(Q1)May 31, 2024 | (FY)Feb 29, 2024 | (Q4)Feb 29, 2024 | (Q3)Nov 30, 2023 | (Q2)Aug 31, 2023 | (Q1)May 31, 2023 | (FY)Feb 28, 2023 | (Q4)Feb 28, 2023 | (Q3)Nov 30, 2022 | (Q2)Aug 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -29.44%41.53M | -17.48%41.72M | -17.48%41.72M | -25.65%30.31M | -1.29%41.49M | -0.81%58.86M | -19.43%50.55M | -19.43%50.55M | --40.76M | -46.21%42.04M |
-Cash and cash equivalents | -39.16%35.8M | -27.85%36.45M | -27.85%36.45M | -3.38%30.3M | 25.92%41.47M | 18.58%58.84M | -6.48%50.51M | -6.48%50.51M | --31.35M | -56.91%32.94M |
-Accounts receivable | 16.42%105.66M | -2.81%109.87M | -2.81%109.87M | -14.72%97.43M | -9.01%99.28M | -7.94%90.76M | 4.96%113.05M | 4.96%113.05M | --114.25M | -13.46%109.11M |
-Other receivables | ---- | -30.59%2.39M | -30.59%2.39M | ---- | ---- | ---- | -11.39%3.44M | -11.39%3.44M | ---- | ---- |
Total current assets | 0.56%383.45M | -0.28%387.01M | -0.28%387.01M | -4.29%371.16M | 0.53%382.17M | -4.18%381.32M | -5.83%388.11M | -5.83%388.11M | --387.79M | -17.01%380.15M |
Non current assets | ||||||||||
-Accumulated depreciation | ---- | -3.90%-167.37M | -3.90%-167.37M | ---- | ---- | ---- | 1.01%-161.1M | 1.01%-161.1M | ---- | ---- |
-Long term equity investment | 2.35%30.61M | -50.66%15.38M | -50.66%15.38M | -0.83%30.39M | -0.12%31.48M | -12.52%29.91M | -8.30%31.18M | -8.30%31.18M | --30.64M | -54.14%31.52M |
-Including:Held to maturity investments | 5.21%202K | 16.82%125K | 16.82%125K | -60.41%135K | -79.68%141K | -70.46%192K | -80.65%107K | -80.65%107K | --341K | 837.84%694K |
Non current note receivables | 26.65%6.02M | 11.37%5.19M | 11.37%5.19M | 16.13%5.32M | 32.31%4.85M | 11.41%4.75M | -2.33%4.66M | -2.33%4.66M | --4.58M | -88.69%3.67M |
-Goodwill | 4.96%16.96M | 2.41%16.54M | 2.41%16.54M | 3.29%16.12M | 4.15%16.25M | 3.29%16.16M | -3.23%16.15M | -3.23%16.15M | --15.6M | -7.61%15.61M |
Regulatory assets | 14.96%112.04M | -0.94%126.05M | -0.94%126.05M | -14.09%104.5M | -7.89%105.62M | -4.53%97.46M | 7.12%127.25M | 7.12%127.25M | --121.64M | -11.56%114.68M |
Total assets | -4.87%6.37M | -1.02%6.13M | -1.02%6.13M | -4.37%7.07M | 13.88%6.34M | 91.59%6.7M | 109.64%6.2M | 109.64%6.2M | --7.39M | 55.15%5.57M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -12.41%8.66M | 167.47%26.04M | 167.47%26.04M | -17.61%13.68M | 39.79%17.1M | -15.14%9.89M | -2.85%9.74M | -2.85%9.74M | --16.6M | -34.32%12.23M |
-Current debt | -79.13%1.78M | -80.95%1.61M | -80.95%1.61M | -21.15%12.12M | 41.05%15.46M | -16.68%8.52M | -2.59%8.44M | -2.59%8.44M | --15.38M | -35.65%10.96M |
-Bank in debtedness | --5.32M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Current capital lease obligation | 14.70%1.57M | 1,782.20%24.43M | 1,782.20%24.43M | 27.03%1.55M | 28.96%1.64M | -4.07%1.37M | -4.56%1.3M | -4.56%1.3M | --1.22M | -20.13%1.27M |
