Bank of Nova Scotia
BNS
Bank of Montreal
BMO
Royal Bank of Canada
RY
The Toronto-Dominion Bank
TD
Canadian Imperial Bank of Commerce
CM
(Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 13.87%3.73M | -27.07%2.88M | -65.81%1.96M | -0.55%2.33M | -0.55%2.33M | 69.90%3.27M | 93.19%3.94M | 169.47%5.74M | 4.84%2.34M | 4.84%2.34M |
-Cash and cash equivalents | 13.87%3.73M | -27.07%2.88M | -65.81%1.96M | -0.55%2.33M | -0.55%2.33M | 69.90%3.27M | 93.19%3.94M | 169.47%5.74M | 4.84%2.34M | 4.84%2.34M |
Receivables | 66.89%2.8M | -18.13%1.84M | -61.07%2.25M | -47.44%2.5M | -47.44%2.5M | -46.19%1.68M | -32.61%2.24M | 778.98%5.78M | 1,085.28%4.75M | 1,085.28%4.75M |
-Accounts receivable | 73.93%2.71M | -18.23%1.79M | -60.85%2.2M | -48.72%2.37M | -48.72%2.37M | -38.82%1.56M | -20.48%2.18M | 912.51%5.62M | 1,055.03%4.62M | 1,055.03%4.62M |
-Other receivables | -24.46%90.55K | -14.60%49.69K | -69.05%48.6K | -3.74%129.47K | -3.74%129.47K | -79.01%119.87K | -89.98%58.18K | 53.61%157.05K | 11,595.65%134.5K | 11,595.65%134.5K |
Inventory | 47.93%4.56M | 53.35%5.14M | 26.28%2.83M | 73.48%6.17M | 73.48%6.17M | -3.73%3.08M | 10.52%3.35M | 57.57%2.24M | 79.42%3.55M | 79.42%3.55M |
Prepaid assets | -80.61%846.73K | ---- | ---- | ---- | ---- | 206.85%4.37M | 139.79%4.54M | -8.67%3.64M | ---- | ---- |
Restricted cash | --0 | --0 | --0 | --325K | --325K | ---- | ---- | ---- | --0 | --0 |
Other current assets | --404.06K | --1.61M | --1.14M | -38.03%2.78M | -38.03%2.78M | ---- | ---- | ---- | --4.49M | --4.49M |
Total current assets | -0.51%12.34M | -18.64%11.46M | -52.93%8.19M | -6.85%14.1M | -6.85%14.1M | 28.26%12.4M | 36.77%14.08M | 112.37%17.4M | 127.02%15.14M | 127.02%15.14M |
Non current assets | ||||||||||
Net PPE | --0 | --0 | --0 | -92.30%914 | -92.30%914 | -98.40%3.65K | -97.44%6.39K | -95.16%11.88K | -60.68%11.88K | -60.68%11.88K |
-Gross PPE | --0 | --0 | --0 | -92.30%914 | -92.30%914 | -98.40%3.65K | -97.44%6.39K | -96.71%11.88K | -60.68%11.88K | -60.68%11.88K |
Non current prepaid assets | --0 | --0 | -59.45%1.53K | -59.45%1.53K | -59.45%1.53K | 0.00%3.78K | -69.24%3.78K | -69.24%3.78K | -69.24%3.78K | -69.24%3.78K |
Goodwill and other intangible assets | -76.13%4.31M | -75.26%4.67M | -74.87%5.05M | -74.30%5.44M | -74.30%5.44M | -30.00%18.04M | -28.32%18.88M | -1.27%20.11M | 43.21%21.15M | 43.21%21.15M |
-Goodwill | -73.69%3.9M | -73.69%3.9M | -73.69%3.9M | -73.69%3.9M | -73.69%3.9M | 9.53%14.83M | 9.53%14.83M | 82.39%14.83M | 183.18%14.83M | 183.18%14.83M |
-Other intangible assets | -87.42%403.36K | -81.04%766.71K | -78.21%1.15M | -75.74%1.53M | -75.74%1.53M | -73.78%3.21M | -68.38%4.04M | -56.87%5.28M | -33.69%6.32M | -33.69%6.32M |
Other non current assets | ---- | ---- | ---- | ---- | ---- | 0.00%325K | 0.00%325K | 0.00%325K | 0.00%325K | 0.00%325K |
Total non current assets | -76.56%4.31M | -75.70%4.67M | -75.29%5.05M | -74.70%5.44M | -74.70%5.44M | -30.22%18.37M | -28.64%19.21M | -2.39%20.45M | 41.98%21.49M | 41.98%21.49M |
Total assets | -45.91%16.64M | -51.56%16.13M | -65.01%13.24M | -46.66%19.54M | -46.66%19.54M | -14.52%30.77M | -10.54%33.29M | 29.88%37.85M | 67.99%36.63M | 67.99%36.63M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -60.65%4.54M | -73.16%4.09M | -34.07%11.96M | 4.13%18.89M | 4.13%18.89M | -29.42%11.54M | -17.98%15.26M | 19.99%18.14M | 10.98%18.14M | 10.98%18.14M |
-Current debt | -60.65%4.54M | -73.16%4.09M | -34.07%11.96M | 4.13%18.89M | 4.13%18.89M | -29.42%11.54M | -17.96%15.26M | 20.15%18.14M | 11.21%18.14M | 11.21%18.14M |
Payables | -75.33%2.55M | -21.90%4.56M | 52.72%8.4M | 10.91%6.79M | 10.91%6.79M | 247.05%10.33M | 56.08%5.84M | 65.67%5.5M | 193.87%6.12M | 193.87%6.12M |
