CA Stock MarketDetailed Quotes

PDO PUDO Inc

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  • 0.140
  • +0.010+7.69%
15min DelayMarket Closed Nov 1 13:58 ET
3.82MMarket Cap-7000P/E (TTM)

PUDO Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Aug 31, 2024
(Q1)May 31, 2024
(FY)Feb 29, 2024
(Q2)Aug 31, 2023
(Q1)May 31, 2023
(FY)Feb 28, 2023
(Q4)Feb 28, 2023
(Q3)Nov 30, 2022
(Q2)Aug 31, 2022
(Q1)May 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
8.95%177.91K
37.38%196.43K
-12.48%155.73K
-25.69%163.3K
-2.86%142.98K
32.04%177.93K
32.04%177.93K
71.77%265.18K
-45.80%219.75K
-72.41%147.19K
-Cash and cash equivalents
8.95%177.91K
37.38%196.43K
-12.48%155.73K
-25.69%163.3K
-2.86%142.98K
32.04%177.93K
32.04%177.93K
71.77%265.18K
-45.80%219.75K
-72.41%147.19K
Receivables
6.16%335.09K
35.06%433.88K
33.70%371K
-5.87%315.65K
-9.58%321.26K
-14.70%277.48K
-14.70%277.48K
28.53%390.94K
51.51%335.35K
24.88%355.3K
-Accounts receivable
26.96%239.02K
70.39%321.86K
31.56%239.75K
12.41%188.26K
-37.91%188.89K
-37.54%182.24K
-37.54%182.24K
-36.24%166.04K
-12.00%167.47K
41.60%304.2K
-Other receivables
-24.59%96.07K
-15.37%112.03K
37.80%131.25K
-24.11%127.4K
159.08%132.37K
183.78%95.25K
183.78%95.25K
447.75%224.89K
482.15%167.88K
-13.43%51.09K
Prepaid assets
5.76%78.83K
-14.43%76.65K
5.39%97.12K
6.63%74.54K
29.91%89.57K
8.09%92.15K
8.09%92.15K
-2.93%66.74K
14.05%69.9K
5.24%68.95K
Restricted cash
1.75%26.3K
1.75%26.3K
0.85%25.85K
0.85%25.85K
0.85%25.85K
0.00%25.63K
0.00%25.63K
0.00%25.63K
0.00%25.63K
0.00%25.63K
Other current assets
----
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---1
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Total current assets
6.70%618.13K
26.50%733.26K
13.35%649.69K
-10.96%579.34K
-2.92%579.66K
0.39%573.19K
0.39%573.19K
35.37%748.49K
-8.84%650.63K
-34.32%597.07K
Non current assets
Net PPE
-63.96%1.25K
-61.64%1.7K
-63.04%1.53K
-60.03%3.47K
-72.37%4.44K
-82.39%4.13K
-82.39%4.13K
-85.41%4.49K
-78.07%8.67K
-66.80%16.06K
-Gross PPE
0.00%327.34K
0.00%327.34K
0.56%327.34K
1.12%327.34K
1.12%327.34K
0.56%325.52K
0.56%325.52K
0.00%323.71K
1.10%323.71K
2.16%323.71K
-Accumulated depreciation
-0.68%-326.09K
-0.85%-325.63K
-1.38%-325.81K
-2.80%-323.87K
-4.96%-322.9K
-7.04%-321.39K
-7.04%-321.39K
-8.96%-319.22K
-12.25%-315.04K
-14.59%-307.65K
Goodwill and other intangible assets
-13.87%40.44K
58.04%44.72K
28.35%45K
-6.71%46.95K
-51.89%28.3K
-47.92%35.06K
-47.92%35.06K
-43.25%41.83K
-40.32%50.32K
-38.04%58.82K
-Other intangible assets
-13.87%40.44K
58.04%44.72K
28.35%45K
-6.71%46.95K
-51.89%28.3K
-47.92%35.06K
-47.92%35.06K
-43.25%41.83K
-40.32%50.32K
-38.04%58.82K
Total non current assets
-17.31%41.68K
41.82%46.42K
18.72%46.53K
-14.54%50.41K
-56.29%32.73K
-56.82%39.19K
-56.82%39.19K
-55.65%46.32K
-52.37%58.99K
-47.75%74.88K
Total assets
4.77%659.82K
27.32%779.68K
13.69%696.22K
-11.26%629.75K
-8.86%612.4K
-7.46%612.38K
-7.46%612.38K
20.91%794.81K
-15.28%709.62K
-36.15%671.95K
Liabilities
Current liabilities
Payables
26.71%878.46K
38.45%865.63K
51.48%760.18K
24.66%693.3K
11.58%625.23K
-11.08%501.83K
-11.08%501.83K
13.74%569.47K
27.43%556.16K
55.15%560.35K
-accounts payable
33.82%762.65K
42.08%753.01K
56.67%603.6K
37.97%569.91K
33.77%529.99K
3.11%385.27K
3.11%385.27K
22.28%410.41K
55.84%413.08K
85.50%396.19K
-Total tax payable
-46.46%1.31K
202.64%3.79K
-41.54%4.1K
-15.40%2.45K
-22.20%1.25K
18.82%7.01K
18.82%7.01K
