US Stock MarketDetailed Quotes

ZBAI ATIF Holdings

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  • 1.450
  • +0.047+3.34%
Close Jan 3 16:00 ET
  • 1.500
  • +0.050+3.45%
Post 19:44 ET
17.28MMarket Cap-5.18P/E (TTM)

ATIF Holdings Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Oct 31, 2024
(FY)Jul 31, 2024
(Q4)Jul 31, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
464.49%4.63M
127.17%1.67M
127.17%1.67M
213.51%2.36M
-23.84%687.73K
-57.47%820.58K
-58.69%736.67K
-58.69%736.67K
--751.25K
-85.33%903.01K
-Cash and cash equivalents
26.73%457.76K
106.16%1.25M
106.16%1.25M
352.57%2.12M
-83.22%139.15K
-80.69%361.23K
-65.37%606.02K
-65.37%606.02K
--467.59K
-77.70%829.39K
-Short-term investments
808.73%4.17M
224.65%424.15K
224.65%424.15K
-15.72%239.07K
645.07%548.58K
688.66%459.35K
291.80%130.65K
291.80%130.65K
--283.67K
-96.98%73.63K
Receivables
63.17%1.1M
-14.76%1.1M
-14.76%1.1M
-90.21%520.54K
-90.02%520.54K
-81.89%674.14K
-62.23%1.29M
-62.23%1.29M
--5.32M
126.75%5.22M
-Accounts receivable
-69.40%200K
-84.00%200K
-84.00%200K
-92.04%200K
-79.27%500K
-24.18%653.6K
64.04%1.25M
64.04%1.25M
--2.51M
--2.41M
-Related party accounts receivable
4,281.91%900K
2,120.08%900K
2,120.08%900K
-88.57%320.54K
-99.27%20.54K
-99.28%20.54K
-98.47%40.54K
-98.47%40.54K
--2.8M
21.88%2.8M
Prepaid assets
-87.91%51K
-75.60%123K
-75.60%123K
-45.92%311.5K
-36.81%409.5K
-39.37%422K
-32.89%504K
-32.89%504K
--576K
-15.75%648K
Other current assets
-93.91%2.22K
-80.78%2.22K
-80.78%2.22K
-92.46%2.22K
-91.76%2.22K
--36.54K
-71.92%11.57K
-71.92%11.57K
--29.5K
-78.58%26.98K
Total current assets
196.19%5.79M
14.00%2.9M
14.00%2.9M
-52.20%3.19M
-76.15%1.62M
-69.23%1.95M
-57.57%2.54M
-57.57%2.54M
--6.67M
-27.36%6.79M
Non current assets
Net PPE
-90.40%99.24K
-90.12%113.84K
-90.12%113.84K
-90.68%130.63K
-45.34%835.4K
-37.48%1.03M
-30.41%1.15M
-30.41%1.15M
--1.4M
126.56%1.53M
-Gross PPE
-77.93%254.77K
-79.17%263.08K
-79.17%263.08K
-82.34%270.21K
-41.13%965.3K
-33.99%1.15M
-27.18%1.26M
-27.18%1.26M
--1.53M
113.45%1.64M
-Accumulated depreciation
-29.35%-155.53K
-34.98%-149.24K
-34.98%-149.24K
-8.90%-139.57K
-16.49%-129.91K
-26.76%-120.24K
-41.39%-110.57K
-41.39%-110.57K
---128.17K
-19.07%-111.51K
Goodwill and other intangible assets
----
--0
--0
-85.72%13.33K
-70.59%33.33K
-60.00%53.33K
-52.17%73.33K
-52.17%73.33K
--93.33K
-41.38%113.33K
-Other intangible assets
----
----
----
-85.72%13.33K
-70.59%33.33K
-60.00%53.33K
-52.17%73.33K
-52.17%73.33K
--93.33K
-41.38%113.33K
Investments and advances
----
----
----
----
----
----
----
----
--0
--0
Related parties assets
4,281.91%900K
2,120.08%900K
2,120.08%900K
-88.57%320.54K
-99.27%20.54K
-99.28%20.54K
-98.47%40.54K
-98.47%40.54K
--2.8M
21.88%2.8M
Total non current assets
-90.87%99.24K
-90.71%113.84K
-90.71%113.84K
-90.37%143.96K
-47.08%868.73K
-50.88%1.09M
-42.84%1.23M
-42.84%1.23M
--1.5M
89.15%1.64M
Total assets
93.53%5.88M
-20.06%3.01M
-20.06%3.01M
-59.19%3.33M
-70.49%2.49M
-64.49%3.04M
-53.69%3.77M
-53.69%3.77M
