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AZM Azimut Exploration Inc

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  • 0.600
  • +0.010+1.69%
15min DelayMarket Closed Dec 24 12:11 ET
51.36MMarket Cap600.00P/E (TTM)

Azimut Exploration Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Aug 31, 2024
(Q4)Aug 31, 2024
(Q3)May 31, 2024
(Q2)Feb 29, 2024
(Q1)Nov 30, 2023
(FY)Aug 31, 2023
(Q4)Aug 31, 2023
(Q3)May 31, 2023
(Q2)Feb 28, 2023
(Q1)Nov 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
254.38%11.77M
254.38%11.77M
136.62%12.95M
21.62%8.63M
11.07%11.7M
-79.17%3.32M
-79.17%3.32M
-72.79%5.47M
-70.83%7.1M
-60.73%10.54M
-Cash and cash equivalents
254.38%11.77M
254.38%11.77M
136.62%12.95M
21.62%8.63M
11.07%11.7M
-76.34%3.32M
-76.34%3.32M
-72.79%5.47M
-70.83%7.1M
-60.73%10.54M
-Short term investments
----
----
----
----
----
----
----
--0
--0
--0
Receivables
21.86%1.81M
21.86%1.81M
140.80%1.32M
1,048.87%5.96M
-0.73%1.67M
-63.30%1.49M
-63.30%1.49M
-82.54%549.43K
-15.81%518.8K
39.34%1.69M
-Accounts receivable
-82.21%252.61K
-82.21%252.61K
-20.72%435.56K
234.86%1.74M
258.66%1.16M
82.58%1.42M
82.58%1.42M
1,775.81%549.43K
84.88%518.8K
56.46%322.75K
-Taxes receivable
2,242.29%1.56M
2,242.29%1.56M
--887.44K
--4.22M
-62.14%516.22K
-97.97%66.54K
-97.97%66.54K
----
----
35.82%1.36M
Prepaid assets
-36.73%101.26K
-36.73%101.26K
-20.00%66.26K
-16.81%95.67K
-18.20%89.68K
23.36%160.05K
23.36%160.05K
-30.46%82.83K
94.24%115K
198.43%109.63K
Total current assets
175.42%13.68M
175.42%13.68M
134.87%14.34M
89.99%14.69M
9.19%13.47M
-75.32%4.97M
-75.32%4.97M
-73.89%6.1M
-69.08%7.73M
-56.07%12.33M
Non current assets
Net PPE
15.48%43.05M
15.48%43.05M
9.87%40.8M
7.13%39.49M
16.57%39.53M
17.83%37.28M
17.83%37.28M
26.48%37.14M
51.90%36.86M
66.93%33.91M
-Gross PPE
14.60%55.48M
14.60%55.48M
-12.34%42.26M
-13.12%40.86M
-7.61%40.81M
48.03%48.41M
48.03%48.41M
21.77%48.21M
36.59%47.03M
45.20%44.17M
-Accumulated depreciation
-11.64%-12.43M
-11.64%-12.43M
86.82%-1.46M
86.49%-1.37M
87.49%-1.28M
-946.13%-11.13M
-946.13%-11.13M
-8.25%-11.07M
-0.07%-10.18M
-1.53%-10.26M
Investments and advances
2,468.87%931.24K
2,468.87%931.24K
3,805.35%1.45M
394.91%274.79K
-25.96%38.17K
-30.21%36.25K
-30.21%36.25K
-38.03%37.17K
-8.08%55.52K
-34.35%51.56K
-Financial asset investment
2,468.87%931.24K
2,468.87%931.24K
----
----
----
--36.25K
--36.25K
----
----
----
-Including:Financial assets designated as fair value through profit or loss, Total
2,468.87%931.24K
2,468.87%931.24K
----
----
----
--36.25K
--36.25K
----
----
----
Non current accounts receivable
----
----
-90.94%399.74K
-85.22%846.01K
6.60%4.39M
83.83%4.39M
83.83%4.39M
127,551.66%4.41M
134.46%5.72M
68.66%4.12M
Goodwill and other intangible assets
-6.31%1.93K
-6.31%1.93K
-60.88%2.64K
