US Stock MarketDetailed Quotes

NTRB Nutriband

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  • 4.850
  • +0.080+1.68%
Close Nov 27 16:00 ET
  • 4.630
  • -0.220-4.54%
Pre 07:00 ET
53.82MMarket Cap-5987P/E (TTM)

Nutriband Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jul 31, 2024
(Q1)Apr 30, 2024
(FY)Jan 31, 2024
(Q4)Jan 31, 2024
(Q3)Oct 31, 2023
(Q2)Jul 31, 2023
(Q1)Apr 30, 2023
(FY)Jan 31, 2023
(Q4)Jan 31, 2023
(Q3)Oct 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
189.56%6.76M
553.15%8.35M
-75.17%492.94K
-75.17%492.94K
-55.07%1.27M
-30.20%2.33M
-68.13%1.28M
-59.41%1.99M
-59.41%1.99M
-48.66%2.82M
-Cash and cash equivalents
189.56%6.76M
553.15%8.35M
-75.17%492.94K
-75.17%492.94K
-55.07%1.27M
-30.20%2.33M
-68.13%1.28M
-59.41%1.99M
-59.41%1.99M
-48.66%2.82M
Receivables
-69.56%68.01K
-48.29%85.14K
31.50%148.65K
31.50%148.65K
110.89%169.67K
52.47%223.45K
66.14%164.64K
58.37%113.05K
58.37%113.05K
-45.05%80.46K
-Accounts receivable
-69.56%68.01K
-48.29%85.14K
31.50%148.65K
31.50%148.65K
110.89%169.67K
52.47%223.45K
66.14%164.64K
58.37%113.05K
58.37%113.05K
-45.05%80.46K
Inventory
42.66%223.86K
-7.16%168.51K
-26.48%168.61K
-26.48%168.61K
-5.25%174.64K
-3.03%156.92K
42.31%181.5K
74.20%229.34K
74.20%229.34K
47.53%184.32K
Prepaid assets
-64.87%196.24K
-65.19%128.55K
-42.16%211.67K
-42.16%211.67K
-8.45%390.1K
21.18%558.65K
-8.74%369.28K
-1.23%365.93K
-1.23%365.93K
122.14%426.11K
Total current assets
121.41%7.25M
337.92%8.73M
-62.07%1.02M
-62.07%1.02M
-42.98%2M
-20.43%3.27M
-57.05%1.99M
-50.71%2.69M
-50.71%2.69M
-41.04%3.51M
Non current assets
Net PPE
-11.75%753.22K
-15.91%763.83K
-16.05%806.3K
-16.05%806.3K
-19.73%806.06K
-19.64%853.49K
-17.35%908.35K
-3.79%960.49K
-3.79%960.49K
1.44%1M
-Gross PPE
4.32%1.52M
1.64%1.49M
1.39%1.49M
1.39%1.49M
-1.28%1.45M
-1.51%1.45M
-0.35%1.46M
11.03%1.47M
11.03%1.47M
15.16%1.47M
-Accumulated depreciation
-27.14%-764.17K
-30.41%-722.51K
-34.42%-681.69K
-34.42%-681.69K
-38.91%-640.64K
-44.94%-601.06K
-50.36%-554.04K
-56.78%-507.12K
-56.78%-507.12K
-63.22%-461.19K
Goodwill and other intangible assets
-1.97%5.63M
-1.96%5.66M
-1.95%5.69M
-1.95%5.69M
-7.15%5.72M
-7.49%5.75M
-7.52%5.77M
-7.55%5.8M
-7.55%5.8M
-27.46%6.16M
-Goodwill
0.00%5.02M
0.00%5.02M
0.00%5.02M
0.00%5.02M
-6.12%5.02M
-6.12%5.02M
-6.12%5.02M
-6.12%5.02M
-6.12%5.02M
-28.96%5.35M
-Other intangible assets
-15.63%610.71K
-15.04%638.99K
-14.50%667.28K
-14.50%667.28K
-13.99%695.57K
-16.03%723.86K
-15.91%752.14K
-15.80%780.43K
-15.80%780.43K
-15.70%808.72K
Total non current assets
-3.23%6.39M
-3.86%6.42M
-3.95%6.5M
-3.95%6.5M
-8.92%6.52M
-9.27%6.6M
-8.99%6.68M
-7.03%6.76M
-7.03%6.76M
-24.45%7.16M
Total assets
38.10%13.63M
74.68%15.15M
-20.51%7.52M
-20.51%7.52M
-20.12%8.52M
-13.30%9.87M
-27.61%8.68M
-25.77%9.46M
-25.77%9.46M
