US Stock MarketDetailed Quotes

PMEDF PREDICTMEDIX AI INC

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  • 0.014600
  • +0.000050+0.34%
15min DelayTrading Oct 18 09:35 ET
2.19MMarket Cap-1042P/E (TTM)

PREDICTMEDIX AI INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jul 31, 2024
(Q3)Oct 31, 2023
(FY)Jan 31, 2023
(Q4)Jan 31, 2023
(Q3)Oct 31, 2022
(Q2)Jul 31, 2022
(Q1)Apr 30, 2022
(FY)Jan 31, 2022
(Q4)Jan 31, 2022
(Q3)Oct 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
--6.77K
-58.55%44.43K
-62.49%79.25K
-62.49%79.25K
-81.34%107.19K
-75.97%283.44K
-98.15%31.42K
-55.98%211.3K
-55.98%211.3K
-18.58%574.45K
-Cash and cash equivalents
--6.77K
-58.55%44.43K
-62.49%79.25K
-62.49%79.25K
-81.34%107.19K
-75.97%283.44K
-98.15%31.42K
-55.98%211.3K
-55.98%211.3K
-18.58%574.45K
Receivables
--25.79K
-78.69%53.75K
-89.90%38.49K
-89.90%38.49K
-24.35%252.2K
-11.40%226.72K
203.01%420.67K
240.35%381.03K
240.35%381.03K
320.46%333.4K
-Accounts receivable
----
-99.06%1.8K
-92.62%12.51K
-92.62%12.51K
43.94%191.69K
162.58%191.69K
--189.89K
--169.55K
--169.55K
--133.17K
-Taxes receivable
--25.79K
-24.01%45.99K
-87.71%25.98K
-87.71%25.98K
-69.78%60.52K
-80.84%35.04K
66.23%230.78K
88.90%211.48K
88.90%211.48K
152.52%200.23K
-Related party accounts receivable
----
--5.96K
----
----
----
----
----
----
----
----
Prepaid assets
--19.02K
-13.96%24.72K
-59.95%19.74K
-59.95%19.74K
-84.09%28.73K
-68.00%42.71K
-63.78%54.93K
-68.29%49.3K
-68.29%49.3K
5.24%180.6K
Total current assets
--51.57K
-68.34%122.9K
-78.57%137.48K
-78.57%137.48K
-64.34%388.12K
-64.76%552.87K
-74.55%507.01K
-14.16%641.62K
-14.16%641.62K
13.80%1.09M
Non current assets
Net PPE
--80.06K
5.53%104.27K
76.44%134.55K
76.44%134.55K
1,457.08%98.81K
1,455.40%108.26K
1,454.00%117.7K
831.30%76.26K
831.30%76.26K
-30.00%6.35K
-Gross PPE
--192.95K
30.57%192.95K
96.64%192.95K
96.64%192.95K
1,005.41%147.77K
1,005.41%147.77K
1,005.41%147.77K
634.01%98.12K
634.01%98.12K
0.00%13.37K
-Accumulated depreciation
---112.89K
-81.12%-88.68K
-167.07%-58.4K
-167.07%-58.4K
-597.22%-48.96K
-516.65%-39.52K
-419.00%-30.07K
-322.16%-21.87K
-322.16%-21.87K
-63.23%-7.02K
Goodwill and other intangible assets
--254.81K
-24.32%350.26K
-14.09%445.71K
-14.09%445.71K
3.26%462.82K
13.50%494.2K
76.18%510.18K
109.18%518.78K
109.18%518.78K
228.31%448.22K
-Other intangible assets
--254.81K
-24.32%350.26K
-14.09%445.71K
-14.09%445.71K
3.26%462.82K
13.50%494.2K
76.18%510.18K
--518.78K
--518.78K
228.31%448.22K
Related parties assets
----
--5.96K
----
----
----
----
----
----
----
----
Total non current assets
--334.87K
-19.07%454.53K
-2.48%580.26K
-2.48%580.26K
23.55%561.64K
36.18%602.45K
111.30%627.88K
132.26%595.03K
132.26%595.03K
212.22%454.57K
Total assets
--386.44K
-39.20%577.43K
-41.96%717.74K
-41.96%717.74K
-38.45%949.76K
-42.56%1.16M
-50.42%1.13M
23.22%1.24M
23.22%1.24M
40.01%1.54M
Liabilities
Current liabilities
Payables
--1.06M
----
----
----
----
----
----
----
----
----
-accounts payable
--931.82K
----
----
----
----
----
----
----
----
----
-Due to related parties current
--130.54K
----
----
----
----
----
----
----
----
----
Current debt and capital lease obligation
----
----
--37.87K
--37.87K
----
----
----
----
----
----
