
-24.46%13.23M
-35.17%13.4M
-35.17%13.4M
-40.62%17.04M
-44.48%17.51M
-45.55%20.67M
-45.55%20.67M
-30.37%28.7M
-33.21%30.98M
-38.84%31.54M
(Q1)Feb 29, 2024(FY)Nov 30, 2023(Q4)Nov 30, 2023(Q3)Aug 31, 2023(Q1)Feb 28, 2023(FY)Nov 30, 2022(Q4)Nov 30, 2022(Q3)Aug 31, 2022(Q2)May 31, 2022(Q1)Feb 28, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -4.91%1.65M-61.75%1.45M-61.75%1.45M-61.87%1.37M-81.11%1.73M-70.16%3.8M-70.16%3.8M-79.91%3.61M-71.37%6.58M-68.17%9.18M
-Cash and cash equivalents -4.91%1.65M-61.75%1.45M-61.75%1.45M-61.87%1.37M-81.11%1.73M-70.16%3.8M-70.16%3.8M-79.91%3.61M-71.37%6.58M-68.17%9.18M
-Accounts receivable -47.92%2.3M-36.67%2.11M-36.67%2.11M-65.06%2.04M55.86%4.42M-1.71%3.34M-1.71%3.34M57.28%5.85M110.98%5.25M122.03%2.84M
Total current assets -26.32%8.93M-41.69%8.78M-41.69%8.78M-46.75%10.71M-43.77%12.12M-45.43%15.06M-45.43%15.06M-32.56%20.12M-34.78%22.33M-44.48%21.55M
Non current assets
-Accumulated depreciation -31.85%-5.33M-35.14%-5.05M-35.14%-5.05M-36.49%-4.61M-48.26%-4.04M-54.38%-3.74M-54.38%-3.74M-60.55%-3.38M-56.03%-3.05M-63.38%-2.73M
Investment properties -72.78%35.63K-53.08%35.78K-53.08%35.78K-84.80%42.94K-65.24%130.89K-78.97%76.25K-78.97%76.25K-68.47%282.49K-78.37%213.95K-66.01%376.55K
-Long term equity investment 468.03%821.1K373.26%868.66K373.26%868.66K122.29%497.2K-54.03%144.55K-49.59%183.55K-49.59%183.55K-45.60%223.67K-41.92%265.14K-36.58%314.47K
-Including:Financial assets designated as fair value through profit or loss, Total -70.00%2.79K-40.00%2.79K-40.00%2.79K-98.42%2.79K-94.95%9.29K-93.94%4.64K-93.94%4.64K--176.51K--61.3K-39.90%183.9K
-Including:Available-for-sale securities -73.00%32.84K-53.93%32.99K-53.93%32.99K-62.11%40.16K-36.87%121.61K-74.96%71.61K-74.96%71.61K--105.98K--152.65K-75.97%192.64K
Financial assets ------------------------------0--0--0
Non current note receivables 864.43%130.84K632.50%132.99K632.50%132.99K--14.43K--13.57K--18.16K--18.16K------------
-Goodwill -7.88%1.92M-7.88%1.92M-7.88%1.92M-35.19%2.97M-63.26%2.08M-64.28%2.08M-64.28%2.08M-24.22%4.59M-26.80%4.59M-12.44%5.67M
-Other intangible assets -90.40%2.86M-76.53%7.1M-76.53%7.1M-7.86%27.76M-13.23%29.76M-12.09%30.23M-12.09%30.23M-13.24%30.12M-13.59%30.01M-0.36%34.3M
Regulatory assets -38.75%3.14M-59.84%2.33M-59.84%2.33M-61.64%2.8M23.71%5.12M-9.48%5.81M-9.48%5.81M47.91%7.3M55.52%7.09M49.22%4.14M
Non current deferred assets -------------85.18%20.17K-58.51%79.18K-50.40%107.87K-50.40%107.87K-44.16%136.03K--163.68K100.55%190.82K
Total assets -0.11%408.79K-84.27%119.46K-84.27%119.46K-62.90%373.35K-38.42%409.25K71.40%759.51K71.40%759.51K124.45%1.01M-48.98%666.6K-28.14%664.53K