-30.84%10.67M
Liabilities
Current liabilities
Current debt and capital lease obligation
-8.95%145.19K
195.34%153.41K
216.39%161.46K
216.39%161.46K
208.96%160.42K
329.24%159.46K
-9.87%51.94K
52.56%51.03K
52.56%51.03K
-56.79%51.92K
-Current debt
0.75%127.66K
539.30%127.42K
544.29%127.18K
544.29%127.18K
494.85%126.91K
619.00%126.71K
-16.07%19.93K
39.81%19.74K
39.81%19.74K
51.11%21.34K
-Current capital lease obligation
-46.48%17.53K
-18.82%25.99K
9.54%34.28K
9.54%34.28K
9.54%33.51K
67.73%32.75K
-5.53%32.01K
61.87%31.29K
61.87%31.29K
-71.15%30.59K
Current deferred liabilities
-17.58%179.58K
42.74%269.35K
-3.32%157.5K
-3.32%157.5K
-16.09%169.5K
49.33%217.89K
45.17%188.7K
53.30%162.9K
53.30%162.9K
-15.69%201.99K
Current liabilities
26.25%1.1M
80.63%1.42M
33.46%999.09K
33.46%999.09K
-9.11%717.77K
8.73%874.13K
8.48%784.39K
-3.93%748.61K
-3.93%748.61K
-21.36%789.75K
Non current liabilities
Long term debt and capital lease obligation
-96.72%69.13K
118.46%374.51K
-40.77%79.83K
-40.77%79.83K
1,315.98%2.09M
1,062.48%2.11M
-5.45%171.43K
33.28%134.77K
33.28%134.77K
41.38%147.88K
-Long term debt
-96.69%69.13K
157.52%374.51K
-20.57%79.83K
-20.57%79.83K
1,876.17%2.09M
1,705.86%2.09M
25.64%145.43K
-0.62%100.5K
-0.62%100.5K
0.87%105.51K
-Long term capital lease obligation
----
----
--0
--0
-79.08%8.86K
-73.27%17.53K
-60.35%26K
--34.28K
--34.28K
--42.37K
Total non current liabilities
-96.72%69.13K
118.46%374.51K
-40.77%79.83K
-40.77%79.83K
1,315.98%2.09M
1,062.48%2.11M
-5.45%171.43K
33.28%134.77K
33.28%134.77K
41.38%147.88K
Total liabilities
-60.67%1.17M
87.42%1.79M
22.13%1.08M
22.13%1.08M
199.88%2.81M
202.66%2.98M
5.69%955.82K
0.34%883.39K
0.34%883.39K
-15.44%937.63K
Shareholders'equity
Share capital
41.66%11.1K
39.92%10.96K
13.11%8.86K
13.11%8.86K
0.38%7.83K
0.38%7.83K
0.17%7.83K
-14.44%7.83K
-14.44%7.83K
0.76%7.8K
-common stock
41.66%11.1K
39.92%10.96K
13.11%8.86K
13.11%8.86K
0.38%7.83K
0.38%7.83K
0.17%7.83K
-14.44%7.83K
-14.44%7.83K
0.76%7.8K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-29.76%-31.58M
-27.09%-29.88M
-24.38%-27.98M
-24.38%-27.98M
-25.38%-26.1M
-23.30%-24.34M
-25.71%-23.51M
-24.89%-22.49M
-24.89%-22.49M
-46.15%-20.82M
Paid-in capital
40.99%44.07M
38.42%43.26M
10.77%34.44M
10.77%34.44M
3.80%31.84M
3.27%31.25M
4.30%31.25M
3.76%31.09M
3.76%31.09M
7.66%30.67M
Less: Treasury stock
0.00%32.64K
0.00%32.64K
0.00%32.64K
0.00%32.64K
-74.92%32.64K
-74.92%32.64K
-83.15%32.64K
-68.75%32.64K
-68.75%32.64K
--130.13K
Gains losses not affecting retained earnings
0.00%-304
0.00%-304
0.00%-304
0.00%-304
0.00%-304
0.00%-304
0.00%-304
0.00%-304
0.00%-304
0.00%-304
Total stockholders'equity
80.84%12.46M
73.10%13.36M
-24.90%6.44M
-24.90%6.44M
-41.31%5.71M
-33.75%6.89M
-30.33%7.72M
-27.71%8.57M
-27.71%8.57M
-32.04%9.73M
Total equity
