CA Stock MarketDetailed Quotes

REKO Reko International Group Inc

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  • 3.200
  • 0.0000.00%
15min DelayMarket Closed Dec 12 16:00 ET
17.79MMarket Cap-4.38P/E (TTM)

Reko International Group Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Oct 31, 2024
(FY)Jul 31, 2024
(Q4)Jul 31, 2024
(Q3)Apr 30, 2024
(Q2)Jan 31, 2024
(Q1)Oct 31, 2023
(FY)Jul 31, 2023
(Q4)Jul 31, 2023
(Q3)Apr 30, 2023
(Q2)Jan 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
79.64%13.83M
-5.81%11.43M
-5.81%11.43M
-43.88%7.6M
-57.56%5.55M
-31.77%7.7M
-13.44%12.14M
-13.44%12.14M
100.34%13.54M
20.61%13.07M
-Cash and cash equivalents
79.64%13.83M
-5.81%11.43M
-5.81%11.43M
-43.88%7.6M
-57.56%5.55M
-31.77%7.7M
-13.44%12.14M
-13.44%12.14M
100.34%13.54M
20.61%13.07M
Receivables
-14.88%13.11M
41.90%12.29M
41.90%12.29M
86.76%17.17M
50.21%14.76M
23.09%15.41M
-25.55%8.66M
-25.55%8.66M
-51.19%9.2M
3.07%9.82M
-Accounts receivable
-14.88%13.11M
41.90%12.29M
41.90%12.29M
86.76%17.17M
50.21%14.76M
23.09%15.41M
-25.55%8.66M
-25.55%8.66M
-51.19%9.2M
3.07%9.82M
Inventory
-54.58%4.21M
-45.64%5.56M
-45.64%5.56M
-44.58%5.57M
9.32%10.37M
-25.97%9.27M
10.93%10.23M
10.93%10.23M
4.07%10.04M
-21.86%9.49M
Hedging assets-current
----
--0
--0
--0
-46.53%54K
--0
450.00%143K
450.00%143K
--0
--101K
Other current assets
-3.64%1.27M
-30.69%822K
-30.69%822K
9.51%668K
44.52%1.11M
38.49%1.32M
38.39%1.19M
38.39%1.19M
-6.58%610K
-8.59%766K
Total current assets
-3.78%32.42M
-6.96%30.1M
-6.96%30.1M
-7.13%31.01M
-4.25%31.83M
-9.61%33.69M
-9.51%32.36M
-9.51%32.36M
-6.99%33.39M
-0.30%33.24M
Non current assets
Net PPE
-11.69%25.02M
-8.11%25.86M
-8.11%25.86M
-1.06%26.65M
-0.73%27.32M
0.67%28.33M
-3.06%28.14M
-3.06%28.14M
-4.91%26.93M
2.42%27.52M
-Gross PPE
-0.28%78.06M
-0.42%77.9M
-0.42%77.9M
1.66%77.96M
1.24%77.65M
2.54%78.28M
2.60%78.24M
2.60%78.24M
2.55%76.69M
5.87%76.7M
-Accumulated depreciation
-6.19%-53.05M
-3.89%-52.05M
-3.89%-52.05M
-3.13%-51.32M
-2.34%-50.33M
-3.63%-49.95M
-6.07%-50.1M
-6.07%-50.1M
-7.10%-49.76M
-7.91%-49.18M
Non current deferred assets
----
--0
--0
23.98%2.64M
24.94%2.41M
14.05%2.19M
8.77%2.3M
8.77%2.3M
-10.22%2.13M
-7.53%1.93M
Total non current assets
-18.03%25.02M
-15.04%25.86M
-15.04%25.86M
0.77%29.28M
0.95%29.73M
1.53%30.52M
-2.25%30.43M
-2.25%30.43M
-5.32%29.06M
1.70%29.45M
Total assets
-10.55%57.44M
-10.88%55.96M
-10.88%55.96M
-3.46%60.29M
-1.80%61.56M
-4.64%64.21M
-6.13%62.79M
-6.13%62.79M
-6.22%62.45M
