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AITX Artificial Intelligence Technology Solutions Inc.

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  • 0.003
  • 0.000-8.06%
15min DelayClose Oct 4 16:00 ET
33.95MMarket Cap-950P/E (TTM)

Artificial Intelligence Technology Solutions Inc. Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-1.83%-3.05M
-2.98%-12.95M
-32.63%-3.57M
2.74%-3.04M
-6.75%-3.34M
17.41%-2.99M
15.16%-12.58M
38.64%-2.69M
27.87%-3.13M
-2.51%-3.13M
Net income from continuing operations
7.92%-4.19M
-14.35%-20.71M
-43.41%-7.43M
2.92%-3.97M
-14.06%-4.76M
2.49%-4.56M
70.88%-18.11M
63.95%-5.18M
42.41%-4.09M
13.65%-4.17M
Operating gains losses
----
-38.02%64.97K
-7.73%103.71K
--0
----
----
-99.68%104.81K
-1.27%112.4K
--0
----
Depreciation and amortization
77.17%297.55K
78.63%854.05K
92.00%279.3K
132.36%215.76K
31.04%191.04K
78.67%167.94K
105.30%478.12K
82.70%145.47K
36.70%92.86K
205.70%145.79K
Other non cash items
-91.75%48.98K
22.70%2.62M
-30.52%582.99K
22.56%598.78K
116.99%843.55K
42.00%593.96K
-84.07%2.13M
-91.86%839.03K
-65.88%488.58K
-68.96%388.75K
Change In working capital
-26.08%495.68K
-28.39%1.36M
-68.92%394.14K
-101.98%-2.73K
20.97%298.22K
172.20%670.57K
249.21%1.9M
354.08%1.27M
266.98%138.2K
168.06%246.52K
-Change in receivables
188.67%126.62K
-547.44%-533.95K
-170.56%-266.81K
-145.28%-246.77K
203.81%122.42K
-254.77%-142.8K
135.10%119.34K
849.33%378.13K
49.59%-100.61K
-131.28%-117.93K
-Change in inventory
-229.61%-1.07M
-205.68%-3.55M
-334.23%-1.54M
-516.20%-1.06M
-76.40%-616.61K
-14.63%-324.65K
47.02%-1.16M
-8.73%-355.79K
85.10%-172.5K
22.80%-349.55K
-Change in prepaid assets
123.99%167.56K
79.12%-29.59K
-26.61%60.72K
93.56%-12.91K
-1.08%-152.22K
-40.91%74.81K
69.33%-141.73K
262.59%82.74K
-246.59%-200.49K
67.82%-150.59K
-Change in payables and accrued expense
11.98%1.09M
69.21%5.28M
76.31%2.07M
101.98%1.23M
6.38%1.01M
149.38%974.02K
69.37%3.12M
2,060.83%1.17M
-53.51%608.4K
277.08%948.18K
-Change in other current liabilities
----
8.22%-233.15K
6.83%-58.27K
20.39%-49.79K
----
----
28.46%-254.03K
12.06%-62.54K
10.17%-62.54K
----
-Change in other working capital
102.76%180.85K
96.79%426K
156.76%134.91K
113.58%140.84K
34.60%61.06K
69.48%89.19K
-7.30%216.48K
-12.97%52.54K
243.59%65.94K
101.44%45.37K
Cash from discontinued investing activities
Operating cash flow
-1.83%-3.05M
-2.98%-12.95M
-32.63%-3.57M
2.74%-3.04M
-6.75%-3.34M
17.41%-2.99M
15.16%-12.58M
38.64%-2.69M
27.87%-3.13M
-2.51%-3.13M
Investing cash flow
Cash flow from continuing investing activities
-527.43%-21.73K
101.36%4.19K
115.68%14.24K
36.75%-6.58K
0
96.07%-3.46K
-138.70%-308.4K
-10.12%-90.8K
63.75%-10.4K
-1,001.39%-118.98K
Net PPE purchase and sale
-452.47%-19.13K
99.55%-1.17K
131.22%12.74K
-0.35%-10.44K
--0
96.07%-3.46K
-202.25%-258.4K
49.60%-40.8K
-338.62%-10.4K
-1,001.39%-118.98K
Net intangibles purchase and sale
---2.6K
----
----
----
----
--0
----
----
----
----
Net investment purchase and sale
----
--0
----
----
----
----
---50K
----
----
----
Net other investing changes
----
--5.36K
--1.5K
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-527.43%-21.73K
