CA Stock MarketDetailed Quotes

XTRA Xtract One Technologies Inc

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  • 0.680
  • 0.0000.00%
15min DelayMarket Closed Jun 28 16:00 ET
148.49MMarket Cap-13600P/E (TTM)

Xtract One Technologies Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q1)Oct 31, 2022
(FY)Jul 31, 2022
(Q4)Jul 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
13.91%9.74M
329.25%4.19M
139.80%5.29M
32.66%8.33M
32.66%8.33M
-19.41%8.55M
-84.77%976.69K
-68.43%2.21M
-34.97%6.28M
-34.97%6.28M
-Cash and cash equivalents
13.91%9.74M
329.25%4.19M
139.80%5.29M
32.66%8.33M
32.66%8.33M
-19.41%8.55M
-84.77%976.69K
-68.43%2.21M
-34.97%6.28M
-34.97%6.28M
-Accounts receivable
628.82%3.46M
342.46%1.51M
108.91%1.35M
16.95%847.43K
16.95%847.43K
-4.97%475.2K
-60.72%342K
11.65%648.24K
206.10%724.61K
206.10%724.61K
Current deferred assets
--359.48K
--308.47K
--165.02K
--0
--0
----
----
----
----
----
Total current assets
56.38%17.68M
184.34%9.05M
54.24%9.12M
18.67%11.8M
18.67%11.8M
-24.27%11.3M
-71.03%3.18M
-56.84%5.91M
-32.44%9.95M
-32.44%9.95M
Non current assets
-Accumulated depreciation
-11.72%-2.36M
-20.79%-2.37M
-11.01%-2.14M
----
----
-29.06%-2.11M
-26.86%-1.96M
-34.25%-1.92M
-36.28%-1.81M
-36.28%-1.81M
Investment properties
----
----
----
----
----
19.23%452.08K
40.00%510.42K
2.27%328.13K
80.00%393.75K
80.00%393.75K
-Long term equity investment
-79.19%32.03K
-65.33%63.42K
-64.86%94.19K
-65.15%124.36K
-65.15%124.36K
-64.36%153.92K
-64.50%182.91K
-55.11%268.03K
-47.31%356.84K
-47.31%356.84K
-Including:Available-for-sale securities
----
----
----
----
----
19.23%452.08K
40.00%510.42K
2.27%328.13K
80.00%393.75K
80.00%393.75K
-Goodwill
-15.97%4.24M
-15.36%4.44M
-14.79%4.64M
-14.26%4.84M
-14.26%4.84M
-83.95%5.05M
-83.42%5.25M
-82.89%5.45M
-82.37%5.65M
-82.37%5.65M
Regulatory assets
438.64%4.11M
233.76%2.15M
-14.66%1.62M
-55.28%847.43K
-55.28%847.43K
-59.19%763.67K
-71.72%644.63K
-59.68%1.9M
-41.82%1.9M
-41.82%1.9M
Total assets
125.35%650.07K
110.92%638.32K
6.07%267.57K
----
----
62.93%288.47K
25.32%302.63K
31.73%252.26K
-46.24%170.55K
-46.24%170.55K
Liabilities
Current liabilities
Current debt and capital lease obligation
-35.74%178.61K
-39.93%199.65K
-31.25%226.24K
-27.45%232.48K
-27.45%232.48K
-8.62%277.94K
8.71%332.39K
8.39%329.07K
3.82%320.44K
3.82%320.44K
-Current capital lease obligation
-35.74%178.61K
-39.93%199.65K
-31.25%226.24K
-27.45%232.48K
-27.45%232.48K
-8.62%277.94K
8.71%332.39K
8.39%329.07K
3.82%320.44K
3.82%320.44K
-accounts payable
----
----
----
----
----
----
----
----
--2.64M
--2.64M
-Total tax payable
1,932.15%3.13M
-65.33%63.42K
-64.86%94.19K
-65.15%124.36K