--8.17M
-17.47%8.43M
Liabilities
Current liabilities
Payables
-97.53%19.99K
-88.23%89.61K
-88.23%89.61K
-96.44%59.45K
-48.57%802.54K
-66.97%809.46K
-66.55%761.17K
-66.55%761.17K
--1.67M
10.03%1.56M
-accounts payable
----
----
----
----
----
----
----
----
--482
--482
-Total tax payable
-35.95%19.99K
-35.95%19.99K
-35.95%19.99K
-97.10%16.69K
-95.72%24.29K
--31.2K
--31.2K
--31.2K
--575.06K
869.49%566.96K
-Due to related parties current
----
--0
--0
--0
--712.26K
--712.26K
--729.97K
--729.97K
----
----
-Other payable
----
--69.62K
--69.62K
-96.09%42.77K
-93.35%66K
-97.31%66K
----
----
--1.09M
-26.97%993.11K
Current accrued expenses
62.01%500K
155.85%750K
155.85%750K
-76.01%79.49K
39.59%361.7K
58.31%308.62K
--293.14K
--293.14K
--331.39K
-48.86%259.12K
Current debt and capital lease obligation
-94.49%20.68K
-97.26%11.38K
-97.26%11.38K
-87.24%61.05K
-43.30%289.95K
-28.32%375.28K
-4.08%415.41K
-4.08%415.41K
--478.46K
94.91%511.37K
-Current capital lease obligation
-94.49%20.68K
-97.26%11.38K
-97.26%11.38K
-87.24%61.05K
-43.30%289.95K
-28.32%375.28K
-4.08%415.41K
-4.08%415.41K
--478.46K
94.91%511.37K
Current deferred liabilities
----
--0
--0
--0
--0
--0
-22.89%70K
-22.89%70K
--70K
-74.44%70K
Other current liabilities
3,473.91%84.38K
--137.44K
--137.44K
----
-99.87%118
-96.50%2.36K
----
----
--87.55K
-14.69%87.63K
Current liabilities
-58.21%625.05K
-35.81%988.42K
-35.81%988.42K
-92.41%200K
-41.56%1.45M
-54.76%1.5M
-44.99%1.54M
-44.99%1.54M
--2.64M
-2.94%2.49M
Non current liabilities
Long term debt and capital lease obligation
-98.13%11.79K
-97.04%20.42K
-97.04%20.42K
-96.14%28.86K
-36.06%528.16K
-33.32%630.99K
-30.02%689.5K
-30.02%689.5K
--747.48K
204.93%826.07K
-Long term capital lease obligation
-98.13%11.79K
-97.04%20.42K
-97.04%20.42K
-96.14%28.86K
-36.06%528.16K
-33.32%630.99K
-30.02%689.5K
-30.02%689.5K
--747.48K
204.93%826.07K
Total non current liabilities
-58.51%261.79K
-60.78%270.42K
-60.78%270.42K
-96.14%28.86K
-36.06%528.16K
-33.32%630.99K
-30.02%689.5K
-30.02%689.5K
--747.48K
204.93%826.07K
Total liabilities
-58.30%886.84K
-43.53%1.26M
-43.53%1.26M
-93.24%228.86K
-40.19%1.98M
-49.99%2.13M
-41.09%2.23M
-41.09%2.23M
--3.38M
16.93%3.31M
Shareholders'equity
Share capital
23.79%11.92K
23.79%11.92K
23.79%11.92K
23.79%11.92K
0.00%9.63K
0.00%9.63K
0.00%9.63K
0.00%9.63K
--9.63K
0.00%9.63K
-common stock
23.79%11.92K
23.79%11.92K
23.79%11.92K
23.79%11.92K
0.00%9.63K
0.00%9.63K
0.00%9.63K
0.00%9.63K
--9.63K
0.00%9.63K
Retained earnings
-10.37%-31.23M
-11.54%-30.86M
-11.54%-30.86M
-19.09%-29.51M
-17.42%-28.7M
-12.04%-28.29M
-11.63%-27.67M
-11.63%-27.67M
---24.78M
-0.92%-24.44M
Paid-in capital
24.03%36.21M
11.66%32.6M
11.66%32.6M
11.66%32.6M
0.00%29.2M
0.00%29.2M
-1.02%29.2M
-1.02%29.2M
--29.2M
-7.30%29.2M
Gains losses not affecting retained earnings
----
----
----
----
----
----
----
----
--355.91K
102.67%355.91K
Total stockholders'equity
446.86%5M
13.93%1.75M
13.93%1.75M
-35.11%3.1M
-90.11%506.25K
-78.79%913.89K
-67.40%1.54M
