US Stock MarketDetailed Quotes

RCAT Red Cat Holdings

Watchlist
  • 2.4800
  • +0.4600+22.77%
Close Aug 9 16:00 ET
  • 2.4600
  • -0.0200-0.81%
Post 20:01 ET
185.01MMarket Cap-6200P/E (TTM)

Red Cat Holdings Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Apr 30, 2024
(Q4)Apr 30, 2024
(Q3)Jan 31, 2024
(Q2)Oct 31, 2023
(Q1)Jul 31, 2023
(FY)Apr 30, 2023
(Q4)Apr 30, 2023
(Q3)Jan 31, 2023
(Q2)Oct 31, 2022
(Q1)Jul 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-62.05%6.07M
-62.05%6.07M
-68.74%7.7M
-87.76%4.02M
-79.37%8.86M
-67.29%15.99M
-67.29%15.99M
-55.68%24.62M
-44.90%32.89M
-35.03%42.95M
-Cash and cash equivalents
91.17%6.07M
91.17%6.07M
97.71%7.7M
-10.98%1.41M
-84.98%937.76K
-22.31%3.17M
-22.31%3.17M
-45.26%3.89M
-86.31%1.58M
-90.55%6.25M
-Short-term investments
--0
--0
--0
-91.65%2.62M
-78.42%7.92M
-71.39%12.81M
-71.39%12.81M
-57.21%20.73M
-34.95%31.3M
--36.71M
Receivables
647.41%6.51M
647.41%6.51M
151.02%5.77M
144.54%3.01M
-37.17%802.96K
-4.55%871.53K
-4.55%871.53K
52.08%2.3M
60.92%1.23M
377.17%1.28M
-Accounts receivable
505.82%4.36M
505.82%4.36M
146.71%5.09M
225.68%2.99M
-22.50%720.64K
45.28%719.86K
45.28%719.86K
131.50%2.06M
133.10%917.8K
247.21%929.87K
-Accrued interest receivable
--0
--0
--0
-93.43%20.57K
-75.40%82.32K
-60.68%151.67K
-60.68%151.67K
-40.68%233.47K
-15.67%312.93K
--334.65K
-Related party accounts receivable
----
----
----
----
----
----
----
--0
--0
--13.4K
-Other receivables
--2.15M
--2.15M
--675K
----
----
----
----
----
----
----
Inventory
-10.24%8.01M
-10.24%8.01M
-2.16%9.09M
41.09%9.26M
104.51%9.38M
128.98%8.92M
128.98%8.92M
297.24%9.29M
230.40%6.56M
418.10%4.58M
Prepaid assets
62.69%1.81M
62.69%1.81M
-50.77%2.12M
-31.91%2.82M
24.53%2.94M
-43.53%1.11M
-43.53%1.11M
134.27%4.31M
88.51%4.14M
-3.95%2.36M
Total current assets
-30.39%22.4M
-30.39%22.4M
-31.06%27.94M
-48.09%23.26M
-48.17%26.52M
-42.19%32.18M
-42.19%32.18M
-33.83%40.53M
-30.66%44.82M
-26.61%51.18M
Non current assets
Net PPE
-10.10%3.82M
-10.10%3.82M
2.57%2.93M
19.61%3.05M
59.01%3.11M
177.65%4.25M
177.65%4.25M
162.96%2.86M
269.57%2.55M
--1.95M
-Gross PPE
3.04%4.73M
3.04%4.73M
12.17%3.63M
27.38%3.62M
62.68%3.54M
166.94%4.59M
166.94%4.59M
159.50%3.24M
238.99%2.84M
--2.18M
-Accumulated depreciation
-166.00%-911.47K
-166.00%-911.47K
-84.46%-699.95K
-96.27%-565.09K
-94.76%-435.78K
-80.57%-342.66K
-80.57%-342.66K
-136.09%-379.46K
-95.53%-287.91K
---223.75K
Goodwill and other intangible assets
-46.11%12.88M
-46.11%12.88M
-13.56%23.69M
-13.46%23.9M
-13.18%24.12M
-14.12%23.91M
-14.12%23.91M
-2.19%27.4M
-1.47%27.62M
103.28%27.78M
-Goodwill
-46.58%9.09M
-46.58%9.09M
-14.25%17.01M
-14.25%17.01M
-32.32%17.01M
-32.32%17.01M
-32.32%17.01M
-23.78%19.84M
-23.78%19.84M
115.77%25.14M
-Other intangible assets
-44.95%3.79M
-44.95%3.79M
-11.75%6.67M
-11.44%6.89M
168.91%7.11M
155.44%6.89M