0.63%62.69M
Liabilities
Current liabilities
Current debt and capital lease obligation
-64.02%1.58M
-63.15%1.57M
-63.15%1.57M
-33.28%4.24M
-54.84%4.24M
-54.15%4.4M
-55.24%4.25M
-55.24%4.25M
1.55%6.35M
54.64%9.39M
-Current debt
-64.02%1.58M
-63.15%1.57M
-63.15%1.57M
-33.28%4.24M
-54.84%4.24M
-54.15%4.4M
-55.24%4.25M
-55.24%4.25M
1.55%6.35M
54.64%9.39M
Payables
----
-57.62%846K
-57.62%846K
----
----
----
-29.92%2M
-29.92%2M
----
----
-accounts payable
----
-57.62%846K
-57.62%846K
----
----
----
-29.92%2M
-29.92%2M
----
----
Current accrued expenses
----
-5.45%2.05M
-5.45%2.05M
----
----
----
-45.42%2.17M
-45.42%2.17M
----
----
Current deferred liabilities
198.58%1.68M
-54.05%301K
-54.05%301K
-80.45%96K
31.25%273K
-49.51%562K
-5.48%655K
-5.48%655K
-84.70%491K
-11.86%208K
Other current liabilities
33.04%447K
--43K
--43K
60.71%90K
----
42.37%336K
----
----
-68.00%56K
----
Current liabilities
-39.20%6.5M
-47.00%4.8M
-47.00%4.8M
-19.56%8.46M
-35.89%8.66M
-36.99%10.68M
-46.68%9.07M
-46.68%9.07M
-29.68%10.52M
23.38%13.51M
Non current liabilities
Long term debt and capital lease obligation
16.88%9.01M
20.19%9.39M
20.19%9.39M
15.65%7.01M
126.00%7.24M
121.84%7.71M
124.66%7.82M
124.66%7.82M
10.61%6.06M
-29.27%3.2M
-Long term debt
16.88%9.01M
20.19%9.39M
20.19%9.39M
15.65%7.01M
126.00%7.24M
121.84%7.71M
124.66%7.82M
124.66%7.82M
10.61%6.06M
-29.27%3.2M
Non current deferred liabilities
--420K
--379K
--379K
----
----
----
--0
--0
----
----
Total non current liabilities
22.33%9.43M
25.04%9.77M
25.04%9.77M
15.65%7.01M
126.00%7.24M
121.84%7.71M
124.66%7.82M
124.66%7.82M
10.61%6.06M
-29.27%3.2M
Total liabilities
-13.41%15.93M
-13.65%14.58M
-13.65%14.58M
-6.69%15.47M
-4.86%15.9M
-9.97%18.4M
-17.57%16.88M
-17.57%16.88M
-18.88%16.58M
7.98%16.72M
Shareholders'equity
Share capital
-1.34%16.23M
-1.22%16.24M
-1.22%16.24M
1.92%16.24M
1.01%16.24M
2.31%16.45M
0.64%16.44M
0.64%16.44M
-4.17%15.93M
-7.59%16.07M
-common stock
-1.34%16.23M
-1.22%16.24M
-1.22%16.24M
1.92%16.24M
1.01%16.24M
2.31%16.45M
0.64%16.44M
0.64%16.44M
-4.17%15.93M
-7.59%16.07M
Additional paid-in capital
3.13%889K
-33.94%839K
-33.94%839K
-54.95%820K
-56.16%804K
-52.53%862K
-28.21%1.27M
-28.21%1.27M
-3.40%1.82M
-1.66%1.83M
Retained earnings
-14.44%24.4M
-13.81%24.31M
-13.81%24.31M
-1.26%27.77M
1.96%28.62M
-1.73%28.51M
-0.39%28.2M
-0.39%28.2M
1.71%28.12M
1.85%28.07M
Total stockholders'equity
-9.41%41.51M
-9.86%41.38M
-9.86%41.38M
-2.29%44.82M
-0.69%45.65M
-2.31%45.82M
-1.09%45.91M