-67.40%1.54M
--4.78M
-31.38%5.12M
Noncontrolling interests
----
----
----
----
----
----
----
----
--0
--0
Total equity
446.86%5M
13.93%1.75M
13.93%1.75M
-35.11%3.1M
-90.11%506.25K
-78.79%913.89K
-64.63%1.54M
-64.63%1.54M
--4.78M
-30.67%5.12M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Oct 31, 2024(FY)Jul 31, 2024(Q4)Jul 31, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments 464.49%4.63M127.17%1.67M127.17%1.67M213.51%2.36M-23.84%687.73K-57.47%820.58K-58.69%736.67K-58.69%736.67K--751.25K-85.33%903.01K
-Cash and cash equivalents 26.73%457.76K106.16%1.25M106.16%1.25M352.57%2.12M-83.22%139.15K-80.69%361.23K-65.37%606.02K-65.37%606.02K--467.59K-77.70%829.39K
-Short-term investments 808.73%4.17M224.65%424.15K224.65%424.15K-15.72%239.07K645.07%548.58K688.66%459.35K291.80%130.65K291.80%130.65K--283.67K-96.98%73.63K
Receivables 63.17%1.1M-14.76%1.1M-14.76%1.1M-90.21%520.54K-90.02%520.54K-81.89%674.14K-62.23%1.29M-62.23%1.29M--5.32M126.75%5.22M
-Accounts receivable -69.40%200K-84.00%200K-84.00%200K-92.04%200K-79.27%500K-24.18%653.6K64.04%1.25M64.04%1.25M--2.51M--2.41M
-Related party accounts receivable 4,281.91%900K2,120.08%900K2,120.08%900K-88.57%320.54K-99.27%20.54K-99.28%20.54K-98.47%40.54K-98.47%40.54K--2.8M21.88%2.8M
Prepaid assets -87.91%51K-75.60%123K-75.60%123K-45.92%311.5K-36.81%409.5K-39.37%422K-32.89%504K-32.89%504K--576K-15.75%648K
Other current assets -93.91%2.22K-80.78%2.22K-80.78%2.22K-92.46%2.22K-91.76%2.22K--36.54K-71.92%11.57K-71.92%11.57K--29.5K-78.58%26.98K
Total current assets 196.19%5.79M14.00%2.9M14.00%2.9M-52.20%3.19M-76.15%1.62M-69.23%1.95M-57.57%2.54M-57.57%2.54M--6.67M-27.36%6.79M
Non current assets
Net PPE -90.40%99.24K-90.12%113.84K-90.12%113.84K-90.68%130.63K-45.34%835.4K-37.48%1.03M-30.41%1.15M-30.41%1.15M--1.4M126.56%1.53M
-Gross PPE -77.93%254.77K-79.17%263.08K-79.17%263.08K-82.34%270.21K-41.13%965.3K-33.99%1.15M-27.18%1.26M-27.18%1.26M--1.53M113.45%1.64M
-Accumulated depreciation -29.35%-155.53K-34.98%-149.24K-34.98%-149.24K-8.90%-139.57K-16.49%-129.91K-26.76%-120.24K-41.39%-110.57K-41.39%-110.57K---128.17K-19.07%-111.51K
Goodwill and other intangible assets ------0--0-85.72%13.33K-70.59%33.33K-60.00%53.33K-52.17%73.33K-52.17%73.33K--93.33K-41.38%113.33K
-Other intangible assets -------------85.72%13.33K-70.59%33.33K-60.00%53.33K-52.17%73.33K-52.17%73.33K--93.33K-41.38%113.33K
Investments and advances ----------------------------------0--0
Related parties assets 4,281.91%900K2,120.08%900K2,120.08%900K-88.57%320.54K-99.27%20.54K-99.28%20.54K-98.47%40.54K-98.47%40.54K--2.8M21.88%2.8M
Total non current assets -90.87%99.24K-90.71%113.84K-90.71%113.84K-90.37%143.96K-47.08%868.73K-50.88%1.09M-42.84%1.23M-42.84%1.23M--1.5M89.15%1.64M
Total assets 93.53%5.88M-20.06%3.01M-20.06%3.01M-59.19%3.33M-70.49%2.49M-64.49%3.04M-53.69%3.77M-53.69%3.77M--8.17M-17.47%8.43M
Liabilities
Current liabilities
Payables -97.53%19.99K-88.23%89.61K-88.23%89.61K-96.44%59.45K-48.57%802.54K-66.97%809.46K-66.55%761.17K-66.55%761.17K--1.67M10.03%1.56M