-82.42%1.01K
-76.94%1.44K
-69.52%2.06K
-69.52%2.06K
-6.18%6.74K
21.87%5.75K
63.75%6.25K
Total non current assets
5.46%43.98M
5.46%43.98M
2.55%42.66M
-4.77%40.61M
15.42%43.96M
22.36%41.71M
22.36%41.71M
41.31%41.6M
59.29%42.64M
66.77%38.09M
Total assets
23.55%57.66M
23.55%57.66M
19.48%56.99M
9.77%55.3M
13.89%57.42M
-13.90%46.67M
-13.90%46.67M
-9.67%47.7M
-2.71%50.37M
-0.97%50.42M
Liabilities
Current liabilities
Current debt and capital lease obligation
-7.00%50.67K
-7.00%50.67K
42.00%64.9K
5.25%57.84K
102.41%56.13K
47.35%54.49K
47.35%54.49K
304.30%45.71K
142.71%54.95K
-18.27%27.73K
-Current capital lease obligation
-7.00%50.67K
-7.00%50.67K
42.00%64.9K
5.25%57.84K
102.41%56.13K
47.35%54.49K
47.35%54.49K
304.30%45.71K
142.71%54.95K
-18.27%27.73K
Current deferred liabilities
215.75%687.11K
215.75%687.11K
422.06%1.15M
34.18%1.06M
158.51%1.41M
-52.51%217.61K
-52.51%217.61K
-64.84%220.95K
234.82%791.21K
--546.69K
Other current liabilities
--442.31K
--442.31K
--1.4M
--2.1M
--1.97M
----
----
----
----
----
Current liabilities
197.28%4.57M
197.28%4.57M
90.66%3.85M
24.75%4.36M
73.23%6.38M
-71.93%1.54M
-71.93%1.54M
-52.31%2.02M
-21.78%3.5M
-25.06%3.68M
Non current liabilities
Long term debt and capital lease obligation
----
----
----
--20.87K
-1.28%36K
38.97%50.67K
38.97%50.67K
----
----
-50.35%36.46K
-Long term capital lease obligation
--0
--0
--0
--20.87K
-1.28%36K
38.97%50.67K
38.97%50.67K
--0
--0
-50.35%36.46K
Long term provisions
27.59%1.98M
27.59%1.98M
18.49%1.88M
20.17%1.88M
21.66%1.87M
2.43%1.55M
2.43%1.55M
42.78%1.59M
46.20%1.56M
44.87%1.54M
Non current deferred liabilities
--1.35M
--1.35M
----
----
----
--0
--0
----
----
----
Total non current liabilities
107.98%3.33M
107.98%3.33M
18.49%1.88M
21.51%1.9M
21.13%1.91M
3.29%1.6M
3.29%1.6M
33.92%1.59M
36.79%1.56M
38.71%1.57M
Total liabilities
151.74%7.9M
151.74%7.9M
58.90%5.72M
23.75%6.26M
57.64%8.29M
-55.35%3.14M
-55.35%3.14M
-33.45%3.6M
-9.87%5.06M
-13.11%5.26M
Shareholders'equity
Share capital
8.60%65.2M
8.60%65.2M
8.57%65.13M
8.88%65.13M
8.88%64.97M
-3.07%60.04M
-3.07%60.04M
-2.98%59.98M
-3.00%59.81M
-3.04%59.67M
-common stock
8.60%65.2M
8.60%65.2M
8.57%65.13M
8.88%65.13M
8.88%64.97M
-3.07%60.04M
-3.07%60.04M
-2.98%59.98M
-3.00%59.81M
-3.04%59.67M
Additional paid-in capital
3.74%5.04M
3.74%5.04M
1.12%4.86M
2.25%4.86M
18.40%4.86M
18.40%4.86M
18.40%4.86M
18.35%4.8M
17.04%4.75M
1.07%4.1M
Retained earnings
0.17%-25.06M
0.17%-25.06M
4.03%-23.48M
-10.74%-25.58M
-9.86%-25.34M
-7.87%-25.11M
-7.87%-25.11M
-10.49%-24.47M
0.45%-23.1M
5.40%-23.06M
Other equity interest
22.37%4.59M
22.37%4.59M
26.21%4.77M
20.34%4.63M
4.43%4.64M
-15.10%3.75M
-15.10%3.75M
3.34%3.78M
5.67%3.85M
22.32%4.45M
Total stockholders'equity
14.31%49.76M
14.31%49.76M
16.26%51.27M
8.21%49.04M
8.80%49.14M