101.36%4.19K
115.68%14.24K
36.75%-6.58K
--0
96.07%-3.46K
-138.70%-308.4K
-10.12%-90.8K
63.75%-10.4K
-1,001.39%-118.98K
Financing cash flow
Cash flow from continuing financing activities
34.71%3.15M
31.99%12.11M
18.48%3.57M
-53.14%1.64M
69.65%4.57M
14,097.42%2.34M
-50.55%9.18M
-39.99%3.01M
-42.56%3.49M
8.16%2.69M
Net issuance payments of debt
-68.43%323K
-8.42%1.29M
363.55%268.82K
-89.31%223K
-120.96%-227K
161.55%1.02M
-82.50%1.41M
-149.65%-102K
241.39%2.09M
-56.50%1.08M
Net common stock issuance
103.39%2.68M
39.31%10.83M
5.96%3.3M
0.67%1.41M
197.88%4.8M
-19.83%1.32M
-37.94%7.77M
-38.45%3.11M
-81.21%1.4M
--1.61M
Net preferred stock issuance
--149.14K
----
----
----
----
--0
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
34.71%3.15M
31.99%12.11M
18.48%3.57M
-53.14%1.64M
69.65%4.57M
14,097.42%2.34M
-50.55%9.18M
-39.99%3.01M
-42.56%3.49M
8.16%2.69M
Net cash flow
Beginning cash position
-88.73%105.93K
-79.78%939.76K
-86.34%97.48K
316.48%1.51M
-68.84%287.2K
-79.78%939.76K
345.05%4.65M
-82.61%713.49K
-84.84%363.07K
-68.74%921.63K
Current changes in cash
113.36%87.18K
77.51%-833.83K
-96.27%8.45K
-503.70%-1.41M
319.30%1.22M
82.49%-652.56K
-202.90%-3.71M
-58.43%226.27K
-79.49%350.42K
-1.04%-558.56K
End cash Position
-32.76%193.1K
-88.73%105.93K
-88.73%105.93K
-86.34%97.48K
316.48%1.51M
-68.84%287.2K
-79.78%939.76K
-79.78%939.76K
-82.61%713.49K
-84.84%363.07K
Free cash flow
-2.44%-3.07M
-1.08%-12.97M
-30.96%-3.58M
2.73%-3.05M
-2.84%-3.34M
19.28%-2.99M
14.24%-12.84M
38.84%-2.73M
28.11%-3.14M
-5.82%-3.25M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
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--
--
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Unqualified Opinion with Explanatory Notes
--
--
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(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -1.83%-3.05M-2.98%-12.95M-32.63%-3.57M2.74%-3.04M-6.75%-3.34M17.41%-2.99M15.16%-12.58M38.64%-2.69M27.87%-3.13M-2.51%-3.13M
Net income from continuing operations 7.92%-4.19M-14.35%-20.71M-43.41%-7.43M2.92%-3.97M-14.06%-4.76M2.49%-4.56M70.88%-18.11M63.95%-5.18M42.41%-4.09M13.65%-4.17M
Operating gains losses -----38.02%64.97K-7.73%103.71K--0---------99.68%104.81K-1.27%112.4K--0----
Depreciation and amortization 77.17%297.55K78.63%854.05K92.00%279.3K132.36%215.76K31.04%191.04K78.67%167.94K105.30%478.12K82.70%145.47K36.70%92.86K205.70%145.79K
Other non cash items -91.75%48.98K22.70%2.62M-30.52%582.99K22.56%598.78K116.99%843.55K42.00%593.96K-84.07%2.13M-91.86%839.03K-65.88%488.58K-68.96%388.75K
Change In working capital -26.08%495.68K-28.39%1.36M-68.92%394.14K-101.98%-2.73K20.97%298.22K172.20%670.57K249.21%1.9M354.08%1.27M266.98%138.2K168.06%246.52K
-Change in receivables 188.67%126.62K-547.44%-533.95K-170.56%-266.81K-145.28%-246.77K203.81%122.42K-254.77%-142.8K135.10%119.34K849.33%378.13K49.59%-100.61K-131.28%-117.93K
-Change in inventory -229.61%-1.07M-205.68%-3.55M-334.23%-1.54M-516.20%-1.06M-76.40%-616.61K-14.63%-324.65K47.02%-1.16M-8.73%-355.79K85.10%-172.5K22.80%-349.55K