Liabilities
Current liabilities
Current debt and capital lease obligation 189.87%355.37K174.45%397.36K174.45%397.36K30.70%214.45K-34.00%122.6K-23.98%144.78K-23.98%144.78K-16.38%164.08K-10.79%180.29K-12.37%185.75K
-Current capital lease obligation 189.87%355.37K174.45%397.36K174.45%397.36K30.70%214.45K-34.00%122.6K-23.98%144.78K-23.98%144.78K-16.38%164.08K-10.79%180.29K-12.37%185.75K
-accounts payable 243.42%3.16M18.50%2.63M18.50%2.63M-66.51%1.11M-38.15%920.47K16.74%2.22M16.74%2.22M76.46%3.33M6.11%2.03M83.80%1.49M
-Total tax payable 468.03%821.1K373.26%868.66K373.26%868.66K97.27%497.2K-58.81%144.55K-72.79%183.55K-72.79%183.55K-73.74%252.04K-76.61%295.9K-78.01%350.96K
Current accrued expenses 49.21%7.71M46.50%5.82M46.50%5.82M53.95%5.55M-5.22%5.17M-39.58%3.98M-39.58%3.98M-40.79%3.6M-24.63%4.86M-15.56%5.45M
Current provisions ----------------------------37.96%626.59K21.50%626.59K-36.67%326.59K
Current deferred liabilities -43.41%91.56K-9.08%221.41K-9.08%221.41K2.00%177.67K-51.13%161.79K-72.15%243.51K-72.15%243.51K-56.58%174.18K53.93%524.52K-12.57%331.08K
Current liabilities 70.41%11.32M27.39%9.07M27.39%9.07M-18.98%7.05M-27.26%6.64M-36.53%7.12M-36.53%7.12M-16.06%8.71M-1.27%9.3M9.05%9.13M
Non current liabilities
Long term debt and capital lease obligation ------------------------------0--0----
-Long term debt 468.03%821.1K373.26%868.66K373.26%868.66K122.29%497.2K-54.03%144.55K-49.59%183.55K-49.59%183.55K-45.60%223.67K-41.92%265.14K-36.58%314.47K
Non current accrued expenses -23.53%2.18M-19.24%2.5M-19.24%2.5M-8.91%3.05M-18.80%2.85M-16.69%3.1M-16.69%3.1M-15.60%3.35M-24.94%3.46M-27.30%3.51M
Total non current liabilities 78.87%12.14M36.08%9.94M36.08%9.94M-15.71%7.55M-28.42%6.79M-38.58%7.3M-38.58%7.3M-20.94%8.96M-10.19%9.6M-4.88%9.48M
Shareholders'equity
Share capital 2.14%160.08M2.33%159.99M2.33%159.99M3.22%159.8M1.60%156.73M1.60%156.35M1.60%156.35M1.31%154.82M1.30%154.54M1.28%154.26M
-common stock 2.14%160.08M2.33%159.99M2.33%159.99M3.22%159.8M1.60%156.73M1.60%156.35M1.60%156.35M1.31%154.82M1.30%154.54M1.28%154.26M
Additional paid-in capital 110.59%51.81M98.75%47.56M98.75%47.56M13.13%26.9M25.56%24.6M24.23%23.93M24.23%23.93M23.86%23.78M47.19%28.25M2.35%19.59M
Gains losses not affecting retained earnings -0.23%-5.02M1.58%-5M1.58%-5M0.41%-5.04M-2.20%-5.01M-4.71%-5.08M-4.71%-5.08M-19.87%-5.06M-18.63%-4.99M-20.49%-4.9M
Total equity -24.46%13.23M-35.17%13.4M-35.17%13.4M-40.62%17.04M-44.48%17.51M-45.55%20.67M-45.55%20.67M-30.37%28.7M-33.21%30.98M-38.84%31.54M

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