-65.15%124.36K
-64.36%153.92K
-64.50%182.91K
-55.11%268.03K
-47.31%356.84K
-47.31%356.84K
Current deferred liabilities
714.12%3.64M
1,032.52%4.56M
748.82%1.35M
601.62%1.38M
601.62%1.38M
81.19%447.32K
106.98%402.48K
-27.32%158.76K
-36.27%196.65K
-36.27%196.65K
Current liabilities
147.29%7.28M
42.15%7.18M
9.69%4M
30.90%4.13M
30.90%4.13M
0.32%2.94M
235.22%5.05M
133.59%3.65M
67.63%3.16M
67.63%3.16M
Non current liabilities
-Long term debt
-79.19%32.03K
-65.33%63.42K
-64.86%94.19K
-65.15%124.36K
-65.15%124.36K
-64.36%153.92K
-64.50%182.91K
-55.11%268.03K
-47.31%356.84K
-47.31%356.84K
Non current accrued expenses
40.84%2.74M
15.98%2.53M
21.95%2.45M
13.68%2.35M
13.68%2.35M
-2.82%1.95M
0.78%2.18M
-10.29%2.01M
-14.49%2.07M
-14.49%2.07M
Total non current liabilities
235.95%10.41M
38.39%7.24M
4.59%4.1M
21.15%4.26M
21.15%4.26M
-7.97%3.1M
158.85%5.23M
81.40%3.92M
37.22%3.51M
37.22%3.51M
Shareholders'equity
Share capital
7.76%143.44M
13.49%135.95M
13.45%135.91M
13.38%135.82M
13.38%135.82M
11.09%133.11M
4.22%119.8M
4.39%119.8M
4.54%119.8M
4.54%119.8M
-common stock
7.76%143.44M
13.49%135.95M
13.45%135.91M
13.38%135.82M
13.38%135.82M
11.09%133.11M
4.22%119.8M
4.39%119.8M
4.54%119.8M
4.54%119.8M
Additional paid-in capital
6.02%15.61M
2.61%14.82M
4.30%14.67M
3.65%14.42M
3.65%14.42M
8.35%14.72M
22.40%14.44M
20.13%14.06M
19.03%13.91M
19.03%13.91M
Total equity
34.73%25.26M
48.35%16.5M
20.26%16.47M
5.21%19M
5.21%19M
-61.53%18.75M
-75.37%11.12M
-71.52%13.69M
-63.44%18.06M
-63.44%18.06M
(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(Q1)Oct 31, 2022(FY)Jul 31, 2022(Q4)Jul 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 13.91%9.74M329.25%4.19M139.80%5.29M32.66%8.33M32.66%8.33M-19.41%8.55M-84.77%976.69K-68.43%2.21M-34.97%6.28M-34.97%6.28M
-Cash and cash equivalents 13.91%9.74M329.25%4.19M139.80%5.29M32.66%8.33M32.66%8.33M-19.41%8.55M-84.77%976.69K-68.43%2.21M-34.97%6.28M-34.97%6.28M
-Accounts receivable 628.82%3.46M342.46%1.51M108.91%1.35M16.95%847.43K16.95%847.43K-4.97%475.2K-60.72%342K11.65%648.24K206.10%724.61K206.10%724.61K
Current deferred assets --359.48K--308.47K--165.02K--0--0--------------------
Total current assets 56.38%17.68M184.34%9.05M54.24%9.12M18.67%11.8M18.67%11.8M-24.27%11.3M-71.03%3.18M-56.84%5.91M-32.44%9.95M-32.44%9.95M
Non current assets
-Accumulated depreciation -11.72%-2.36M-20.79%-2.37M-11.01%-2.14M---------29.06%-2.11M-26.86%-1.96M-34.25%-1.92M-36.28%-1.81M-36.28%-1.81M
Investment properties --------------------19.23%452.08K40.00%510.42K2.27%328.13K80.00%393.75K80.00%393.75K
-Long term equity investment -79.19%32.03K-65.33%63.42K-64.86%94.19K-65.15%124.36K-65.15%124.36K-64.36%153.92K-64.50%182.91K-55.11%268.03K-47.31%356.84K-47.31%356.84K