155.44%6.89M
281.22%7.56M
288.98%7.78M
31.08%2.64M
Investments and advances
2,057.00%5.39M
2,057.00%5.39M
--250K
--250K
--250K
--250K
--250K
----
----
----
Long-term notes receivables
--4M
--4M
----
----
----
--0
--0
----
----
----
Related parties assets
----
----
----
----
----
----
----
--0
--0
--13.4K
Non current prepaid assets
-18.91%43.13K
-18.91%43.13K
--53.18K
--53.18K
--53.18K
-6.76%53.18K
-6.76%53.18K
----
----
----
Other non current assets
----
----
48.58%456.18K
51.02%86.13K
70.85%97.44K
--108.4K
--108.4K
755.08%307.03K
128.98%57.03K
1,380.22%57.03K
Total non current assets
-8.50%26.14M
-8.50%26.14M
-10.43%27.38M
-9.54%27.34M
-7.27%27.63M
-2.91%28.57M
-2.91%28.57M
4.91%30.56M
5.16%30.23M
117.94%29.79M
Total assets
-20.09%48.54M
-20.09%48.54M
-22.19%55.32M
-32.56%50.61M
-33.12%54.15M
-28.60%60.74M
-28.60%60.74M
-21.34%71.09M
-19.63%75.04M
-2.91%80.97M
Liabilities
Current liabilities
Payables
13.49%1.58M
13.49%1.58M
-6.67%2.28M
-1.88%1.62M
-12.24%822.67K
31.52%1.39M
31.52%1.39M
369.16%2.44M
21.04%1.65M
-19.21%937.36K
-accounts payable
13.49%1.58M
13.49%1.58M
-6.67%2.28M
-1.88%1.62M
-12.24%822.67K
36.69%1.39M
36.69%1.39M
369.16%2.44M
35.41%1.65M
1.86%937.36K
-Due to related parties current
----
----
----
----
----
----
----
--0
--0
----
Current accrued expenses
161.23%1.07M
161.23%1.07M
138.66%936.63K
18.87%643.22K
-5.00%448.23K
-62.25%409.44K
-62.25%409.44K
-73.73%392.46K
-17.17%541.1K
-26.02%471.81K
Current debt and capital lease obligation
-12.42%947.21K
-12.42%947.21K
-2.46%1.2M
5.38%1.26M
1.46%1.23M
-13.52%1.08M
-13.52%1.08M
-14.19%1.23M
-10.77%1.19M
682.13%1.21M
-Current debt
-18.50%751.57K
-18.50%751.57K
-0.97%899.94K
6.54%953.82K
1.83%936.15K
-3.63%922.14K
-3.63%922.14K
-22.28%908.75K
-33.09%895.26K
493.58%919.29K
-Current capital lease obligation
22.72%195.64K
22.72%195.64K
-6.70%297.44K
1.88%304.23K
0.29%292.85K
-45.74%159.42K
-45.74%159.42K
21.98%318.81K
--298.61K
--292K
Current deferred liabilities
-65.42%53.94K
-65.42%53.94K
-76.14%52.3K
-49.88%61.81K
-80.68%45.12K
-64.38%155.99K
-64.38%155.99K
-34.90%219.15K
4.64%123.31K
114.45%233.52K
Other current liabilities
----
----
-11.25%759.82K
-18.73%823.84K
-39.26%1.03M
-37.14%1.01M
-37.14%1.01M
-36.59%856.1K
-57.35%1.01M
-31.86%1.7M
Current liabilities
-9.85%3.65M
-9.85%3.65M
1.71%5.23M
-2.57%4.41M
-21.44%3.58M
-25.54%4.05M
-25.54%4.05M
0.16%5.14M
-22.69%4.52M
-0.06%4.55M
Non current liabilities
Long term debt and capital lease obligation
-29.82%1.32M
-29.82%1.32M
-81.62%194.73K
-75.91%312.15K
-63.39%551.28K
9.28%1.88M
9.28%1.88M
-44.60%1.06M
-34.92%1.3M
-7.10%1.51M
-Long term debt
----
----
----
-86.93%90.76K
-70.14%249.57K
-58.76%401.57K
-58.76%401.57K
-58.93%549.94K
-51.49%694.58K
-48.44%835.72K
-Long term capital lease obligation
-10.80%1.32M
-10.80%1.32M
-61.78%194.73K
-63.18%221.39K