-accounts payable | -43.24%2.47M | -14.83%4.47M | 66.15%7.93M | 22.76%6.04M | 22.76%6.04M | 79.72%4.35M | 97.89%5.25M | 104.53%4.77M | 199.03%4.92M | 199.03%4.92M |
-Total tax payable | -89.63%18.95K | -79.39%35.94K | -83.46%42.94K | -68.79%240.43K | -68.79%240.43K | -62.97%182.71K | -82.50%174.35K | -71.01%259.55K | 89.27%770.37K | 89.27%770.37K |
-Due to related parties current | ---- | ---- | ---- | ---- | ---- | --5.37M | ---- | ---- | ---- | ---- |
-Other payable | -85.47%62.33K | -87.76%50.43K | -9.09%423.53K | 18.09%509.68K | 18.09%509.68K | 568.99%429K | 354.79%411.92K | 415.60%465.89K | 1,297.44%431.61K | 1,297.44%431.61K |
Current deferred liabilities | -93.30%1.53K | -98.60%14.93K | 10.37%6.55K | 1,499.39%592K | 1,499.39%592K | 11.48%22.77K | 2,423.50%1.07M | -99.67%5.93K | -55.28%37.01K | -55.28%37.01K |
Other current liabilities | 3,183.90%2.49M | 1,805.12%7.66M | 156.68%759.29K | 103.47%356.32K | 103.47%356.32K | -13.62%75.72K | --402.09K | --295.81K | --175.12K | --175.12K |
Current liabilities | -56.40%9.58M | -27.64%16.33M | -11.76%21.13M | 8.80%26.63M | 8.80%26.63M | 13.02%21.97M | -1.40%22.57M | 15.46%23.94M | 32.21%24.47M | 32.21%24.47M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 87.16%973.99K | 3.63%1.09M | 1.29%1.1M | -45.65%552.39K | -45.65%552.39K | 30.02%520.41K | --1.05M | -70.22%1.09M | -76.46%1.02M | -76.46%1.02M |
-Long term debt | 87.16%973.99K | 3.63%1.09M | 1.29%1.1M | -45.65%552.39K | -45.65%552.39K | 30.02%520.41K | --1.05M | -70.22%1.09M | -76.46%1.02M | -76.46%1.02M |
Derivative product liabilities | ---- | ---- | ---- | ---- | ---- | --1.64M | --2.91M | ---- | ---- | ---- |
Total non current liabilities | -54.81%973.99K | -72.50%1.09M | 1.29%1.1M | -45.65%552.39K | -45.65%552.39K | 50.50%2.16M | 283.22%3.95M | -76.79%1.09M | -81.00%1.02M | -81.00%1.02M |
Total liabilities | -56.26%10.55M | -34.33%17.42M | -11.20%22.23M | 6.63%27.18M | 6.63%27.18M | 15.59%24.13M | 10.88%26.52M | -1.52%25.03M | 6.83%25.49M | 6.83%25.49M |
Shareholders'equity | ||||||||||
Share capital | 14.18%58.53M | 7.41%54.92M | 0.73%51.45M | 12.94%51.29M | 12.94%51.29M | 12.89%51.26M | 20.32%51.13M | 61.02%51.08M | 96.40%45.41M | 96.40%45.41M |
-common stock | 14.18%58.53M | 7.41%54.92M | 0.73%51.45M | 12.94%51.29M | 12.94%51.29M | 12.89%51.26M | 20.32%51.13M | 61.02%51.08M | 96.40%45.41M | 96.40%45.41M |
Additional paid-in capital | 14.64%3.63M | 17.41%3.63M | 3.51%3.18M | 3.62%3.18M | 3.62%3.18M | 3,602.72%3.17M | 3,515.36%3.09M | 3,492.90%3.07M | 3,489.16%3.07M | 3,489.16%3.07M |
Retained earnings | -20.93%-57.09M | -30.53%-61.28M | -46.62%-61.79M | -54.82%-61.26M | -54.82%-61.26M | -38.29%-47.21M | -43.01%-46.95M | -41.31%-42.14M | -45.11%-39.57M | -45.11%-39.57M |
Gains losses not affecting retained earnings | -54.28%1.29M | -33.82%1.72M | 22.52%2.62M | -8.14%3.17M | -8.14%3.17M | -48.65%2.82M | -49.71%2.6M | -40.57%2.14M | 1.06%3.45M | 1.06%3.45M |
Other equity interest | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -5.86%235.36K | --235.36K | --235.36K |
Total stockholders'equity | -36.66%6.36M | -110.30%-1.02M | -131.52%-4.53M | -128.80%-3.63M | -128.80%-3.63M | -41.28%10.04M | -34.92%9.87M | 146.52%14.38M | 2,036.19%12.59M | 2,036.19%12.59M |
Noncontrolling interests | 91.97%-273.21K | 91.17%-273.8K | -184.44%-4.45M | -176.32%-4.01M | -176.32%-4.01M | -71.53%-3.4M | -65.71%-3.1M | 25.82%-1.56M | -3.43%-1.45M | -3.43%-1.45M |
Total equity | -8.31%6.09M | -119.06%-1.29M | -170.06%-8.98M | -168.58%-7.64M | -168.58%-7.64M | -56.09%6.64M | -49.08%6.77M | 244.01%12.82M | 642.16%11.14M | 642.16%11.14M |
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 | -- | -- | -- | -- | 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.