80.84%12.46M
73.10%13.36M
-24.90%6.44M
-24.90%6.44M
-41.31%5.71M
-33.75%6.89M
-30.33%7.72M
-27.71%8.57M
-27.71%8.57M
-32.04%9.73M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jul 31, 2024(Q1)Apr 30, 2024(FY)Jan 31, 2024(Q4)Jan 31, 2024(Q3)Oct 31, 2023(Q2)Jul 31, 2023(Q1)Apr 30, 2023(FY)Jan 31, 2023(Q4)Jan 31, 2023(Q3)Oct 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 189.56%6.76M553.15%8.35M-75.17%492.94K-75.17%492.94K-55.07%1.27M-30.20%2.33M-68.13%1.28M-59.41%1.99M-59.41%1.99M-48.66%2.82M
-Cash and cash equivalents 189.56%6.76M553.15%8.35M-75.17%492.94K-75.17%492.94K-55.07%1.27M-30.20%2.33M-68.13%1.28M-59.41%1.99M-59.41%1.99M-48.66%2.82M
Receivables -69.56%68.01K-48.29%85.14K31.50%148.65K31.50%148.65K110.89%169.67K52.47%223.45K66.14%164.64K58.37%113.05K58.37%113.05K-45.05%80.46K
-Accounts receivable -69.56%68.01K-48.29%85.14K31.50%148.65K31.50%148.65K110.89%169.67K52.47%223.45K66.14%164.64K58.37%113.05K58.37%113.05K-45.05%80.46K
Inventory 42.66%223.86K-7.16%168.51K-26.48%168.61K-26.48%168.61K-5.25%174.64K-3.03%156.92K42.31%181.5K74.20%229.34K74.20%229.34K47.53%184.32K
Prepaid assets -64.87%196.24K-65.19%128.55K-42.16%211.67K-42.16%211.67K-8.45%390.1K21.18%558.65K-8.74%369.28K-1.23%365.93K-1.23%365.93K122.14%426.11K
Total current assets 121.41%7.25M337.92%8.73M-62.07%1.02M-62.07%1.02M-42.98%2M-20.43%3.27M-57.05%1.99M-50.71%2.69M-50.71%2.69M-41.04%3.51M
Non current assets
Net PPE -11.75%753.22K-15.91%763.83K-16.05%806.3K-16.05%806.3K-19.73%806.06K-19.64%853.49K-17.35%908.35K-3.79%960.49K-3.79%960.49K1.44%1M
-Gross PPE 4.32%1.52M1.64%1.49M1.39%1.49M1.39%1.49M-1.28%1.45M-1.51%1.45M-0.35%1.46M11.03%1.47M11.03%1.47M15.16%1.47M
-Accumulated depreciation -27.14%-764.17K-30.41%-722.51K-34.42%-681.69K-34.42%-681.69K-38.91%-640.64K-44.94%-601.06K-50.36%-554.04K-56.78%-507.12K-56.78%-507.12K-63.22%-461.19K
Goodwill and other intangible assets -1.97%5.63M-1.96%5.66M-1.95%5.69M-1.95%5.69M-7.15%5.72M-7.49%5.75M-7.52%5.77M-7.55%5.8M-7.55%5.8M-27.46%6.16M
-Goodwill 0.00%5.02M0.00%5.02M0.00%5.02M0.00%5.02M-6.12%5.02M-6.12%5.02M-6.12%5.02M-6.12%5.02M-6.12%5.02M-28.96%5.35M
-Other intangible assets -15.63%610.71K-15.04%638.99K-14.50%667.28K-14.50%667.28K-13.99%695.57K-16.03%723.86K-15.91%752.14K-15.80%780.43K-15.80%780.43K-15.70%808.72K
Total non current assets -3.23%6.39M-3.86%6.42M-3.95%6.5M-3.95%6.5M-8.92%6.52M-9.27%6.6M-8.99%6.68M-7.03%6.76M-7.03%6.76M-24.45%7.16M
Total assets 38.10%13.63M74.68%15.15M-20.51%7.52M-20.51%7.52M-20.12%8.52M-13.30%9.87M-27.61%8.68M-25.77%9.46M-25.77%9.46M-30.84%10.67M
Liabilities
Current liabilities
Current debt and capital lease obligation -8.95%145.19K195.34%153.41K216.39%161.46K216.39%161.46K208.96%160.42K329.24%159.46K-9.87%51.94K52.56%51.03K52.56%51.03K-56.79%51.92K