-54.96%301.71K
97.64%1.48M
97.64%1.48M
-11.11%509.47K
7.46%601.24K
--669.94K
Total non current liabilities
-31.34%1.32M
-31.34%1.32M
-51.25%516.5K
-74.80%326.5K
-61.51%579.57K
11.71%1.93M
11.71%1.93M
-44.60%1.06M
-34.92%1.3M
-7.10%1.51M
Total liabilities
-16.77%4.97M
-16.77%4.97M
-7.34%5.74M
-18.66%4.73M
-31.40%4.16M
-16.58%5.98M
-16.58%5.98M
-11.99%6.2M
-25.80%5.82M
-1.91%6.06M
Shareholders'equity
Share capital
15.37%74.34K
15.37%74.34K
15.51%74.22K
-13.11%55.7K
-12.71%55.59K
1.29%64.44K
1.29%64.44K
1.18%64.25K
0.86%64.1K
6.24%63.69K
-common stock
36.14%74.29K
36.14%74.29K
36.38%74.17K
2.62%55.65K
3.20%55.54K
1.52%54.57K
1.52%54.57K
1.39%54.39K
1.01%54.23K
10.99%53.82K
-Preferred stock
-99.52%47
-99.52%47
-99.52%47
-99.52%47
-99.52%47
0.00%9.87K
0.00%9.87K
0.00%9.87K
0.00%9.87K
-13.86%9.87K
Retained earnings
-42.14%-81.13M
-42.14%-81.13M
-65.58%-71.57M
-75.95%-66.08M
-92.90%-60.4M
-107.56%-57.08M
-107.56%-57.08M
-90.63%-43.22M
-86.76%-37.56M
-80.28%-31.31M
Paid-in capital
10.63%124.62M
10.63%124.62M
10.87%121.06M
3.41%112.1M
3.17%110.91M
5.45%112.64M
5.45%112.64M
3.06%109.19M
2.68%108.41M
13.72%107.49M
Gains losses not affecting retained earnings
100.54%4.62K
100.54%4.62K
100.40%4.62K
87.86%-205.04K
57.34%-570.08K
41.43%-861.12K
41.43%-861.12K
-53,021.50%-1.14M
-106,222.25%-1.69M
-145,039.05%-1.34M
Total stockholders'equity
-20.46%43.56M
-20.46%43.56M
-23.61%49.57M
-33.73%45.87M
-33.26%49.99M
-29.71%54.77M
-29.71%54.77M
-22.13%64.89M
-19.07%69.23M
-2.99%74.91M
Total equity
-20.46%43.56M
-20.46%43.56M
-23.61%49.57M
-33.73%45.87M
-33.26%49.99M
-29.71%54.77M
-29.71%54.77M
-22.13%64.89M
-19.07%69.23M
-2.99%74.91M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
--
--
--
--
(FY)Apr 30, 2024(Q4)Apr 30, 2024(Q3)Jan 31, 2024(Q2)Oct 31, 2023(Q1)Jul 31, 2023(FY)Apr 30, 2023(Q4)Apr 30, 2023(Q3)Jan 31, 2023(Q2)Oct 31, 2022(Q1)Jul 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -62.05%6.07M-62.05%6.07M-68.74%7.7M-87.76%4.02M-79.37%8.86M-67.29%15.99M-67.29%15.99M-55.68%24.62M-44.90%32.89M-35.03%42.95M
-Cash and cash equivalents 91.17%6.07M91.17%6.07M97.71%7.7M-10.98%1.41M-84.98%937.76K-22.31%3.17M-22.31%3.17M-45.26%3.89M-86.31%1.58M-90.55%6.25M
-Short-term investments --0--0--0-91.65%2.62M-78.42%7.92M-71.39%12.81M-71.39%12.81M-57.21%20.73M-34.95%31.3M--36.71M
Receivables 647.41%6.51M647.41%6.51M151.02%5.77M144.54%3.01M-37.17%802.96K-4.55%871.53K-4.55%871.53K52.08%2.3M60.92%1.23M377.17%1.28M
-Accounts receivable 505.82%4.36M505.82%4.36M146.71%5.09M225.68%2.99M-22.50%720.64K45.28%719.86K45.28%719.86K131.50%2.06M133.10%917.8K247.21%929.87K
-Accrued interest receivable --0--0--0-93.43%20.57K-75.40%82.32K-60.68%151.67K-60.68%151.67K-40.68%233.47K-15.67%312.93K--334.65K
-Related party accounts receivable ------------------------------0--0--13.4K