-Change in prepaid assets 123.99%167.56K79.12%-29.59K-26.61%60.72K93.56%-12.91K-1.08%-152.22K-40.91%74.81K69.33%-141.73K262.59%82.74K-246.59%-200.49K67.82%-150.59K
-Change in payables and accrued expense 11.98%1.09M69.21%5.28M76.31%2.07M101.98%1.23M6.38%1.01M149.38%974.02K69.37%3.12M2,060.83%1.17M-53.51%608.4K277.08%948.18K
-Change in other current liabilities ----8.22%-233.15K6.83%-58.27K20.39%-49.79K--------28.46%-254.03K12.06%-62.54K10.17%-62.54K----
-Change in other working capital 102.76%180.85K96.79%426K156.76%134.91K113.58%140.84K34.60%61.06K69.48%89.19K-7.30%216.48K-12.97%52.54K243.59%65.94K101.44%45.37K
Cash from discontinued investing activities
Operating cash flow -1.83%-3.05M-2.98%-12.95M-32.63%-3.57M2.74%-3.04M-6.75%-3.34M17.41%-2.99M15.16%-12.58M38.64%-2.69M27.87%-3.13M-2.51%-3.13M
Investing cash flow
Cash flow from continuing investing activities -527.43%-21.73K101.36%4.19K115.68%14.24K36.75%-6.58K096.07%-3.46K-138.70%-308.4K-10.12%-90.8K63.75%-10.4K-1,001.39%-118.98K
Net PPE purchase and sale -452.47%-19.13K99.55%-1.17K131.22%12.74K-0.35%-10.44K--096.07%-3.46K-202.25%-258.4K49.60%-40.8K-338.62%-10.4K-1,001.39%-118.98K
Net intangibles purchase and sale ---2.6K------------------0----------------
Net investment purchase and sale ------0-------------------50K------------
Net other investing changes ------5.36K--1.5K----------------------------
Cash from discontinued investing activities
Investing cash flow -527.43%-21.73K101.36%4.19K115.68%14.24K36.75%-6.58K--096.07%-3.46K-138.70%-308.4K-10.12%-90.8K63.75%-10.4K-1,001.39%-118.98K
Financing cash flow
Cash flow from continuing financing activities 34.71%3.15M31.99%12.11M18.48%3.57M-53.14%1.64M69.65%4.57M14,097.42%2.34M-50.55%9.18M-39.99%3.01M-42.56%3.49M8.16%2.69M
Net issuance payments of debt -68.43%323K-8.42%1.29M363.55%268.82K-89.31%223K-120.96%-227K161.55%1.02M-82.50%1.41M-149.65%-102K241.39%2.09M-56.50%1.08M
Net common stock issuance 103.39%2.68M39.31%10.83M5.96%3.3M0.67%1.41M197.88%4.8M-19.83%1.32M-37.94%7.77M-38.45%3.11M-81.21%1.4M--1.61M
Net preferred stock issuance --149.14K------------------0----------------
Cash from discontinued financing activities
Financing cash flow 34.71%3.15M31.99%12.11M18.48%3.57M-53.14%1.64M69.65%4.57M14,097.42%2.34M-50.55%9.18M-39.99%3.01M-42.56%3.49M8.16%2.69M
Net cash flow
Beginning cash position -88.73%105.93K-79.78%939.76K-86.34%97.48K316.48%1.51M-68.84%287.2K-79.78%939.76K345.05%4.65M-82.61%713.49K-84.84%363.07K-68.74%921.63K
Current changes in cash 113.36%87.18K77.51%-833.83K-96.27%8.45K-503.70%-1.41M319.30%1.22M82.49%-652.56K-202.90%-3.71M-58.43%226.27K-79.49%350.42K-1.04%-558.56K
End cash Position -32.76%193.1K-88.73%105.93K-88.73%105.93K-86.34%97.48K316.48%1.51M-68.84%287.2K-79.78%939.76K-79.78%939.76K-82.61%713.49K-84.84%363.07K
Free cash flow -2.44%-3.07M-1.08%-12.97M-30.96%-3.58M2.73%-3.05M-2.84%-3.34M19.28%-2.99M14.24%-12.84M38.84%-2.73M28.11%-3.14M-5.82%-3.25M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------

Analysis

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Price Target

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