-Including:Available-for-sale securities --------------------19.23%452.08K40.00%510.42K2.27%328.13K80.00%393.75K80.00%393.75K
-Goodwill -15.97%4.24M-15.36%4.44M-14.79%4.64M-14.26%4.84M-14.26%4.84M-83.95%5.05M-83.42%5.25M-82.89%5.45M-82.37%5.65M-82.37%5.65M
Regulatory assets 438.64%4.11M233.76%2.15M-14.66%1.62M-55.28%847.43K-55.28%847.43K-59.19%763.67K-71.72%644.63K-59.68%1.9M-41.82%1.9M-41.82%1.9M
Total assets 125.35%650.07K110.92%638.32K6.07%267.57K--------62.93%288.47K25.32%302.63K31.73%252.26K-46.24%170.55K-46.24%170.55K
Liabilities
Current liabilities
Current debt and capital lease obligation -35.74%178.61K-39.93%199.65K-31.25%226.24K-27.45%232.48K-27.45%232.48K-8.62%277.94K8.71%332.39K8.39%329.07K3.82%320.44K3.82%320.44K
-Current capital lease obligation -35.74%178.61K-39.93%199.65K-31.25%226.24K-27.45%232.48K-27.45%232.48K-8.62%277.94K8.71%332.39K8.39%329.07K3.82%320.44K3.82%320.44K
-accounts payable ----------------------------------2.64M--2.64M
-Total tax payable 1,932.15%3.13M-65.33%63.42K-64.86%94.19K-65.15%124.36K-65.15%124.36K-64.36%153.92K-64.50%182.91K-55.11%268.03K-47.31%356.84K-47.31%356.84K
Current deferred liabilities 714.12%3.64M1,032.52%4.56M748.82%1.35M601.62%1.38M601.62%1.38M81.19%447.32K106.98%402.48K-27.32%158.76K-36.27%196.65K-36.27%196.65K
Current liabilities 147.29%7.28M42.15%7.18M9.69%4M30.90%4.13M30.90%4.13M0.32%2.94M235.22%5.05M133.59%3.65M67.63%3.16M67.63%3.16M
Non current liabilities
-Long term debt -79.19%32.03K-65.33%63.42K-64.86%94.19K-65.15%124.36K-65.15%124.36K-64.36%153.92K-64.50%182.91K-55.11%268.03K-47.31%356.84K-47.31%356.84K
Non current accrued expenses 40.84%2.74M15.98%2.53M21.95%2.45M13.68%2.35M13.68%2.35M-2.82%1.95M0.78%2.18M-10.29%2.01M-14.49%2.07M-14.49%2.07M
Total non current liabilities 235.95%10.41M38.39%7.24M4.59%4.1M21.15%4.26M21.15%4.26M-7.97%3.1M158.85%5.23M81.40%3.92M37.22%3.51M37.22%3.51M
Shareholders'equity
Share capital 7.76%143.44M13.49%135.95M13.45%135.91M13.38%135.82M13.38%135.82M11.09%133.11M4.22%119.8M4.39%119.8M4.54%119.8M4.54%119.8M
-common stock 7.76%143.44M13.49%135.95M13.45%135.91M13.38%135.82M13.38%135.82M11.09%133.11M4.22%119.8M4.39%119.8M4.54%119.8M4.54%119.8M
Additional paid-in capital 6.02%15.61M2.61%14.82M4.30%14.67M3.65%14.42M3.65%14.42M8.35%14.72M22.40%14.44M20.13%14.06M19.03%13.91M19.03%13.91M
Total equity 34.73%25.26M48.35%16.5M20.26%16.47M5.21%19M5.21%19M-61.53%18.75M-75.37%11.12M-71.52%13.69M-63.44%18.06M-63.44%18.06M

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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