-accounts payable ----------------------------------482--482
-Total tax payable -35.95%19.99K-35.95%19.99K-35.95%19.99K-97.10%16.69K-95.72%24.29K--31.2K--31.2K--31.2K--575.06K869.49%566.96K
-Due to related parties current ------0--0--0--712.26K--712.26K--729.97K--729.97K--------
-Other payable ------69.62K--69.62K-96.09%42.77K-93.35%66K-97.31%66K----------1.09M-26.97%993.11K
Current accrued expenses 62.01%500K155.85%750K155.85%750K-76.01%79.49K39.59%361.7K58.31%308.62K--293.14K--293.14K--331.39K-48.86%259.12K
Current debt and capital lease obligation -94.49%20.68K-97.26%11.38K-97.26%11.38K-87.24%61.05K-43.30%289.95K-28.32%375.28K-4.08%415.41K-4.08%415.41K--478.46K94.91%511.37K
-Current capital lease obligation -94.49%20.68K-97.26%11.38K-97.26%11.38K-87.24%61.05K-43.30%289.95K-28.32%375.28K-4.08%415.41K-4.08%415.41K--478.46K94.91%511.37K
Current deferred liabilities ------0--0--0--0--0-22.89%70K-22.89%70K--70K-74.44%70K
Other current liabilities 3,473.91%84.38K--137.44K--137.44K-----99.87%118-96.50%2.36K----------87.55K-14.69%87.63K
Current liabilities -58.21%625.05K-35.81%988.42K-35.81%988.42K-92.41%200K-41.56%1.45M-54.76%1.5M-44.99%1.54M-44.99%1.54M--2.64M-2.94%2.49M
Non current liabilities
Long term debt and capital lease obligation -98.13%11.79K-97.04%20.42K-97.04%20.42K-96.14%28.86K-36.06%528.16K-33.32%630.99K-30.02%689.5K-30.02%689.5K--747.48K204.93%826.07K
-Long term capital lease obligation -98.13%11.79K-97.04%20.42K-97.04%20.42K-96.14%28.86K-36.06%528.16K-33.32%630.99K-30.02%689.5K-30.02%689.5K--747.48K204.93%826.07K
Total non current liabilities -58.51%261.79K-60.78%270.42K-60.78%270.42K-96.14%28.86K-36.06%528.16K-33.32%630.99K-30.02%689.5K-30.02%689.5K--747.48K204.93%826.07K
Total liabilities -58.30%886.84K-43.53%1.26M-43.53%1.26M-93.24%228.86K-40.19%1.98M-49.99%2.13M-41.09%2.23M-41.09%2.23M--3.38M16.93%3.31M
Shareholders'equity
Share capital 23.79%11.92K23.79%11.92K23.79%11.92K23.79%11.92K0.00%9.63K0.00%9.63K0.00%9.63K0.00%9.63K--9.63K0.00%9.63K
-common stock 23.79%11.92K23.79%11.92K23.79%11.92K23.79%11.92K0.00%9.63K0.00%9.63K0.00%9.63K0.00%9.63K--9.63K0.00%9.63K
Retained earnings -10.37%-31.23M-11.54%-30.86M-11.54%-30.86M-19.09%-29.51M-17.42%-28.7M-12.04%-28.29M-11.63%-27.67M-11.63%-27.67M---24.78M-0.92%-24.44M
Paid-in capital 24.03%36.21M11.66%32.6M11.66%32.6M11.66%32.6M0.00%29.2M0.00%29.2M-1.02%29.2M-1.02%29.2M--29.2M-7.30%29.2M
Gains losses not affecting retained earnings ----------------------------------355.91K102.67%355.91K
Total stockholders'equity 446.86%5M13.93%1.75M13.93%1.75M-35.11%3.1M-90.11%506.25K-78.79%913.89K-67.40%1.54M-67.40%1.54M--4.78M-31.38%5.12M
Noncontrolling interests ----------------------------------0--0
Total equity 446.86%5M13.93%1.75M13.93%1.75M-35.11%3.1M-90.11%506.25K-78.79%913.89K-64.63%1.54M-64.63%1.54M--4.78M-30.67%5.12M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------
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