US Stock MarketDetailed Quotes

TRLFF MAVEN BRANDS INC

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  • 0.000010
  • 0.0000000.00%
15min DelayClose Nov 27 16:00 ET
351.41Market Cap0.00P/E (TTM)

MAVEN BRANDS INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
(Q1)Jun 30, 2022
(FY)Mar 31, 2022
(Q4)Mar 31, 2022
(Q3)Dec 31, 2021
(Q2)Sep 30, 2021
(Q1)Jun 30, 2021
(FY)Mar 31, 2021
(Q4)Mar 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-86.45%41.11K
273.72%27.56K
-45.12%106.24K
-60.92%187.9K
-60.92%187.9K
135.63%303.4K
-82.56%7.37K
49.98%193.58K
35.84%480.83K
35.84%480.83K
-Cash and cash equivalents
-86.45%41.11K
273.72%27.56K
-45.12%106.24K
-60.92%187.9K
-60.92%187.9K
135.63%303.4K
-82.56%7.37K
150.37%193.58K
59.10%480.83K
59.10%480.83K
Receivables
-83.01%11K
-25.67%28.31K
-56.68%32.47K
-88.44%20.3K
-88.44%20.3K
-62.92%64.73K
-74.51%38.08K
-81.83%74.93K
-56.17%175.66K
-56.17%175.66K
-Accounts receivable
----
-85.56%2.75K
----
----
----
----
--19.04K
----
----
----
-Taxes receivable
--0
715.70%25.56K
-41.35%32.47K
-87.90%20.3K
-87.90%20.3K
-93.13%11.65K
-97.83%3.13K
-64.14%55.35K
15.27%167.72K
15.27%167.72K
-Other receivables
-79.28%11K
----
----
----
----
961.72%53.09K
229.93%15.91K
-63.66%19.58K
-88.39%7.93K
-88.39%7.93K
Inventory
----
----
----
----
----
----
--18.59K
-73.71%10.26K
----
----
Prepaid assets
-67.95%136.14K
-16.04%129.46K
-65.63%130.73K
-64.38%140.47K
-64.38%140.47K
85.54%424.8K
-59.00%154.18K
2.33%380.4K
23.70%394.35K
23.70%394.35K
Other current assets
----
----
----
----
----
----
---19.04K
----
----
----
Total current assets
-11.43%702.27K
291.33%779.49K
16.29%766.56K
-40.20%628.37K
-40.20%628.37K
48.96%792.94K
-64.91%199.19K
-34.67%659.19K
-13.63%1.05M
-13.63%1.05M
Non current assets
Net PPE
-4.80%4.32M
-4.03%4.34M
-7.36%4.37M
-2.18%4.39M
-2.18%4.39M
3.02%4.53M
2.17%4.52M
5.75%4.71M
0.14%4.49M
0.14%4.49M
-Gross PPE
-2.34%4.73M
-1.52%4.73M
-4.69%4.73M
0.44%4.73M
0.44%4.73M
5.58%4.85M
4.73%4.81M
8.20%4.97M
2.68%4.71M
2.68%4.71M
-Accumulated depreciation
-33.08%-419.58K
-38.24%-394.33K
-44.50%-368.87K
-52.51%-343.85K
-52.51%-343.85K
-64.09%-315.29K
-73.65%-285.25K
-89.36%-255.27K
-107.75%-225.46K
-107.75%-225.46K
Goodwill and other intangible assets
-28.61%38.64K
-26.07%42.54K
-22.14%47.03K
-20.40%50.35K
-20.40%50.35K
0.23%54.13K
5.88%57.55K
9.02%60.4K
14.90%63.26K
14.90%63.26K
-Other intangible assets
-28.61%38.64K
-26.07%42.54K
-22.14%47.03K
-20.40%50.35K
-20.40%50.35K
0.23%54.13K
5.88%57.55K
9.02%60.4K
14.90%63.26K
14.90%63.26K
Total non current assets
-5.08%4.35M
-4.31%4.38M
-7.55%4.41M
-2.43%4.44M
-2.43%4.44M
2.99%4.59M
2.22%4.58M
5.79%4.77M
0.32%4.55M
0.32%4.55M
Total assets
-6.02%5.06M
8.01%5.16M
-4.65%5.18M
-9.51%5.07M
-9.51%5.07M
7.90%5.38M
-5.33%4.78M
-1.60%5.43M
-2.63%5.6M
-2.63%5.6M
Liabilities
Current liabilities
Payables
----
----
----
----
----
--327.55K
--675.51K
-70.63%814.54K
----
----
-accounts payable
----
----
----
----
----
--327.55K
--675.51K
-70.63%814.54K
----
----
Current debt and capital lease obligation
185.71%6M
29.79%6.1M
29.79%6.1M
29.79%6.1M
29.79%6.1M
-55.32%2.1M
-32.68%4.7M
-26.40%4.7M
-19.79%4.7M
