CA Stock MarketDetailed Quotes

SOL SOL Global Investments Corp

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  • 0.125
  • +0.055+78.57%
15min DelayTrading Nov 4 15:27 ET
6.81MMarket Cap-255P/E (TTM)

SOL Global Investments Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)May 31, 2024
(Q1)Feb 29, 2024
(FY)Nov 30, 2023
(Q4)Nov 30, 2023
(Q3)Aug 31, 2023
(Q2)May 31, 2023
(Q1)Feb 28, 2023
(FY)Nov 30, 2022
(Q4)Nov 30, 2022
(Q3)Aug 31, 2022
Assets
Cash, cash equivalents and federal funds sold
-94.03%21.17K
-84.97%16.77K
58.28%113.84K
58.28%113.84K
-65.22%242.65K
-38.40%354.37K
-91.15%111.57K
-99.53%71.92K
-99.53%71.92K
-99.14%697.65K
-Cash and cash equivalents
-94.03%21.17K
-84.97%16.77K
58.28%113.84K
58.28%113.84K
-65.22%242.65K
-38.40%354.37K
-91.15%111.57K
-99.53%71.92K
-99.53%71.92K
-99.14%697.65K
-Trading securities
--40.17M
--70.33M
--0
--0
----
----
----
--2.26M
--2.26M
----
-Available for sale securities
--32.24M
--30.77M
-30.11%100.15M
-30.11%100.15M
----
----
----
--143.29M
--143.29M
----
Derivative assets
-14.12%1.01M
55.42%1.93M
32.61%2.3M
32.61%2.3M
-20.22%2.63M
-26.98%1.18M
-84.11%1.24M
-84.20%1.74M
-84.20%1.74M
-76.24%3.3M
Receivables
-9.23%3.7M
-42.68%1.9M
-31.15%1.95M
-31.15%1.95M
-71.04%3.93M
-73.25%4.08M
-84.45%3.32M
-84.44%2.84M
-84.44%2.84M
-40.16%13.58M
Prepaid assets
-20.60%36.83K
12.51%36.83K
13.59%37.18K
13.59%37.18K
-17.46%56.86K
-65.62%46.38K
-81.14%32.73K
-83.75%32.73K
-83.75%32.73K
-97.76%68.89K
Net PPE
--0
-91.84%195.74K
-83.32%326.08K
-83.32%326.08K
-64.92%2.09M
-64.79%2.24M
-64.69%2.4M
-71.44%1.95M
-71.44%1.95M
254.02%5.94M
-Gross PPE
--0
-91.84%195.74K
-83.32%326.08K
-83.32%326.08K
-64.92%2.09M
-64.79%2.24M
-64.69%2.4M
-71.44%1.95M
-71.44%1.95M
254.02%5.94M
Other assets
----
----
----
----
----
----
--342.28K
--943.18K
--943.18K
----
Total assets
-40.22%85.52M
-25.14%107.22M
-30.52%106.4M
-30.52%106.4M
-45.68%132.88M
-45.74%143.05M
-60.06%143.23M
-68.70%153.12M
-68.70%153.12M
-58.88%244.62M
Liabilities
Payables
-45.62%43.7M
-25.26%59.25M
-21.43%58.88M
-21.43%58.88M
63.01%76.04M
66.13%80.37M
53.80%79.27M
65.74%74.94M
65.74%74.94M
26.19%46.65M
-Accounts payable
15.76%8.29M
39.89%8.16M
220.95%7.35M
220.95%7.35M
-68.39%7.76M
-70.63%7.16M
-75.67%5.84M
-49.06%2.29M
-49.06%2.29M
143.05%24.56M
-Total tax payable
-73.36%11.43M
-38.54%25.83M
-37.76%26.01M
-37.76%26.01M
--40.89M
--42.89M
52.50%42.03M
4.89%41.8M
4.89%41.8M
--0
-Other payable
-20.89%23.99M
-19.59%25.25M
-17.30%25.52M
-17.30%25.52M
23.96%27.38M
26.33%30.32M
--31.41M
3,426.31%30.86M
3,426.31%30.86M
1,372.67%22.09M
Long term debt and capital lease obligation
