(Q3)Jun 30, 2024 | (Q2)Mar 31, 2024 | (Q1)Dec 31, 2023 | (FY)Sep 30, 2023 | (Q4)Sep 30, 2023 | (Q2)Mar 31, 2023 | (Q1)Dec 31, 2022 | (FY)Sep 30, 2022 | (Q4)Sep 30, 2022 | (Q3)Jun 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | --85.18K | -65.61%42.43K | -97.83%3.27K | -84.62%23.29K | -84.62%23.29K | -79.54%123.4K | -85.56%150.55K | -91.56%151.46K | -91.56%151.46K | -89.50%227.31K |
-Cash and cash equivalents | --85.18K | -65.61%42.43K | -97.83%3.27K | -84.62%23.29K | -84.62%23.29K | -79.54%123.4K | -85.56%150.55K | -91.56%151.46K | -91.56%151.46K | -89.50%227.31K |
Receivables | --0 | -60.22%51.93K | -108.25%-27.65K | -49.97%46.31K | -49.97%46.31K | -11.64%130.55K | 79.14%335.1K | -49.72%92.57K | -49.72%92.57K | 44.74%174.68K |
-Accounts receivable | --0 | --0 | -131.04%-78.72K | -14.34%21.06K | -14.34%21.06K | -58.10%41.04K | 126.51%253.66K | -79.04%24.58K | -79.04%24.58K | 229.38%141.67K |
-Taxes receivable | --0 | -41.99%51.93K | -37.29%51.07K | -62.86%25.25K | -62.86%25.25K | 79.76%89.51K | 8.49%81.44K | 1.72%67.99K | 1.72%67.99K | -57.50%33.01K |
Prepaid assets | --13.19K | -40.82%13.15K | -40.23%13.16K | -62.63%12.92K | -62.63%12.92K | 78.22%22.22K | 69.86%22.02K | 125.16%34.57K | 125.16%34.57K | -77.27%12.12K |
Total current assets | --98.37K | -61.07%107.51K | -102.21%-11.22K | -70.38%82.52K | -70.38%82.52K | -63.82%276.17K | -59.16%507.66K | -86.03%278.61K | -86.03%278.61K | -82.29%414.12K |
Non current assets | ||||||||||
Net PPE | --7.36K | -23.98%7.32K | -33.70%7.34K | -38.92%7.21K | -38.92%7.21K | -40.48%9.63K | 10.32%11.07K | 16.47%11.81K | 16.47%11.81K | 71.20%14.15K |
-Gross PPE | --75.68K | -0.49%75.68K | -90.19%7.34K | 6.28%73.93K | 6.28%73.93K | -2.57%76.05K | 2.92%74.87K | -5.09%69.56K | -5.09%69.56K | 7.89%75.9K |
-Accumulated depreciation | ---68.32K | -2.92%-68.36K | ---- | -15.52%-66.72K | -15.52%-66.72K | -7.35%-66.42K | -1.74%-63.79K | 8.55%-57.76K | 8.55%-57.76K | 0.54%-61.75K |
Goodwill and other intangible assets | --694.48K | -1.91%683.28K | 5.79%682.4K | 23.00%654.21K | 23.00%654.21K | 50.08%696.56K | 34.37%645.05K | 10.33%531.88K | 10.33%531.88K | -1.50%475.94K |
-Other intangible assets | --694.48K | -1.91%683.28K | 5.79%682.4K | 23.00%654.21K | 23.00%654.21K | 50.08%696.56K | 34.37%645.05K | 10.33%531.88K | 10.33%531.88K | -1.50%475.94K |
Total non current assets | --701.84K | -2.21%690.6K | 5.12%689.74K | 21.65%661.42K | 21.65%661.42K | 47.03%706.19K | 33.88%656.12K | 10.46%543.69K | 10.46%543.69K | -0.28%490.09K |
Total assets | --800.21K | -18.75%798.13K | -41.70%678.52K | -9.53%743.94K | -9.53%743.94K | -21.00%982.36K | -32.85%1.16M | -66.93%822.3K | -66.93%822.3K | -68.05%904.2K |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | --1.85M | -12.16%1.31M | 4.45%1.56M | 12.78%1.68M | 12.78%1.68M | -5.12%1.5M | 0.17%1.5M | 0.27%1.49M | 0.27%1.49M | -3.54%1.42M |
-accounts payable | --824.73K | -52.38%307.27K | 1.16%652.81K | 5.26%691.64K | 5.26%691.64K | -22.63%645.29K | 1.31%645.29K | 10.83%657.11K | 10.83%657.11K | 20.31%607.12K |