-Current debt 0.75%127.66K539.30%127.42K544.29%127.18K544.29%127.18K494.85%126.91K619.00%126.71K-16.07%19.93K39.81%19.74K39.81%19.74K51.11%21.34K
-Current capital lease obligation -46.48%17.53K-18.82%25.99K9.54%34.28K9.54%34.28K9.54%33.51K67.73%32.75K-5.53%32.01K61.87%31.29K61.87%31.29K-71.15%30.59K
Current deferred liabilities -17.58%179.58K42.74%269.35K-3.32%157.5K-3.32%157.5K-16.09%169.5K49.33%217.89K45.17%188.7K53.30%162.9K53.30%162.9K-15.69%201.99K
Current liabilities 26.25%1.1M80.63%1.42M33.46%999.09K33.46%999.09K-9.11%717.77K8.73%874.13K8.48%784.39K-3.93%748.61K-3.93%748.61K-21.36%789.75K
Non current liabilities
Long term debt and capital lease obligation -96.72%69.13K118.46%374.51K-40.77%79.83K-40.77%79.83K1,315.98%2.09M1,062.48%2.11M-5.45%171.43K33.28%134.77K33.28%134.77K41.38%147.88K
-Long term debt -96.69%69.13K157.52%374.51K-20.57%79.83K-20.57%79.83K1,876.17%2.09M1,705.86%2.09M25.64%145.43K-0.62%100.5K-0.62%100.5K0.87%105.51K
-Long term capital lease obligation ----------0--0-79.08%8.86K-73.27%17.53K-60.35%26K--34.28K--34.28K--42.37K
Total non current liabilities -96.72%69.13K118.46%374.51K-40.77%79.83K-40.77%79.83K1,315.98%2.09M1,062.48%2.11M-5.45%171.43K33.28%134.77K33.28%134.77K41.38%147.88K
Total liabilities -60.67%1.17M87.42%1.79M22.13%1.08M22.13%1.08M199.88%2.81M202.66%2.98M5.69%955.82K0.34%883.39K0.34%883.39K-15.44%937.63K
Shareholders'equity
Share capital 41.66%11.1K39.92%10.96K13.11%8.86K13.11%8.86K0.38%7.83K0.38%7.83K0.17%7.83K-14.44%7.83K-14.44%7.83K0.76%7.8K
-common stock 41.66%11.1K39.92%10.96K13.11%8.86K13.11%8.86K0.38%7.83K0.38%7.83K0.17%7.83K-14.44%7.83K-14.44%7.83K0.76%7.8K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -29.76%-31.58M-27.09%-29.88M-24.38%-27.98M-24.38%-27.98M-25.38%-26.1M-23.30%-24.34M-25.71%-23.51M-24.89%-22.49M-24.89%-22.49M-46.15%-20.82M
Paid-in capital 40.99%44.07M38.42%43.26M10.77%34.44M10.77%34.44M3.80%31.84M3.27%31.25M4.30%31.25M3.76%31.09M3.76%31.09M7.66%30.67M
Less: Treasury stock 0.00%32.64K0.00%32.64K0.00%32.64K0.00%32.64K-74.92%32.64K-74.92%32.64K-83.15%32.64K-68.75%32.64K-68.75%32.64K--130.13K
Gains losses not affecting retained earnings 0.00%-3040.00%-3040.00%-3040.00%-3040.00%-3040.00%-3040.00%-3040.00%-3040.00%-3040.00%-304
Total stockholders'equity 80.84%12.46M73.10%13.36M-24.90%6.44M-24.90%6.44M-41.31%5.71M-33.75%6.89M-30.33%7.72M-27.71%8.57M-27.71%8.57M-32.04%9.73M
Total equity 80.84%12.46M73.10%13.36M-24.90%6.44M-24.90%6.44M-41.31%5.71M-33.75%6.89M-30.33%7.72M-27.71%8.57M-27.71%8.57M-32.04%9.73M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

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Heat List
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Symbol
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% Chg

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