CA Stock MarketDetailed Quotes

MCUR Mind Cure Health Inc

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  • 0.450
  • 0.0000.00%
15min DelayTrading Sep 11 16:00 ET
42.26MMarket Cap-7500P/E (TTM)

Mind Cure Health Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2023
(Q3)Feb 28, 2023
(Q1)Aug 31, 2022
(FY)May 31, 2022
(Q4)May 31, 2022
(Q3)Feb 28, 2022
(Q2)Nov 30, 2021
(Q1)Aug 31, 2021
(FY)May 31, 2021
(Q4)May 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
--1.6M
-42.99%6.19M
-54.87%7.03M
-52.35%8.71M
-52.35%8.71M
-48.85%10.86M
149.87%13.4M
3,239.85%15.58M
2,898.74%18.28M
--18.28M
-Cash and cash equivalents
--1.6M
-42.99%6.19M
-54.87%7.03M
-52.35%8.71M
-52.35%8.71M
-48.85%10.86M
149.87%13.4M
3,239.85%15.58M
2,898.74%18.28M
--18.28M
-Accounts receivable
----
-66.72%10.93K
-78.43%16.42K
11.38%95.5K
11.38%95.5K
--32.83K
--33.92K
--76.1K
4,955.31%85.74K
--85.74K
Total current assets
--15.17M
-43.50%6.28M
-56.34%7.15M
-52.72%8.99M
-52.72%8.99M
-53.82%11.11M
145.19%13.94M
2,513.87%16.37M
2,718.12%19.01M
--19.01M
Non current assets
-Accumulated depreciation
----
82.14%-1.65K
36.31%-1.1K
---825
---825
---9.24K
---5.18K
---1.73K
----
----
-Goodwill
----
----
----
--0
--0
1,444.87%2.48M
1,517.92%1.96M
1,142.60%1.39M
390.69%548.74K
--548.74K
-Other intangible assets
--19.24M
--3.8M
----
----
----
----
----
----
----
----
Regulatory assets
--633.57K
-66.72%10.93K
-78.43%16.42K
11.38%95.5K
11.38%95.5K
-81.78%32.83K
-44.16%33.92K
709.21%76.1K
4,955.31%85.74K
--85.74K
Liabilities
Current liabilities
Current debt and capital lease obligation
--213.97K
----
----
----
----
----
----
----
----
----
-Current debt
--213.97K
----
----
----
----
----
----
----
----
----
-accounts payable
----
-86.43%93.85K
-67.31%371.76K
173.40%1.84M
173.40%1.84M
25.47%691.81K
340.60%2.27M
652.58%1.14M
1,939.96%674.49K
--674.49K
-Total tax payable
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-Due to related parties current
----
-99.68%5.18K
--0
95.93%44.85K
95.93%44.85K
1,589.40%1.63M
--76.89K
--173.09K
553.97%22.89K
--22.89K
Current liabilities
--2.89M
-95.73%99.02K
-71.63%371.76K
170.86%1.89M
170.86%1.89M
258.25%2.32M
344.64%2.35M
725.24%1.31M
1,807.29%697.38K
--697.38K
Non current liabilities
Non current accrued expenses
----
-98.66%350
-94.48%900
-42.77%1.18K
-42.77%1.18K
--26.03K
--20.8K
--16.31K
--2.05K
--2.05K
Total non current liabilities
--2.89M
-95.73%99.02K
-71.63%371.76K
170.86%1.89M
170.86%1.89M
258.25%2.32M
344.64%2.35M
725.24%1.31M
1,807.29%697.38K
--697.38K
Shareholders'equity
Share capital
--0
0.00%27.47M
0.19%27.47M
0.32%27.47M
0.32%27.47M
1.94%27.47M
303.23%27.47M
3,579.49%27.42M
3,210.71%27.38M
--27.38M
-common stock
--0
0.00%27.47M
0.19%27.47M
0.32%27.47M
0.32%27.47M
1.94%27.47M
303.23%27.47M
3,579.49%27.42M
3,210.71%27.38M
--27.38M
Retained earnings
--12.94M
----
----
----
----
----
----
----
----
----
Gains losses not affecting retained earnings
----
-91.86%337.5K
9.19%4.11M
15.85%4.02M
15.85%4.02M
35.40%4.15M