13.84%4.93K
1.69%2.89K
23.69%1.61K
-Other payable
-5.33%114.5K
15.78%108.83K
39.20%152.48K
-13.73%120.95K
-42.18%94K
-40.73%109.55K
-40.73%109.55K
-4.09%154.14K
-16.82%140.2K
11.11%162.55K
Current accrued expenses
11.96%48.7K
21.54%76.19K
-46.37%36.09K
-76.68%43.5K
-66.18%62.68K
-54.88%67.3K
-54.88%67.3K
153.46%207.85K
184.28%186.54K
168.03%185.34K
Current liabilities
25.84%927.16K
36.91%941.81K
39.91%796.27K
-0.79%736.8K
-7.75%687.92K
-20.24%569.13K
-20.24%569.13K
33.41%777.32K
47.93%742.7K
73.29%745.69K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
25.84%927.16K
36.91%941.81K
39.91%796.27K
-0.79%736.8K
-7.75%687.92K
-20.24%569.13K
-20.24%569.13K
33.41%777.32K
47.93%742.7K
73.29%745.69K
Shareholders'equity
Share capital
0.00%9.18M
0.00%9.18M
0.00%9.18M
1.47%9.18M
1.47%9.18M
1.47%9.18M
1.47%9.18M
1.36%9.09M
0.79%9.04M
0.79%9.04M
-common stock
0.00%9.18M
0.00%9.18M
0.00%9.18M
1.47%9.18M
1.47%9.18M
1.47%9.18M
1.47%9.18M
1.36%9.09M
0.79%9.04M
0.79%9.04M
Retained earnings
-4.27%-10.43M
-4.01%-10.28M
-5.15%-10.17M
12.22%-10M
13.12%-9.88M
13.72%-9.67M
13.72%-9.67M
15.27%-9.56M
-3.76%-11.4M
-6.97%-11.37M
Gains losses not affecting retained earnings
118.83%521
---3.34K
---1.79K
---2.77K
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--0
--0
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Other equity interest
36.60%985.29K
49.71%942.17K
66.12%895.35K
-68.89%721.28K
-72.11%629.33K
-74.52%538.97K
-74.52%538.97K
-79.89%478.77K
-1.14%2.32M
-1.13%2.26M
Total stockholders'equity
-149.73%-267.34K
-114.68%-162.13K
-331.33%-100.05K
-223.67%-107.05K
-2.42%-75.52K
183.48%43.25K
183.48%43.25K
-76.60%17.48K
-109.86%-33.07K
-111.85%-73.74K
Total equity
-149.73%-267.34K
-114.68%-162.13K
-331.33%-100.05K
-223.67%-107.05K
-2.42%-75.52K
183.48%43.25K
183.48%43.25K
-76.60%17.48K
-109.86%-33.07K
-111.85%-73.74K
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
--
--
Unqualified Opinion with Explanatory Notes
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--
--
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(Q2)Aug 31, 2024(Q1)May 31, 2024(FY)Feb 29, 2024(Q2)Aug 31, 2023(Q1)May 31, 2023(FY)Feb 28, 2023(Q4)Feb 28, 2023(Q3)Nov 30, 2022(Q2)Aug 31, 2022(Q1)May 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 8.95%177.91K37.38%196.43K-12.48%155.73K-25.69%163.3K-2.86%142.98K32.04%177.93K32.04%177.93K71.77%265.18K-45.80%219.75K-72.41%147.19K
-Cash and cash equivalents 8.95%177.91K37.38%196.43K-12.48%155.73K-25.69%163.3K-2.86%142.98K32.04%177.93K32.04%177.93K71.77%265.18K-45.80%219.75K-72.41%147.19K
Receivables 6.16%335.09K35.06%433.88K33.70%371K-5.87%315.65K-9.58%321.26K-14.70%277.48K-14.70%277.48K28.53%390.94K51.51%335.35K24.88%355.3K
-Accounts receivable 26.96%239.02K70.39%321.86K31.56%239.75K12.41%188.26K-37.91%188.89K-37.54%182.24K-37.54%182.24K-36.24%166.04K-12.00%167.47K41.60%304.2K
-Other receivables -24.59%96.07K-15.37%112.03K37.80%131.25K-24.11%127.4K159.08%132.37K183.78%95.25K183.78%95.25K447.75%224.89K482.15%167.88K-13.43%51.09K
Prepaid assets 5.76%78.83K-14.43%76.65K5.39%97.12K6.63%74.54K29.91%89.57K8.09%92.15K8.09%92.15K-2.93%66.74K14.05%69.9K5.24%68.95K
Restricted cash 1.75%26.3K1.75%26.3K0.85%25.85K0.85%25.85K0.85%25.85K0.00%25.63K0.00%25.63K0.00%25.63K0.00%25.63K0.00%25.63K
Other current assets -----------------------------------1----
Total current assets 6.70%618.13K26.50%733.26K13.35%649.69K-10.96%579.34K-2.92%579.66K0.39%573.19K0.39%573.19K35.37%748.49K-8.84%650.63K-34.32%597.07K