-Current debt
----
----
--37.87K
--37.87K
----
----
----
----
----
----
-Current capital lease obligation
----
----
----
----
----
----
--0
----
----
----
Current deferred liabilities
----
----
--0
--0
-74.79%4.72K
-64.81%8.22K
--11.72K
--15.22K
--15.22K
--18.72K
Current liabilities
--1.06M
-23.84%472.22K
149.13%871.12K
149.13%871.12K
500.96%620.04K
388.28%666.17K
684.19%546.65K
158.34%349.67K
158.34%349.67K
13.09%103.18K
Non current liabilities
Long term debt and capital lease obligation
----
----
----
----
----
----
--0
----
----
----
-Long term capital lease obligation
----
----
----
----
----
----
--0
----
----
----
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
--1.06M
-23.84%472.22K
149.13%871.12K
149.13%871.12K
500.96%620.04K
388.28%666.17K
684.19%546.65K
158.34%349.67K
158.34%349.67K
13.09%103.18K
Shareholders'equity
Share capital
--7.48M
24.52%7.61M
9.45%6.26M
9.45%6.26M
9.93%6.11M
2.87%5.72M
2.87%5.72M
41.78%5.72M
41.78%5.72M
45.72%5.56M
-common stock
--7.48M
24.52%7.61M
9.45%6.26M
9.45%6.26M
9.93%6.11M
2.87%5.72M
2.87%5.72M
41.78%5.72M
41.78%5.72M
45.72%5.56M
Retained earnings
---10.61M
-35.55%-9.7M
-34.38%-8.08M
-34.38%-8.08M
-32.74%-7.16M
-35.90%-6.7M
-39.13%-6.33M
-45.54%-6.02M
-45.54%-6.02M
-54.06%-5.39M
Other equity interest
--2.45M
59.61%2.2M
41.06%1.67M
41.06%1.67M
8.14%1.38M
17.99%1.47M
-0.94%1.2M
22.32%1.19M
22.32%1.19M
82.80%1.28M
Total stockholders'equity
---675.92K
-68.09%105.22K
-117.29%-153.39K
-117.29%-153.39K
-77.10%329.72K
-73.91%489.15K
-73.49%588.24K
2.15%886.99K
2.15%886.99K
42.44%1.44M
Noncontrolling interests
----
----
----
----
----
----
----
----
----
--0
Total equity
---675.92K
-68.09%105.22K
-117.29%-153.39K
-117.29%-153.39K
-77.10%329.72K
-73.91%489.15K
-73.49%588.24K
2.15%886.99K
2.15%886.99K
42.44%1.44M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(Q2)Jul 31, 2024(Q3)Oct 31, 2023(FY)Jan 31, 2023(Q4)Jan 31, 2023(Q3)Oct 31, 2022(Q2)Jul 31, 2022(Q1)Apr 30, 2022(FY)Jan 31, 2022(Q4)Jan 31, 2022(Q3)Oct 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments --6.77K-58.55%44.43K-62.49%79.25K-62.49%79.25K-81.34%107.19K-75.97%283.44K-98.15%31.42K-55.98%211.3K-55.98%211.3K-18.58%574.45K
-Cash and cash equivalents --6.77K-58.55%44.43K-62.49%79.25K-62.49%79.25K-81.34%107.19K-75.97%283.44K-98.15%31.42K-55.98%211.3K-55.98%211.3K-18.58%574.45K
Receivables --25.79K-78.69%53.75K-89.90%38.49K-89.90%38.49K-24.35%252.2K-11.40%226.72K203.01%420.67K240.35%381.03K240.35%381.03K320.46%333.4K
-Accounts receivable -----99.06%1.8K-92.62%12.51K-92.62%12.51K43.94%191.69K162.58%191.69K--189.89K--169.55K--169.55K--133.17K
-Taxes receivable --25.79K-24.01%45.99K-87.71%25.98K-87.71%25.98K-69.78%60.52K-80.84%35.04K66.23%230.78K88.90%211.48K88.90%211.48K152.52%200.23K
-Related party accounts receivable ------5.96K--------------------------------
Prepaid assets --19.02K-13.96%24.72K-59.95%19.74K-59.95%19.74K-84.09%28.73K-68.00%42.71K-63.78%54.93K-68.29%49.3K-68.29%49.3K5.24%180.6K
Total current assets --51.57K-68.34%122.9K-78.57%137.48K-78.57%137.48K-64.34%388.12K-64.76%552.87K-74.55%507.01K-14.16%641.62K-14.16%641.62K13.80%1.09M
Non current assets
Net PPE --80.06K5.53%104.27K76.44%134.55K76.44%134.55K1,457.08%98.81K1,455.40%108.26K1,454.00%117.7K831.30%76.26K831.30%76.26K-30.00%6.35K