-1.09%45.91M
-0.62%45.87M
-1.80%45.97M
Total equity
-9.41%41.51M
-9.86%41.38M
-9.86%41.38M
-2.29%44.82M
-0.69%45.65M
-2.31%45.82M
-1.09%45.91M
-1.09%45.91M
-0.62%45.87M
-1.80%45.97M
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
--
--
--
--
--
--
--
--
(Q1)Oct 31, 2024(FY)Jul 31, 2024(Q4)Jul 31, 2024(Q3)Apr 30, 2024(Q2)Jan 31, 2024(Q1)Oct 31, 2023(FY)Jul 31, 2023(Q4)Jul 31, 2023(Q3)Apr 30, 2023(Q2)Jan 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 79.64%13.83M-5.81%11.43M-5.81%11.43M-43.88%7.6M-57.56%5.55M-31.77%7.7M-13.44%12.14M-13.44%12.14M100.34%13.54M20.61%13.07M
-Cash and cash equivalents 79.64%13.83M-5.81%11.43M-5.81%11.43M-43.88%7.6M-57.56%5.55M-31.77%7.7M-13.44%12.14M-13.44%12.14M100.34%13.54M20.61%13.07M
Receivables -14.88%13.11M41.90%12.29M41.90%12.29M86.76%17.17M50.21%14.76M23.09%15.41M-25.55%8.66M-25.55%8.66M-51.19%9.2M3.07%9.82M
-Accounts receivable -14.88%13.11M41.90%12.29M41.90%12.29M86.76%17.17M50.21%14.76M23.09%15.41M-25.55%8.66M-25.55%8.66M-51.19%9.2M3.07%9.82M
Inventory -54.58%4.21M-45.64%5.56M-45.64%5.56M-44.58%5.57M9.32%10.37M-25.97%9.27M10.93%10.23M10.93%10.23M4.07%10.04M-21.86%9.49M
Hedging assets-current ------0--0--0-46.53%54K--0450.00%143K450.00%143K--0--101K
Other current assets -3.64%1.27M-30.69%822K-30.69%822K9.51%668K44.52%1.11M38.49%1.32M38.39%1.19M38.39%1.19M-6.58%610K-8.59%766K
Total current assets -3.78%32.42M-6.96%30.1M-6.96%30.1M-7.13%31.01M-4.25%31.83M-9.61%33.69M-9.51%32.36M-9.51%32.36M-6.99%33.39M-0.30%33.24M
Non current assets
Net PPE -11.69%25.02M-8.11%25.86M-8.11%25.86M-1.06%26.65M-0.73%27.32M0.67%28.33M-3.06%28.14M-3.06%28.14M-4.91%26.93M2.42%27.52M
-Gross PPE -0.28%78.06M-0.42%77.9M-0.42%77.9M1.66%77.96M1.24%77.65M2.54%78.28M2.60%78.24M2.60%78.24M2.55%76.69M5.87%76.7M
-Accumulated depreciation -6.19%-53.05M-3.89%-52.05M-3.89%-52.05M-3.13%-51.32M-2.34%-50.33M-3.63%-49.95M-6.07%-50.1M-6.07%-50.1M-7.10%-49.76M-7.91%-49.18M
Non current deferred assets ------0--023.98%2.64M24.94%2.41M14.05%2.19M8.77%2.3M8.77%2.3M-10.22%2.13M-7.53%1.93M
Total non current assets -18.03%25.02M-15.04%25.86M-15.04%25.86M0.77%29.28M0.95%29.73M1.53%30.52M-2.25%30.43M-2.25%30.43M-5.32%29.06M1.70%29.45M
Total assets -10.55%57.44M-10.88%55.96M-10.88%55.96M-3.46%60.29M-1.80%61.56M-4.64%64.21M-6.13%62.79M-6.13%62.79M-6.22%62.45M0.63%62.69M
Liabilities
Current liabilities
Current debt and capital lease obligation -64.02%1.58M-63.15%1.57M-63.15%1.57M-33.28%4.24M-54.84%4.24M-54.15%4.4M-55.24%4.25M-55.24%4.25M1.55%6.35M54.64%9.39M