-Other receivables --2.15M--2.15M--675K----------------------------
Inventory -10.24%8.01M-10.24%8.01M-2.16%9.09M41.09%9.26M104.51%9.38M128.98%8.92M128.98%8.92M297.24%9.29M230.40%6.56M418.10%4.58M
Prepaid assets 62.69%1.81M62.69%1.81M-50.77%2.12M-31.91%2.82M24.53%2.94M-43.53%1.11M-43.53%1.11M134.27%4.31M88.51%4.14M-3.95%2.36M
Total current assets -30.39%22.4M-30.39%22.4M-31.06%27.94M-48.09%23.26M-48.17%26.52M-42.19%32.18M-42.19%32.18M-33.83%40.53M-30.66%44.82M-26.61%51.18M
Non current assets
Net PPE -10.10%3.82M-10.10%3.82M2.57%2.93M19.61%3.05M59.01%3.11M177.65%4.25M177.65%4.25M162.96%2.86M269.57%2.55M--1.95M
-Gross PPE 3.04%4.73M3.04%4.73M12.17%3.63M27.38%3.62M62.68%3.54M166.94%4.59M166.94%4.59M159.50%3.24M238.99%2.84M--2.18M
-Accumulated depreciation -166.00%-911.47K-166.00%-911.47K-84.46%-699.95K-96.27%-565.09K-94.76%-435.78K-80.57%-342.66K-80.57%-342.66K-136.09%-379.46K-95.53%-287.91K---223.75K
Goodwill and other intangible assets -46.11%12.88M-46.11%12.88M-13.56%23.69M-13.46%23.9M-13.18%24.12M-14.12%23.91M-14.12%23.91M-2.19%27.4M-1.47%27.62M103.28%27.78M
-Goodwill -46.58%9.09M-46.58%9.09M-14.25%17.01M-14.25%17.01M-32.32%17.01M-32.32%17.01M-32.32%17.01M-23.78%19.84M-23.78%19.84M115.77%25.14M
-Other intangible assets -44.95%3.79M-44.95%3.79M-11.75%6.67M-11.44%6.89M168.91%7.11M155.44%6.89M155.44%6.89M281.22%7.56M288.98%7.78M31.08%2.64M
Investments and advances 2,057.00%5.39M2,057.00%5.39M--250K--250K--250K--250K--250K------------
Long-term notes receivables --4M--4M--------------0--0------------
Related parties assets ------------------------------0--0--13.4K
Non current prepaid assets -18.91%43.13K-18.91%43.13K--53.18K--53.18K--53.18K-6.76%53.18K-6.76%53.18K------------
Other non current assets --------48.58%456.18K51.02%86.13K70.85%97.44K--108.4K--108.4K755.08%307.03K128.98%57.03K1,380.22%57.03K
Total non current assets -8.50%26.14M-8.50%26.14M-10.43%27.38M-9.54%27.34M-7.27%27.63M-2.91%28.57M-2.91%28.57M4.91%30.56M5.16%30.23M117.94%29.79M
Total assets -20.09%48.54M-20.09%48.54M-22.19%55.32M-32.56%50.61M-33.12%54.15M-28.60%60.74M-28.60%60.74M-21.34%71.09M-19.63%75.04M-2.91%80.97M
Liabilities
Current liabilities
Payables 13.49%1.58M13.49%1.58M-6.67%2.28M-1.88%1.62M-12.24%822.67K31.52%1.39M31.52%1.39M369.16%2.44M21.04%1.65M-19.21%937.36K
-accounts payable 13.49%1.58M13.49%1.58M-6.67%2.28M-1.88%1.62M-12.24%822.67K36.69%1.39M36.69%1.39M369.16%2.44M35.41%1.65M1.86%937.36K
-Due to related parties current ------------------------------0--0----
Current accrued expenses 161.23%1.07M161.23%1.07M138.66%936.63K18.87%643.22K-5.00%448.23K-62.25%409.44K-62.25%409.44K-73.73%392.46K-17.17%541.1K-26.02%471.81K
Current debt and capital lease obligation -12.42%947.21K-12.42%947.21K-2.46%1.2M5.38%1.26M1.46%1.23M-13.52%1.08M-13.52%1.08M-14.19%1.23M-10.77%1.19M682.13%1.21M