-Gross PPE --192.95K30.57%192.95K96.64%192.95K96.64%192.95K1,005.41%147.77K1,005.41%147.77K1,005.41%147.77K634.01%98.12K634.01%98.12K0.00%13.37K
-Accumulated depreciation ---112.89K-81.12%-88.68K-167.07%-58.4K-167.07%-58.4K-597.22%-48.96K-516.65%-39.52K-419.00%-30.07K-322.16%-21.87K-322.16%-21.87K-63.23%-7.02K
Goodwill and other intangible assets --254.81K-24.32%350.26K-14.09%445.71K-14.09%445.71K3.26%462.82K13.50%494.2K76.18%510.18K109.18%518.78K109.18%518.78K228.31%448.22K
-Other intangible assets --254.81K-24.32%350.26K-14.09%445.71K-14.09%445.71K3.26%462.82K13.50%494.2K76.18%510.18K--518.78K--518.78K228.31%448.22K
Related parties assets ------5.96K--------------------------------
Total non current assets --334.87K-19.07%454.53K-2.48%580.26K-2.48%580.26K23.55%561.64K36.18%602.45K111.30%627.88K132.26%595.03K132.26%595.03K212.22%454.57K
Total assets --386.44K-39.20%577.43K-41.96%717.74K-41.96%717.74K-38.45%949.76K-42.56%1.16M-50.42%1.13M23.22%1.24M23.22%1.24M40.01%1.54M
Liabilities
Current liabilities
Payables --1.06M------------------------------------
-accounts payable --931.82K------------------------------------
-Due to related parties current --130.54K------------------------------------
Current debt and capital lease obligation ----------37.87K--37.87K------------------------
-Current debt ----------37.87K--37.87K------------------------
-Current capital lease obligation --------------------------0------------
Current deferred liabilities ----------0--0-74.79%4.72K-64.81%8.22K--11.72K--15.22K--15.22K--18.72K
Current liabilities --1.06M-23.84%472.22K149.13%871.12K149.13%871.12K500.96%620.04K388.28%666.17K684.19%546.65K158.34%349.67K158.34%349.67K13.09%103.18K
Non current liabilities
Long term debt and capital lease obligation --------------------------0------------
-Long term capital lease obligation --------------------------0------------
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities --1.06M-23.84%472.22K149.13%871.12K149.13%871.12K500.96%620.04K388.28%666.17K684.19%546.65K158.34%349.67K158.34%349.67K13.09%103.18K
Shareholders'equity
Share capital --7.48M24.52%7.61M9.45%6.26M9.45%6.26M9.93%6.11M2.87%5.72M2.87%5.72M41.78%5.72M41.78%5.72M45.72%5.56M
-common stock --7.48M24.52%7.61M9.45%6.26M9.45%6.26M9.93%6.11M2.87%5.72M2.87%5.72M41.78%5.72M41.78%5.72M45.72%5.56M
Retained earnings ---10.61M-35.55%-9.7M-34.38%-8.08M-34.38%-8.08M-32.74%-7.16M-35.90%-6.7M-39.13%-6.33M-45.54%-6.02M-45.54%-6.02M-54.06%-5.39M
Other equity interest --2.45M59.61%2.2M41.06%1.67M41.06%1.67M8.14%1.38M17.99%1.47M-0.94%1.2M22.32%1.19M22.32%1.19M82.80%1.28M
Total stockholders'equity ---675.92K-68.09%105.22K-117.29%-153.39K-117.29%-153.39K-77.10%329.72K-73.91%489.15K-73.49%588.24K2.15%886.99K2.15%886.99K42.44%1.44M
Noncontrolling interests --------------------------------------0
Total equity ---675.92K-68.09%105.22K-117.29%-153.39K-117.29%-153.39K-77.10%329.72K-73.91%489.15K-73.49%588.24K2.15%886.99K2.15%886.99K42.44%1.44M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

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Price Target

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