Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
Amazon
AMZN
5
Citigroup
C
(FY)Nov 30, 2024 | (Q4)Nov 30, 2024 | (Q3)Aug 31, 2024 | (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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -59.12%601.34K | -59.12%601.34K | 1,657.93%4.27M | 1,646.38%8.88M | 1,868.00%10.58M | -23.79%1.47M | -23.79%1.47M | -84.15%242.87K | -58.38%508.3K | -75.51%537.79K |
-Cash and cash equivalents | -65.13%496.52K | -65.13%496.52K | 2,624.37%4.19M | 2,068.32%8.82M | 2,097.98%10.52M | -24.30%1.42M | -24.30%1.42M | -89.34%153.81K | -64.24%406.79K | -76.84%478.67K |
-Short term investments | 124.06%104.83K | 124.06%104.83K | -11.01%79.26K | -44.64%56.19K | 5.97%62.65K | -3.78%46.79K | -3.78%46.79K | 0.75%89.07K | 21.25%101.5K | -54.08%59.12K |
Receivables | 554.67%250.48K | 554.67%250.48K | 138.04%473.05K | 244.68%163.03K | -81.98%48.97K | -84.20%38.26K | -84.20%38.26K | 51.97%198.72K | -93.61%47.3K | -18.43%271.69K |
-Accounts receivable | 442.23%171.35K | 442.23%171.35K | 132.15%346.1K | 174.94%107.37K | -82.81%45.53K | -82.78%31.6K | -82.78%31.6K | 14.01%149.08K | -61.56%39.05K | 392.51%264.79K |
-Due from related parties current | 1,088.17%79.13K | 1,088.17%79.13K | 155.75%126.95K | 574.92%55.66K | -50.10%3.45K | -88.66%6.66K | -88.66%6.66K | --49.64K | -98.71%8.25K | -97.53%6.9K |
Prepaid assets | -65.55%269.3K | -65.55%269.3K | -30.68%525.79K | -26.18%549.73K | 34.04%766.43K | 307.84%781.75K | 307.84%781.75K | 995.53%758.52K | 1,310.05%744.65K | 150.90%571.79K |
Restricted cash | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 53.94%2.48M | -41.24%1.27M | -72.53%882.46K |
Total current assets | -51.06%1.12M | -51.06%1.12M | 43.12%5.27M | 272.78%9.59M | 403.55%11.4M | -3.08%2.29M | -3.08%2.29M | 10.10%3.68M | -38.45%2.57M | -62.08%2.26M |
Non current assets | ||||||||||
Net PPE | -15.38%945.83K | -15.38%945.83K | 3.44%1.17M | 18.56%1.18M | 11.56%1.11M | 11.83%1.12M | 11.83%1.12M | 15.57%1.13M | 1.47%991.6K | 4.35%992.43K |
-Gross PPE | -8.63%1.05M | -8.63%1.05M | 8.38%1.24M | 22.90%1.23M | 14.34%1.14M | 13.63%1.14M | 13.63%1.14M | 16.40%1.14M | 1.80%1M | 4.67%1M |
-Accumulated depreciation | -282.37%-99.25K | -282.37%-99.25K | -372.93%-72.38K | -519.70%-53.68K | -367.10%-36.61K | -270.17%-25.96K | -270.17%-25.96K | -147.37%-15.31K | -61.54%-8.66K | -72.74%-7.84K |
Non current prepaid assets | --200K | --200K | ---- | ---- | ---- | --0 | --0 | ---- | ---- | ---- |
Other non current assets | 0.00%40.25K | 0.00%40.25K | 0.00%40.25K | 0.00%40.25K | --40.25K | --40.25K | --40.25K | --40.25K | --40.25K | ---- |
Total non current assets | 2.42%1.19M | 2.42%1.19M | 3.32%1.21M | 17.84%1.22M | 15.61%1.15M | 15.85%1.16M | 15.85%1.16M | 19.70%1.17M | 5.59%1.03M | 4.35%992.43K |