-19.79%4.7M
-Current debt
185.71%6M
29.79%6.1M
29.79%6.1M
29.79%6.1M
29.79%6.1M
-55.32%2.1M
-32.68%4.7M
-26.40%4.7M
-19.79%4.7M
-19.79%4.7M
Current liabilities
178.03%6.75M
35.26%7.27M
25.24%6.91M
25.36%6.53M
25.36%6.53M
-56.33%2.43M
-43.00%5.38M
-39.79%5.51M
-33.53%5.21M
-33.53%5.21M
Non current liabilities
Long term debt and capital lease obligation
----
----
----
----
----
--4M
----
----
----
----
-Long term debt
----
----
----
----
----
--4M
----
----
----
----
Non current deferred liabilities
--63K
--63K
--63K
--63K
--63K
----
----
----
--0
--0
Total non current liabilities
-98.43%63K
--63K
--63K
--63K
--63K
399,999,900.00%4M
--0
--0
--0
--0
Total liabilities
5.99%6.81M
36.43%7.33M
26.38%6.97M
26.57%6.59M
26.57%6.59M
15.63%6.43M
-43.00%5.38M
-39.79%5.51M
-33.53%5.21M
-33.53%5.21M
Shareholders'equity
Share capital
-0.02%32.38M
0.82%32.37M
0.90%32.37M
0.90%32.37M
0.90%32.37M
6.19%32.38M
33.99%32.11M
33.89%32.08M
33.89%32.08M
33.89%32.08M
-common stock
-0.02%32.38M
0.82%32.37M
0.90%32.37M
0.90%32.37M
0.90%32.37M
6.19%32.38M
33.99%32.11M
33.89%32.08M
33.89%32.08M
33.89%32.08M
Retained earnings
-1.95%-39.65M
-5.01%-40.01M
-5.66%-39.62M
-6.68%-39.36M
-6.68%-39.36M
-8.02%-38.89M
-14.78%-38.1M
-16.20%-37.5M
-20.29%-36.89M
-20.29%-36.89M
Gains losses not affecting retained earnings
0.97%5.51M
1.26%5.46M
2.40%5.46M
5.02%5.46M
5.02%5.46M
10.64%5.46M
11.28%5.4M
14.16%5.34M
12.48%5.2M
12.48%5.2M
Total stockholders'equity
-67.62%-1.76M
-264.29%-2.17M
-2,077.12%-1.79M
-483.50%-1.52M
-483.50%-1.52M
-83.01%-1.05M
86.40%-596.02K
97.74%-82.2K
119.07%396.33K
119.07%396.33K
Total equity
-67.62%-1.76M
-264.29%-2.17M
-2,077.12%-1.79M
-483.50%-1.52M
-483.50%-1.52M
-83.01%-1.05M
86.40%-596.02K
97.74%-82.2K
119.07%396.33K
119.07%396.33K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Dec 31, 2022(Q2)Sep 30, 2022(Q1)Jun 30, 2022(FY)Mar 31, 2022(Q4)Mar 31, 2022(Q3)Dec 31, 2021(Q2)Sep 30, 2021(Q1)Jun 30, 2021(FY)Mar 31, 2021(Q4)Mar 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -86.45%41.11K273.72%27.56K-45.12%106.24K-60.92%187.9K-60.92%187.9K135.63%303.4K-82.56%7.37K49.98%193.58K35.84%480.83K35.84%480.83K
-Cash and cash equivalents -86.45%41.11K273.72%27.56K-45.12%106.24K-60.92%187.9K-60.92%187.9K135.63%303.4K-82.56%7.37K150.37%193.58K59.10%480.83K59.10%480.83K
Receivables -83.01%11K-25.67%28.31K-56.68%32.47K-88.44%20.3K-88.44%20.3K-62.92%64.73K-74.51%38.08K-81.83%74.93K-56.17%175.66K-56.17%175.66K
-Accounts receivable -----85.56%2.75K------------------19.04K------------
-Taxes receivable --0715.70%25.56K-41.35%32.47K-87.90%20.3K-87.90%20.3K-93.13%11.65K-97.83%3.13K-64.14%55.35K15.27%167.72K15.27%167.72K
-Other receivables -79.28%11K----------------961.72%53.09K229.93%15.91K-63.66%19.58K-88.39%7.93K-88.39%7.93K
Inventory --------------------------18.59K-73.71%10.26K--------
Prepaid assets -67.95%136.14K-16.04%129.46K-65.63%130.73K-64.38%140.47K-64.38%140.47K85.54%424.8K-59.00%154.18K2.33%380.4K23.70%394.35K23.70%394.35K
Other current assets ---------------------------19.04K------------
Total current assets -11.43%702.27K291.33%779.49K16.29%766.56K-40.20%628.37K-40.20%628.37K48.96%792.94K-64.91%199.19K-34.67%659.19K-13.63%1.05M-13.63%1.05M