-Current debt -64.02%1.58M-63.15%1.57M-63.15%1.57M-33.28%4.24M-54.84%4.24M-54.15%4.4M-55.24%4.25M-55.24%4.25M1.55%6.35M54.64%9.39M
Payables -----57.62%846K-57.62%846K-------------29.92%2M-29.92%2M--------
-accounts payable -----57.62%846K-57.62%846K-------------29.92%2M-29.92%2M--------
Current accrued expenses -----5.45%2.05M-5.45%2.05M-------------45.42%2.17M-45.42%2.17M--------
Current deferred liabilities 198.58%1.68M-54.05%301K-54.05%301K-80.45%96K31.25%273K-49.51%562K-5.48%655K-5.48%655K-84.70%491K-11.86%208K
Other current liabilities 33.04%447K--43K--43K60.71%90K----42.37%336K---------68.00%56K----
Current liabilities -39.20%6.5M-47.00%4.8M-47.00%4.8M-19.56%8.46M-35.89%8.66M-36.99%10.68M-46.68%9.07M-46.68%9.07M-29.68%10.52M23.38%13.51M
Non current liabilities
Long term debt and capital lease obligation 16.88%9.01M20.19%9.39M20.19%9.39M15.65%7.01M126.00%7.24M121.84%7.71M124.66%7.82M124.66%7.82M10.61%6.06M-29.27%3.2M
-Long term debt 16.88%9.01M20.19%9.39M20.19%9.39M15.65%7.01M126.00%7.24M121.84%7.71M124.66%7.82M124.66%7.82M10.61%6.06M-29.27%3.2M
Non current deferred liabilities --420K--379K--379K--------------0--0--------
Total non current liabilities 22.33%9.43M25.04%9.77M25.04%9.77M15.65%7.01M126.00%7.24M121.84%7.71M124.66%7.82M124.66%7.82M10.61%6.06M-29.27%3.2M
Total liabilities -13.41%15.93M-13.65%14.58M-13.65%14.58M-6.69%15.47M-4.86%15.9M-9.97%18.4M-17.57%16.88M-17.57%16.88M-18.88%16.58M7.98%16.72M
Shareholders'equity
Share capital -1.34%16.23M-1.22%16.24M-1.22%16.24M1.92%16.24M1.01%16.24M2.31%16.45M0.64%16.44M0.64%16.44M-4.17%15.93M-7.59%16.07M
-common stock -1.34%16.23M-1.22%16.24M-1.22%16.24M1.92%16.24M1.01%16.24M2.31%16.45M0.64%16.44M0.64%16.44M-4.17%15.93M-7.59%16.07M
Additional paid-in capital 3.13%889K-33.94%839K-33.94%839K-54.95%820K-56.16%804K-52.53%862K-28.21%1.27M-28.21%1.27M-3.40%1.82M-1.66%1.83M
Retained earnings -14.44%24.4M-13.81%24.31M-13.81%24.31M-1.26%27.77M1.96%28.62M-1.73%28.51M-0.39%28.2M-0.39%28.2M1.71%28.12M1.85%28.07M
Total stockholders'equity -9.41%41.51M-9.86%41.38M-9.86%41.38M-2.29%44.82M-0.69%45.65M-2.31%45.82M-1.09%45.91M-1.09%45.91M-0.62%45.87M-1.80%45.97M
Total equity -9.41%41.51M-9.86%41.38M-9.86%41.38M-2.29%44.82M-0.69%45.65M-2.31%45.82M-1.09%45.91M-1.09%45.91M-0.62%45.87M-1.80%45.97M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

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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