-7.72%43.53M
-7.72%43.53M
-6.96%44.1M
-1.84%45.31M
0.66%45.16M
Total equity
14.31%49.76M
14.31%49.76M
16.26%51.27M
8.21%49.04M
8.80%49.14M
-7.72%43.53M
-7.72%43.53M
-6.96%44.1M
-1.84%45.31M
0.66%45.16M
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
--
--
--
--
(FY)Aug 31, 2024(Q4)Aug 31, 2024(Q3)May 31, 2024(Q2)Feb 29, 2024(Q1)Nov 30, 2023(FY)Aug 31, 2023(Q4)Aug 31, 2023(Q3)May 31, 2023(Q2)Feb 28, 2023(Q1)Nov 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 254.38%11.77M254.38%11.77M136.62%12.95M21.62%8.63M11.07%11.7M-79.17%3.32M-79.17%3.32M-72.79%5.47M-70.83%7.1M-60.73%10.54M
-Cash and cash equivalents 254.38%11.77M254.38%11.77M136.62%12.95M21.62%8.63M11.07%11.7M-76.34%3.32M-76.34%3.32M-72.79%5.47M-70.83%7.1M-60.73%10.54M
-Short term investments ------------------------------0--0--0
Receivables 21.86%1.81M21.86%1.81M140.80%1.32M1,048.87%5.96M-0.73%1.67M-63.30%1.49M-63.30%1.49M-82.54%549.43K-15.81%518.8K39.34%1.69M
-Accounts receivable -82.21%252.61K-82.21%252.61K-20.72%435.56K234.86%1.74M258.66%1.16M82.58%1.42M82.58%1.42M1,775.81%549.43K84.88%518.8K56.46%322.75K
-Taxes receivable 2,242.29%1.56M2,242.29%1.56M--887.44K--4.22M-62.14%516.22K-97.97%66.54K-97.97%66.54K--------35.82%1.36M
Prepaid assets -36.73%101.26K-36.73%101.26K-20.00%66.26K-16.81%95.67K-18.20%89.68K23.36%160.05K23.36%160.05K-30.46%82.83K94.24%115K198.43%109.63K
Total current assets 175.42%13.68M175.42%13.68M134.87%14.34M89.99%14.69M9.19%13.47M-75.32%4.97M-75.32%4.97M-73.89%6.1M-69.08%7.73M-56.07%12.33M
Non current assets
Net PPE 15.48%43.05M15.48%43.05M9.87%40.8M7.13%39.49M16.57%39.53M17.83%37.28M17.83%37.28M26.48%37.14M51.90%36.86M66.93%33.91M
-Gross PPE 14.60%55.48M14.60%55.48M-12.34%42.26M-13.12%40.86M-7.61%40.81M48.03%48.41M48.03%48.41M21.77%48.21M36.59%47.03M45.20%44.17M
-Accumulated depreciation -11.64%-12.43M-11.64%-12.43M86.82%-1.46M86.49%-1.37M87.49%-1.28M-946.13%-11.13M-946.13%-11.13M-8.25%-11.07M-0.07%-10.18M-1.53%-10.26M
Investments and advances 2,468.87%931.24K2,468.87%931.24K3,805.35%1.45M394.91%274.79K-25.96%38.17K-30.21%36.25K-30.21%36.25K-38.03%37.17K-8.08%55.52K-34.35%51.56K
-Financial asset investment 2,468.87%931.24K2,468.87%931.24K--------------36.25K--36.25K------------
-Including:Financial assets designated as fair value through profit or loss, Total 2,468.87%931.24K2,468.87%931.24K--------------36.25K--36.25K------------
Non current accounts receivable ---------90.94%399.74K-85.22%846.01K6.60%4.39M83.83%4.39M83.83%4.39M127,551.66%4.41M134.46%5.72M68.66%4.12M
Goodwill and other intangible assets -6.31%1.93K-6.31%1.93K-60.88%2.64K-82.42%1.01K-76.94%1.44K-69.52%2.06K-69.52%2.06K-6.18%6.74K21.87%5.75K63.75%6.25K
Total non current assets 5.46%43.98M5.46%43.98M2.55%42.66M-4.77%40.61M15.42%43.96M22.36%41.71M22.36%41.71M41.31%41.6M59.29%42.64M66.77%38.09M