-accounts payable | 8.84%86.15M | 16.03%46.29M | 16.03%46.29M | --74.88M | 7.78%74.93M | 0.34%79.15M | 16.30%39.9M | 16.30%39.9M | ---- | -31.75%69.52M |
-Total tax payable | 8.27%148.97M | -3.08%135.75M | -3.08%135.75M | 78.44%138.46M | 70.04%138.72M | 65.78%137.59M | 58.73%140.06M | 58.73%140.06M | --77.59M | 1.21%81.58M |
-Other payable | 11.47%729K | 0.83%729K | 0.83%729K | 0.31%654K | -6.58%653K | -18.25%654K | -19.40%723K | -19.40%723K | --652K | -18.15%699K |
Current accrued expenses | ---- | 9.47%34.41M | 9.47%34.41M | ---- | ---- | ---- | -18.49%31.43M | -18.49%31.43M | --78.81M | ---- |
Current provisions | -20.08%13.91M | -14.29%14.13M | -14.29%14.13M | 22.80%18.35M | 21.65%18.5M | -3.20%17.4M | -10.62%16.49M | -10.62%16.49M | --14.94M | -44.19%15.2M |
Current deferred liabilities | 17.04%35.65M | 7.78%30.4M | 7.78%30.4M | -28.08%29.33M | -36.24%30.16M | -30.20%30.46M | -31.79%28.2M | -31.79%28.2M | --40.78M | -40.67%47.31M |
Current liabilities | 4.63%145.82M | 17.10%160.39M | 17.10%160.39M | -10.03%137.86M | -2.90%142.27M | -10.03%139.38M | -11.45%136.96M | -11.45%136.96M | --153.22M | -36.00%146.53M |
Non current liabilities | ||||||||||
-Long term debt | 20.93%11.12M | 16.68%11.04M | 16.68%11.04M | 14.73%11.1M | 20.07%11.45M | -11.03%9.19M | -14.59%9.46M | -14.59%9.46M | --9.67M | -21.82%9.54M |
Non current accrued expenses | 3.59%69.98M | 2.51%69.92M | 2.51%69.92M | 0.84%69.12M | 2.47%70.1M | -5.64%67.55M | -7.71%68.21M | -7.71%68.21M | --68.55M | -25.51%68.4M |
Long term provisions | -5.89%19.49M | -79.99%4.35M | -79.99%4.35M | -8.00%19.29M | -8.88%20.03M | -13.17%20.72M | -5.27%21.72M | -5.27%21.72M | --20.97M | -61.11%21.98M |
Total non current liabilities | 6.44%294.79M | 6.90%296.13M | 6.90%296.13M | 19.71%276.31M | 23.18%280.99M | 16.42%276.97M | 14.04%277.02M | 14.04%277.02M | --230.81M | -26.31%228.11M |
Shareholders'equity | ||||||||||
Share capital | 0.00%72.7M | 0.00%72.7M | 0.00%72.7M | 0.00%72.7M | 0.00%72.7M | 0.00%72.7M | 0.00%72.7M | 0.00%72.7M | --72.7M | 0.00%72.7M |
-common stock | 0.00%72.7M | 0.00%72.7M | 0.00%72.7M | 0.00%72.7M | 0.00%72.7M | 0.00%72.7M | 0.00%72.7M | 0.00%72.7M | --72.7M | 0.00%72.7M |
Additional paid-in capital | 0.00%6.26M | 0.00%6.26M | 0.00%6.26M | 0.00%6.26M | 0.00%6.26M | 0.00%6.26M | 0.00%6.26M | 0.00%6.26M | --6.26M | 0.00%6.26M |
Gains losses not affecting retained earnings | 3.40%-38.45M | 6.11%-38.69M | 6.11%-38.69M | 10.93%-37.97M | 16.83%-38.1M | -4.59%-39.8M | -28.27%-41.21M | -28.27%-41.21M | ---42.63M | -87.79%-45.81M |
Total equity | 1.42%477.14M | 0.32%479.39M | 0.32%479.39M | -3.10%462.38M | 1.17%474.02M | -4.04%470.44M | -6.01%477.86M | -6.01%477.86M | --477.17M | -22.68%468.52M |
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.
No Data