26.65%31.35M
41.07%34.12M
29.53%32.17M
29.53%32.17M
22.34%27.78M
-14.17%24.75M
-31.13%24.19M
-52.70%24.84M
-52.70%24.84M
-57.04%22.7M
Total liabilities
-27.44%82.31M
-10.04%100.94M
-11.33%98.68M
-11.33%98.68M
35.77%110.18M
29.38%113.44M
16.92%112.2M
-8.90%111.29M
-8.90%111.29M
-55.95%81.16M
Shareholders'equity
Share capital
0.00%128.89M
0.00%128.89M
0.00%128.89M
0.00%128.89M
6.50%128.89M
6.50%128.89M
9.08%128.89M
-4.49%128.89M
-4.49%128.89M
-10.32%121.03M
-common stock
0.00%128.89M
0.00%128.89M
0.00%128.89M
0.00%128.89M
6.50%128.89M
6.50%128.89M
9.08%128.89M
-4.49%128.89M
-4.49%128.89M
-10.32%121.03M
Additional paid-in capital
4.34%-5.98M
4.34%-5.98M
4.34%-5.98M
4.34%-5.98M
-0.65%-6.26M
-0.71%-6.26M
-0.57%-6.26M
-189.58%-6.26M
-189.58%-6.26M
-189.18%-6.21M
Retained earnings
-28.27%-120.06M
-26.88%-116.97M
-41.94%-115.52M
-41.94%-115.52M
-338.93%-100.52M
-271.53%-93.6M
-165.28%-92.19M
-137.74%-81.38M
-137.74%-81.38M
-84.23%42.07M
Other equity interest
-36.70%365.89K
-40.51%343.89K
-44.31%321.89K
-44.31%321.89K
-91.22%578.05K
-91.22%578.05K
-93.87%578.05K
-93.87%578.05K
-93.87%578.05K
239.81%6.58M
Total stockholders'equity
-89.16%3.21M
-79.76%6.28M
-81.56%7.71M
-81.56%7.71M
-86.12%22.69M
-83.17%29.61M
-88.19%31.02M
-88.60%41.83M
-88.60%41.83M
-60.20%163.46M
Total equity
-89.16%3.21M
-79.76%6.28M
-81.56%7.71M
-81.56%7.71M
-86.12%22.69M
-83.17%29.61M
-88.19%31.02M
-88.60%41.83M
-88.60%41.83M
-60.20%163.46M
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
--
--
(Q2)May 31, 2024(Q1)Feb 29, 2024(FY)Nov 30, 2023(Q4)Nov 30, 2023(Q3)Aug 31, 2023(Q2)May 31, 2023(Q1)Feb 28, 2023(FY)Nov 30, 2022(Q4)Nov 30, 2022(Q3)Aug 31, 2022
Assets
Cash, cash equivalents and federal funds sold -94.03%21.17K-84.97%16.77K58.28%113.84K58.28%113.84K-65.22%242.65K-38.40%354.37K-91.15%111.57K-99.53%71.92K-99.53%71.92K-99.14%697.65K
-Cash and cash equivalents -94.03%21.17K-84.97%16.77K58.28%113.84K58.28%113.84K-65.22%242.65K-38.40%354.37K-91.15%111.57K-99.53%71.92K-99.53%71.92K-99.14%697.65K
-Trading securities --40.17M--70.33M--0--0--------------2.26M--2.26M----
-Available for sale securities --32.24M--30.77M-30.11%100.15M-30.11%100.15M--------------143.29M--143.29M----
Derivative assets -14.12%1.01M55.42%1.93M32.61%2.3M32.61%2.3M-20.22%2.63M-26.98%1.18M-84.11%1.24M-84.20%1.74M-84.20%1.74M-76.24%3.3M
Receivables -9.23%3.7M-42.68%1.9M-31.15%1.95M-31.15%1.95M-71.04%3.93M-73.25%4.08M-84.45%3.32M-84.44%2.84M-84.44%2.84M-40.16%13.58M
Prepaid assets -20.60%36.83K12.51%36.83K13.59%37.18K13.59%37.18K-17.46%56.86K-65.62%46.38K-81.14%32.73K-83.75%32.73K-83.75%32.73K-97.76%68.89K