Non current assets
Net PPE -63.96%1.25K-61.64%1.7K-63.04%1.53K-60.03%3.47K-72.37%4.44K-82.39%4.13K-82.39%4.13K-85.41%4.49K-78.07%8.67K-66.80%16.06K
-Gross PPE 0.00%327.34K0.00%327.34K0.56%327.34K1.12%327.34K1.12%327.34K0.56%325.52K0.56%325.52K0.00%323.71K1.10%323.71K2.16%323.71K
-Accumulated depreciation -0.68%-326.09K-0.85%-325.63K-1.38%-325.81K-2.80%-323.87K-4.96%-322.9K-7.04%-321.39K-7.04%-321.39K-8.96%-319.22K-12.25%-315.04K-14.59%-307.65K
Goodwill and other intangible assets -13.87%40.44K58.04%44.72K28.35%45K-6.71%46.95K-51.89%28.3K-47.92%35.06K-47.92%35.06K-43.25%41.83K-40.32%50.32K-38.04%58.82K
-Other intangible assets -13.87%40.44K58.04%44.72K28.35%45K-6.71%46.95K-51.89%28.3K-47.92%35.06K-47.92%35.06K-43.25%41.83K-40.32%50.32K-38.04%58.82K
Total non current assets -17.31%41.68K41.82%46.42K18.72%46.53K-14.54%50.41K-56.29%32.73K-56.82%39.19K-56.82%39.19K-55.65%46.32K-52.37%58.99K-47.75%74.88K
Total assets 4.77%659.82K27.32%779.68K13.69%696.22K-11.26%629.75K-8.86%612.4K-7.46%612.38K-7.46%612.38K20.91%794.81K-15.28%709.62K-36.15%671.95K
Liabilities
Current liabilities
Payables 26.71%878.46K38.45%865.63K51.48%760.18K24.66%693.3K11.58%625.23K-11.08%501.83K-11.08%501.83K13.74%569.47K27.43%556.16K55.15%560.35K
-accounts payable 33.82%762.65K42.08%753.01K56.67%603.6K37.97%569.91K33.77%529.99K3.11%385.27K3.11%385.27K22.28%410.41K55.84%413.08K85.50%396.19K
-Total tax payable -46.46%1.31K202.64%3.79K-41.54%4.1K-15.40%2.45K-22.20%1.25K18.82%7.01K18.82%7.01K13.84%4.93K1.69%2.89K23.69%1.61K
-Other payable -5.33%114.5K15.78%108.83K39.20%152.48K-13.73%120.95K-42.18%94K-40.73%109.55K-40.73%109.55K-4.09%154.14K-16.82%140.2K11.11%162.55K
Current accrued expenses 11.96%48.7K21.54%76.19K-46.37%36.09K-76.68%43.5K-66.18%62.68K-54.88%67.3K-54.88%67.3K153.46%207.85K184.28%186.54K168.03%185.34K
Current liabilities 25.84%927.16K36.91%941.81K39.91%796.27K-0.79%736.8K-7.75%687.92K-20.24%569.13K-20.24%569.13K33.41%777.32K47.93%742.7K73.29%745.69K
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities 25.84%927.16K36.91%941.81K39.91%796.27K-0.79%736.8K-7.75%687.92K-20.24%569.13K-20.24%569.13K33.41%777.32K47.93%742.7K73.29%745.69K
Shareholders'equity
Share capital 0.00%9.18M0.00%9.18M0.00%9.18M1.47%9.18M1.47%9.18M1.47%9.18M1.47%9.18M1.36%9.09M0.79%9.04M0.79%9.04M
-common stock 0.00%9.18M0.00%9.18M0.00%9.18M1.47%9.18M1.47%9.18M1.47%9.18M1.47%9.18M1.36%9.09M0.79%9.04M0.79%9.04M
Retained earnings -4.27%-10.43M-4.01%-10.28M-5.15%-10.17M12.22%-10M13.12%-9.88M13.72%-9.67M13.72%-9.67M15.27%-9.56M-3.76%-11.4M-6.97%-11.37M
Gains losses not affecting retained earnings 118.83%521---3.34K---1.79K---2.77K------0--0------------
Other equity interest 36.60%985.29K49.71%942.17K66.12%895.35K-68.89%721.28K-72.11%629.33K-74.52%538.97K-74.52%538.97K-79.89%478.77K-1.14%2.32M-1.13%2.26M
Total stockholders'equity -149.73%-267.34K-114.68%-162.13K-331.33%-100.05K-223.67%-107.05K-2.42%-75.52K183.48%43.25K183.48%43.25K-76.60%17.48K-109.86%-33.07K-111.85%-73.74K
Total equity -149.73%-267.34K-114.68%-162.13K-331.33%-100.05K-223.67%-107.05K-2.42%-75.52K183.48%43.25K183.48%43.25K-76.60%17.48K-109.86%-33.07K-111.85%-73.74K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion with Explanatory Notes--------

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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