Total assets 23.55%57.66M23.55%57.66M19.48%56.99M9.77%55.3M13.89%57.42M-13.90%46.67M-13.90%46.67M-9.67%47.7M-2.71%50.37M-0.97%50.42M
Liabilities
Current liabilities
Current debt and capital lease obligation -7.00%50.67K-7.00%50.67K42.00%64.9K5.25%57.84K102.41%56.13K47.35%54.49K47.35%54.49K304.30%45.71K142.71%54.95K-18.27%27.73K
-Current capital lease obligation -7.00%50.67K-7.00%50.67K42.00%64.9K5.25%57.84K102.41%56.13K47.35%54.49K47.35%54.49K304.30%45.71K142.71%54.95K-18.27%27.73K
Current deferred liabilities 215.75%687.11K215.75%687.11K422.06%1.15M34.18%1.06M158.51%1.41M-52.51%217.61K-52.51%217.61K-64.84%220.95K234.82%791.21K--546.69K
Other current liabilities --442.31K--442.31K--1.4M--2.1M--1.97M--------------------
Current liabilities 197.28%4.57M197.28%4.57M90.66%3.85M24.75%4.36M73.23%6.38M-71.93%1.54M-71.93%1.54M-52.31%2.02M-21.78%3.5M-25.06%3.68M
Non current liabilities
Long term debt and capital lease obligation --------------20.87K-1.28%36K38.97%50.67K38.97%50.67K---------50.35%36.46K
-Long term capital lease obligation --0--0--0--20.87K-1.28%36K38.97%50.67K38.97%50.67K--0--0-50.35%36.46K
Long term provisions 27.59%1.98M27.59%1.98M18.49%1.88M20.17%1.88M21.66%1.87M2.43%1.55M2.43%1.55M42.78%1.59M46.20%1.56M44.87%1.54M
Non current deferred liabilities --1.35M--1.35M--------------0--0------------
Total non current liabilities 107.98%3.33M107.98%3.33M18.49%1.88M21.51%1.9M21.13%1.91M3.29%1.6M3.29%1.6M33.92%1.59M36.79%1.56M38.71%1.57M
Total liabilities 151.74%7.9M151.74%7.9M58.90%5.72M23.75%6.26M57.64%8.29M-55.35%3.14M-55.35%3.14M-33.45%3.6M-9.87%5.06M-13.11%5.26M
Shareholders'equity
Share capital 8.60%65.2M8.60%65.2M8.57%65.13M8.88%65.13M8.88%64.97M-3.07%60.04M-3.07%60.04M-2.98%59.98M-3.00%59.81M-3.04%59.67M
-common stock 8.60%65.2M8.60%65.2M8.57%65.13M8.88%65.13M8.88%64.97M-3.07%60.04M-3.07%60.04M-2.98%59.98M-3.00%59.81M-3.04%59.67M
Additional paid-in capital 3.74%5.04M3.74%5.04M1.12%4.86M2.25%4.86M18.40%4.86M18.40%4.86M18.40%4.86M18.35%4.8M17.04%4.75M1.07%4.1M
Retained earnings 0.17%-25.06M0.17%-25.06M4.03%-23.48M-10.74%-25.58M-9.86%-25.34M-7.87%-25.11M-7.87%-25.11M-10.49%-24.47M0.45%-23.1M5.40%-23.06M
Other equity interest 22.37%4.59M22.37%4.59M26.21%4.77M20.34%4.63M4.43%4.64M-15.10%3.75M-15.10%3.75M3.34%3.78M5.67%3.85M22.32%4.45M
Total stockholders'equity 14.31%49.76M14.31%49.76M16.26%51.27M8.21%49.04M8.80%49.14M-7.72%43.53M-7.72%43.53M-6.96%44.1M-1.84%45.31M0.66%45.16M
Total equity 14.31%49.76M14.31%49.76M16.26%51.27M8.21%49.04M8.80%49.14M-7.72%43.53M-7.72%43.53M-6.96%44.1M-1.84%45.31M0.66%45.16M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------

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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