-Current debt -18.50%751.57K-18.50%751.57K-0.97%899.94K6.54%953.82K1.83%936.15K-3.63%922.14K-3.63%922.14K-22.28%908.75K-33.09%895.26K493.58%919.29K
-Current capital lease obligation 22.72%195.64K22.72%195.64K-6.70%297.44K1.88%304.23K0.29%292.85K-45.74%159.42K-45.74%159.42K21.98%318.81K--298.61K--292K
Current deferred liabilities -65.42%53.94K-65.42%53.94K-76.14%52.3K-49.88%61.81K-80.68%45.12K-64.38%155.99K-64.38%155.99K-34.90%219.15K4.64%123.31K114.45%233.52K
Other current liabilities ---------11.25%759.82K-18.73%823.84K-39.26%1.03M-37.14%1.01M-37.14%1.01M-36.59%856.1K-57.35%1.01M-31.86%1.7M
Current liabilities -9.85%3.65M-9.85%3.65M1.71%5.23M-2.57%4.41M-21.44%3.58M-25.54%4.05M-25.54%4.05M0.16%5.14M-22.69%4.52M-0.06%4.55M
Non current liabilities
Long term debt and capital lease obligation -29.82%1.32M-29.82%1.32M-81.62%194.73K-75.91%312.15K-63.39%551.28K9.28%1.88M9.28%1.88M-44.60%1.06M-34.92%1.3M-7.10%1.51M
-Long term debt -------------86.93%90.76K-70.14%249.57K-58.76%401.57K-58.76%401.57K-58.93%549.94K-51.49%694.58K-48.44%835.72K
-Long term capital lease obligation -10.80%1.32M-10.80%1.32M-61.78%194.73K-63.18%221.39K-54.96%301.71K97.64%1.48M97.64%1.48M-11.11%509.47K7.46%601.24K--669.94K
Total non current liabilities -31.34%1.32M-31.34%1.32M-51.25%516.5K-74.80%326.5K-61.51%579.57K11.71%1.93M11.71%1.93M-44.60%1.06M-34.92%1.3M-7.10%1.51M
Total liabilities -16.77%4.97M-16.77%4.97M-7.34%5.74M-18.66%4.73M-31.40%4.16M-16.58%5.98M-16.58%5.98M-11.99%6.2M-25.80%5.82M-1.91%6.06M
Shareholders'equity
Share capital 15.37%74.34K15.37%74.34K15.51%74.22K-13.11%55.7K-12.71%55.59K1.29%64.44K1.29%64.44K1.18%64.25K0.86%64.1K6.24%63.69K
-common stock 36.14%74.29K36.14%74.29K36.38%74.17K2.62%55.65K3.20%55.54K1.52%54.57K1.52%54.57K1.39%54.39K1.01%54.23K10.99%53.82K
-Preferred stock -99.52%47-99.52%47-99.52%47-99.52%47-99.52%470.00%9.87K0.00%9.87K0.00%9.87K0.00%9.87K-13.86%9.87K
Retained earnings -42.14%-81.13M-42.14%-81.13M-65.58%-71.57M-75.95%-66.08M-92.90%-60.4M-107.56%-57.08M-107.56%-57.08M-90.63%-43.22M-86.76%-37.56M-80.28%-31.31M
Paid-in capital 10.63%124.62M10.63%124.62M10.87%121.06M3.41%112.1M3.17%110.91M5.45%112.64M5.45%112.64M3.06%109.19M2.68%108.41M13.72%107.49M
Gains losses not affecting retained earnings 100.54%4.62K100.54%4.62K100.40%4.62K87.86%-205.04K57.34%-570.08K41.43%-861.12K41.43%-861.12K-53,021.50%-1.14M-106,222.25%-1.69M-145,039.05%-1.34M
Total stockholders'equity -20.46%43.56M-20.46%43.56M-23.61%49.57M-33.73%45.87M-33.26%49.99M-29.71%54.77M-29.71%54.77M-22.13%64.89M-19.07%69.23M-2.99%74.91M
Total equity -20.46%43.56M-20.46%43.56M-23.61%49.57M-33.73%45.87M-33.26%49.99M-29.71%54.77M-29.71%54.77M-22.13%64.89M-19.07%69.23M-2.99%74.91M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion with Explanatory Notes--------

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