Non current assets
Net PPE -4.80%4.32M-4.03%4.34M-7.36%4.37M-2.18%4.39M-2.18%4.39M3.02%4.53M2.17%4.52M5.75%4.71M0.14%4.49M0.14%4.49M
-Gross PPE -2.34%4.73M-1.52%4.73M-4.69%4.73M0.44%4.73M0.44%4.73M5.58%4.85M4.73%4.81M8.20%4.97M2.68%4.71M2.68%4.71M
-Accumulated depreciation -33.08%-419.58K-38.24%-394.33K-44.50%-368.87K-52.51%-343.85K-52.51%-343.85K-64.09%-315.29K-73.65%-285.25K-89.36%-255.27K-107.75%-225.46K-107.75%-225.46K
Goodwill and other intangible assets -28.61%38.64K-26.07%42.54K-22.14%47.03K-20.40%50.35K-20.40%50.35K0.23%54.13K5.88%57.55K9.02%60.4K14.90%63.26K14.90%63.26K
-Other intangible assets -28.61%38.64K-26.07%42.54K-22.14%47.03K-20.40%50.35K-20.40%50.35K0.23%54.13K5.88%57.55K9.02%60.4K14.90%63.26K14.90%63.26K
Total non current assets -5.08%4.35M-4.31%4.38M-7.55%4.41M-2.43%4.44M-2.43%4.44M2.99%4.59M2.22%4.58M5.79%4.77M0.32%4.55M0.32%4.55M
Total assets -6.02%5.06M8.01%5.16M-4.65%5.18M-9.51%5.07M-9.51%5.07M7.90%5.38M-5.33%4.78M-1.60%5.43M-2.63%5.6M-2.63%5.6M
Liabilities
Current liabilities
Payables ----------------------327.55K--675.51K-70.63%814.54K--------
-accounts payable ----------------------327.55K--675.51K-70.63%814.54K--------
Current debt and capital lease obligation 185.71%6M29.79%6.1M29.79%6.1M29.79%6.1M29.79%6.1M-55.32%2.1M-32.68%4.7M-26.40%4.7M-19.79%4.7M-19.79%4.7M
-Current debt 185.71%6M29.79%6.1M29.79%6.1M29.79%6.1M29.79%6.1M-55.32%2.1M-32.68%4.7M-26.40%4.7M-19.79%4.7M-19.79%4.7M
Current liabilities 178.03%6.75M35.26%7.27M25.24%6.91M25.36%6.53M25.36%6.53M-56.33%2.43M-43.00%5.38M-39.79%5.51M-33.53%5.21M-33.53%5.21M
Non current liabilities
Long term debt and capital lease obligation ----------------------4M----------------
-Long term debt ----------------------4M----------------
Non current deferred liabilities --63K--63K--63K--63K--63K--------------0--0
Total non current liabilities -98.43%63K--63K--63K--63K--63K399,999,900.00%4M--0--0--0--0
Total liabilities 5.99%6.81M36.43%7.33M26.38%6.97M26.57%6.59M26.57%6.59M15.63%6.43M-43.00%5.38M-39.79%5.51M-33.53%5.21M-33.53%5.21M
Shareholders'equity
Share capital -0.02%32.38M0.82%32.37M0.90%32.37M0.90%32.37M0.90%32.37M6.19%32.38M33.99%32.11M33.89%32.08M33.89%32.08M33.89%32.08M
-common stock -0.02%32.38M0.82%32.37M0.90%32.37M0.90%32.37M0.90%32.37M6.19%32.38M33.99%32.11M33.89%32.08M33.89%32.08M33.89%32.08M
Retained earnings -1.95%-39.65M-5.01%-40.01M-5.66%-39.62M-6.68%-39.36M-6.68%-39.36M-8.02%-38.89M-14.78%-38.1M-16.20%-37.5M-20.29%-36.89M-20.29%-36.89M
Gains losses not affecting retained earnings 0.97%5.51M1.26%5.46M2.40%5.46M5.02%5.46M5.02%5.46M10.64%5.46M11.28%5.4M14.16%5.34M12.48%5.2M12.48%5.2M
Total stockholders'equity -67.62%-1.76M-264.29%-2.17M-2,077.12%-1.79M-483.50%-1.52M-483.50%-1.52M-83.01%-1.05M86.40%-596.02K97.74%-82.2K119.07%396.33K119.07%396.33K
Total equity -67.62%-1.76M-264.29%-2.17M-2,077.12%-1.79M-483.50%-1.52M-483.50%-1.52M-83.01%-1.05M86.40%-596.02K97.74%-82.2K119.07%396.33K119.07%396.33K
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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