-Due to related parties current | --1.03M | 18.37%1.01M | 6.95%909.34K | 18.75%984.77K | 18.75%984.77K | 14.56%850.25K | -0.68%850.25K | -6.78%829.31K | -6.78%829.31K | -16.02%810.12K |
Current accrued expenses | --48.4K | 1,039.12%455.65K | 597.39%278.96K | -1.74%108.82K | -1.74%108.82K | 60.00%40K | -72.28%40K | -51.17%110.74K | -51.17%110.74K | -72.34%25K |
Current debt and capital lease obligation | --2.48M | 26.12%2.45M | 5.47%2.62M | -9.77%2.38M | -9.77%2.38M | -12.47%1.94M | 28.10%2.49M | 34.06%2.64M | 34.06%2.64M | 16.65%2.24M |
-Current debt | --2.48M | 26.12%2.45M | 5.47%2.62M | -9.77%2.38M | -9.77%2.38M | -12.47%1.94M | 28.10%2.49M | 34.06%2.64M | 34.06%2.64M | 16.65%2.24M |
Current deferred liabilities | --611.8K | -9.96%609.98K | -5.81%610.34K | 20.43%507.69K | 20.43%507.69K | 28.91%677.49K | 9.61%647.99K | -29.67%421.56K | -29.67%421.56K | -14.15%512.09K |
Other current liabilities | ---- | ---- | --10 | ---- | ---- | ---32K | ---- | ---- | ---- | ---- |
Current liabilities | --5M | 17.11%4.83M | 8.65%5.08M | 0.35%4.68M | 0.35%4.68M | -5.12%4.12M | 12.01%4.67M | 8.90%4.66M | 8.90%4.66M | 2.89%4.19M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | ---- | ---- | ---- | ---- | ---- | ---- | -63.48%199.5K | -56.60%298.6K | -56.60%298.6K | -41.87%489.4K |
-Long term debt | ---- | ---- | ---- | ---- | ---- | ---- | -63.48%199.5K | -56.60%298.6K | -56.60%298.6K | -41.87%489.4K |
Total non current liabilities | --0 | --0 | --0 | --0 | --0 | --0 | -63.48%199.5K | -56.60%298.6K | -56.60%298.6K | -41.87%489.4K |
Total liabilities | --5M | 17.11%4.83M | 4.20%5.08M | -5.69%4.68M | -5.69%4.68M | -14.72%4.12M | 3.26%4.87M | -0.17%4.96M | -0.17%4.96M | -4.78%4.68M |
Shareholders'equity | ||||||||||
Share capital | --20.74M | 4.19%20.74M | 5.43%20.01M | 10.11%20.01M | 10.11%20.01M | 10.60%19.9M | 5.43%18.97M | 0.95%18.17M | 0.95%18.17M | 1.37%18.17M |
-common stock | --20.74M | 4.19%20.74M | 5.43%20.01M | 10.11%20.01M | 10.11%20.01M | 10.60%19.9M | 5.43%18.97M | 0.95%18.17M | 0.95%18.17M | 1.37%18.17M |
Retained earnings | ---26.52M | -5.59%-26.29M | -6.21%-26.03M | -5.14%-25.44M | -5.14%-25.44M | -5.82%-24.9M | -7.08%-24.51M | -8.63%-24.19M | -8.63%-24.19M | -10.96%-23.86M |
Gains losses not affecting retained earnings | ---320.82K | 1,387.75%1.53M | 1,181.53%1.63M | -67.91%-122.74K | -67.91%-122.74K | -38.58%-118.57K | -25.76%-150.4K | 48.07%-73.1K | 48.07%-73.1K | 33.06%-66.24K |
Other equity interest | --1.9M | ---- | ---- | -17.38%1.62M | -17.38%1.62M | -2.63%1.98M | -2.39%1.98M | 1.52%1.96M | 1.52%1.96M | 24.40%1.98M |
Total stockholders'equity | ---4.2M | -28.33%-4.03M | -18.61%-4.4M | 4.93%-3.93M | 4.93%-3.93M | 12.55%-3.14M | -24.24%-3.71M | -66.77%-4.14M | -66.77%-4.14M | -80.97%-3.78M |
Total equity | ---4.2M | -28.33%-4.03M | -18.61%-4.4M | 4.93%-3.93M | 4.93%-3.93M | 12.55%-3.14M | -24.24%-3.71M | -66.77%-4.14M | -66.77%-4.14M | -80.97%-3.78M |
Currency Unit | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD |
Audit Opinions | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- |
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