Net PPE --0-91.84%195.74K-83.32%326.08K-83.32%326.08K-64.92%2.09M-64.79%2.24M-64.69%2.4M-71.44%1.95M-71.44%1.95M254.02%5.94M
-Gross PPE --0-91.84%195.74K-83.32%326.08K-83.32%326.08K-64.92%2.09M-64.79%2.24M-64.69%2.4M-71.44%1.95M-71.44%1.95M254.02%5.94M
Other assets --------------------------342.28K--943.18K--943.18K----
Total assets -40.22%85.52M-25.14%107.22M-30.52%106.4M-30.52%106.4M-45.68%132.88M-45.74%143.05M-60.06%143.23M-68.70%153.12M-68.70%153.12M-58.88%244.62M
Liabilities
Payables -45.62%43.7M-25.26%59.25M-21.43%58.88M-21.43%58.88M63.01%76.04M66.13%80.37M53.80%79.27M65.74%74.94M65.74%74.94M26.19%46.65M
-Accounts payable 15.76%8.29M39.89%8.16M220.95%7.35M220.95%7.35M-68.39%7.76M-70.63%7.16M-75.67%5.84M-49.06%2.29M-49.06%2.29M143.05%24.56M
-Total tax payable -73.36%11.43M-38.54%25.83M-37.76%26.01M-37.76%26.01M--40.89M--42.89M52.50%42.03M4.89%41.8M4.89%41.8M--0
-Other payable -20.89%23.99M-19.59%25.25M-17.30%25.52M-17.30%25.52M23.96%27.38M26.33%30.32M--31.41M3,426.31%30.86M3,426.31%30.86M1,372.67%22.09M
Long term debt and capital lease obligation 26.65%31.35M41.07%34.12M29.53%32.17M29.53%32.17M22.34%27.78M-14.17%24.75M-31.13%24.19M-52.70%24.84M-52.70%24.84M-57.04%22.7M
Total liabilities -27.44%82.31M-10.04%100.94M-11.33%98.68M-11.33%98.68M35.77%110.18M29.38%113.44M16.92%112.2M-8.90%111.29M-8.90%111.29M-55.95%81.16M
Shareholders'equity
Share capital 0.00%128.89M0.00%128.89M0.00%128.89M0.00%128.89M6.50%128.89M6.50%128.89M9.08%128.89M-4.49%128.89M-4.49%128.89M-10.32%121.03M
-common stock 0.00%128.89M0.00%128.89M0.00%128.89M0.00%128.89M6.50%128.89M6.50%128.89M9.08%128.89M-4.49%128.89M-4.49%128.89M-10.32%121.03M
Additional paid-in capital 4.34%-5.98M4.34%-5.98M4.34%-5.98M4.34%-5.98M-0.65%-6.26M-0.71%-6.26M-0.57%-6.26M-189.58%-6.26M-189.58%-6.26M-189.18%-6.21M
Retained earnings -28.27%-120.06M-26.88%-116.97M-41.94%-115.52M-41.94%-115.52M-338.93%-100.52M-271.53%-93.6M-165.28%-92.19M-137.74%-81.38M-137.74%-81.38M-84.23%42.07M
Other equity interest -36.70%365.89K-40.51%343.89K-44.31%321.89K-44.31%321.89K-91.22%578.05K-91.22%578.05K-93.87%578.05K-93.87%578.05K-93.87%578.05K239.81%6.58M
Total stockholders'equity -89.16%3.21M-79.76%6.28M-81.56%7.71M-81.56%7.71M-86.12%22.69M-83.17%29.61M-88.19%31.02M-88.60%41.83M-88.60%41.83M-60.20%163.46M
Total equity -89.16%3.21M-79.76%6.28M-81.56%7.71M-81.56%7.71M-86.12%22.69M-83.17%29.61M-88.19%31.02M-88.60%41.83M-88.60%41.83M-60.20%163.46M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------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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