240.61%3.97M
--3.76M
--3.47M
--3.47M
Total equity
--18.45M
-57.46%6.28M
-63.14%7.15M
-57.79%8.99M
-57.79%8.99M
-40.30%14.76M
205.53%17.74M
2,527.46%19.4M
2,608.37%21.3M
--21.3M
(Q2)Jun 30, 2023(Q3)Feb 28, 2023(Q1)Aug 31, 2022(FY)May 31, 2022(Q4)May 31, 2022(Q3)Feb 28, 2022(Q2)Nov 30, 2021(Q1)Aug 31, 2021(FY)May 31, 2021(Q4)May 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments --1.6M-42.99%6.19M-54.87%7.03M-52.35%8.71M-52.35%8.71M-48.85%10.86M149.87%13.4M3,239.85%15.58M2,898.74%18.28M--18.28M
-Cash and cash equivalents --1.6M-42.99%6.19M-54.87%7.03M-52.35%8.71M-52.35%8.71M-48.85%10.86M149.87%13.4M3,239.85%15.58M2,898.74%18.28M--18.28M
-Accounts receivable -----66.72%10.93K-78.43%16.42K11.38%95.5K11.38%95.5K--32.83K--33.92K--76.1K4,955.31%85.74K--85.74K
Total current assets --15.17M-43.50%6.28M-56.34%7.15M-52.72%8.99M-52.72%8.99M-53.82%11.11M145.19%13.94M2,513.87%16.37M2,718.12%19.01M--19.01M
Non current assets
-Accumulated depreciation ----82.14%-1.65K36.31%-1.1K---825---825---9.24K---5.18K---1.73K--------
-Goodwill --------------0--01,444.87%2.48M1,517.92%1.96M1,142.60%1.39M390.69%548.74K--548.74K
-Other intangible assets --19.24M--3.8M--------------------------------
Regulatory assets --633.57K-66.72%10.93K-78.43%16.42K11.38%95.5K11.38%95.5K-81.78%32.83K-44.16%33.92K709.21%76.1K4,955.31%85.74K--85.74K
Liabilities
Current liabilities
Current debt and capital lease obligation --213.97K------------------------------------
-Current debt --213.97K------------------------------------
-accounts payable -----86.43%93.85K-67.31%371.76K173.40%1.84M173.40%1.84M25.47%691.81K340.60%2.27M652.58%1.14M1,939.96%674.49K--674.49K
-Total tax payable --0--0--0--0--0--0--0--0--0--0
-Due to related parties current -----99.68%5.18K--095.93%44.85K95.93%44.85K1,589.40%1.63M--76.89K--173.09K553.97%22.89K--22.89K
Current liabilities --2.89M-95.73%99.02K-71.63%371.76K170.86%1.89M170.86%1.89M258.25%2.32M344.64%2.35M725.24%1.31M1,807.29%697.38K--697.38K
Non current liabilities
Non current accrued expenses -----98.66%350-94.48%900-42.77%1.18K-42.77%1.18K--26.03K--20.8K--16.31K--2.05K--2.05K
Total non current liabilities --2.89M-95.73%99.02K-71.63%371.76K170.86%1.89M170.86%1.89M258.25%2.32M344.64%2.35M725.24%1.31M1,807.29%697.38K--697.38K
Shareholders'equity
Share capital --00.00%27.47M0.19%27.47M0.32%27.47M0.32%27.47M1.94%27.47M303.23%27.47M3,579.49%27.42M3,210.71%27.38M--27.38M
-common stock --00.00%27.47M0.19%27.47M0.32%27.47M0.32%27.47M1.94%27.47M303.23%27.47M3,579.49%27.42M3,210.71%27.38M--27.38M
Retained earnings --12.94M------------------------------------
Gains losses not affecting retained earnings -----91.86%337.5K9.19%4.11M15.85%4.02M15.85%4.02M35.40%4.15M240.61%3.97M--3.76M--3.47M--3.47M
Total equity --18.45M-57.46%6.28M-63.14%7.15M-57.79%8.99M-57.79%8.99M-40.30%14.76M205.53%17.74M2,527.46%19.4M2,608.37%21.3M--21.3M

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.

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