Total assets | -33.10%2.31M | -33.10%2.31M | 33.53%6.48M | 199.79%10.81M | 285.31%12.55M | 2.54%3.45M | 2.54%3.45M | 12.27%4.85M | -30.11%3.6M | -52.95%3.26M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 276.14%946.32K | 276.14%946.32K | 103.93%1.92M | 713.44%700.15K | 109.49%385.13K | -45.86%251.59K | -45.86%251.59K | 206.46%943.94K | -72.16%86.07K | -73.04%183.84K |
-accounts payable | 395.23%896.72K | 395.23%896.72K | 103.64%1.87M | 745.36%693.61K | 108.91%341.58K | -58.80%181.07K | -58.80%181.07K | 251.22%920.58K | -70.96%82.05K | -75.15%163.5K |
-Due to related parties current | -29.67%49.6K | -29.67%49.6K | 115.27%50.29K | 62.65%6.55K | 114.10%43.55K | 179.31%70.52K | 179.31%70.52K | -49.11%23.36K | -84.89%4.02K | -14.82%20.34K |
Current provisions | ---- | ---- | --200K | --200K | --200K | 300.00%200K | 300.00%200K | ---- | ---- | ---- |
Other current liabilities | -61.53%315.71K | -61.53%315.71K | 1.01%1.02M | 1,449.59%3.28M | 2,543.43%3.87M | 230.06%820.65K | 230.06%820.65K | 119.25%1.01M | -61.87%211.82K | -78.32%146.23K |
Current liabilities | -0.80%1.26M | -0.80%1.26M | 60.94%3.15M | 1,304.02%4.18M | 1,248.36%4.45M | 66.66%1.27M | 66.66%1.27M | 154.18%1.95M | -65.55%297.89K | -75.66%330.07K |
Non current liabilities | ||||||||||
Long term provisions | --491.54K | --491.54K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Total non current liabilities | --491.54K | --491.54K | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Total liabilities | 37.83%1.75M | 37.83%1.75M | 60.94%3.15M | 1,304.02%4.18M | 1,248.36%4.45M | 66.66%1.27M | 66.66%1.27M | 154.18%1.95M | -65.55%297.89K | -75.66%330.07K |
Shareholders'equity | ||||||||||
Share capital | 12.52%66.02M | 12.52%66.02M | 12.59%66.02M | 14.58%65.17M | 16.72%65.04M | 8.43%58.68M | 8.43%58.68M | 8.75%58.64M | 5.48%56.88M | 3.52%55.72M |
-common stock | 12.52%66.02M | 12.52%66.02M | 12.59%66.02M | 14.58%65.17M | 16.72%65.04M | 8.43%58.68M | 8.43%58.68M | 8.75%58.64M | 5.48%56.88M | 3.52%55.72M |
Additional paid-in capital | 9.67%10.46M | 9.67%10.46M | 11.19%10.46M | 8.83%10.11M | 8.81%10.08M | 4.13%9.53M | 4.13%9.53M | 6.53%9.4M | 5.40%9.29M | 4.75%9.26M |
Retained earnings | -14.98%-75.93M | -14.98%-75.93M | -12.28%-73.15M | -9.22%-68.66M | -8.00%-67.01M | -8.84%-66.04M | -8.84%-66.04M | -10.05%-65.15M | -7.56%-62.86M | -8.67%-62.05M |
Total stockholders'equity | -74.57%553.63K | -74.57%553.63K | 15.02%3.33M | 100.31%6.62M | 176.68%8.1M | -16.28%2.18M | -16.28%2.18M | -18.47%2.9M | -22.97%3.31M | -47.41%2.93M |
Total equity | -74.57%553.63K | -74.57%553.63K | 15.02%3.33M | 100.31%6.62M | 176.68%8.1M | -16.28%2.18M | -16.28%2.18M | -18.47%2.9M | -22.97%3.31M | -47.41%2.93M |
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 with Explanatory Notes | -- | -- | -- | -- |
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.