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BITE Blender Bites Ltd

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  • 0.700
  • 0.0000.00%
15min DelayMarket Closed Nov 14 15:00 ET
7.64MMarket Cap-1458P/E (TTM)

Blender Bites Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Jul 31, 2024
(Q2)Apr 30, 2024
(Q1)Jan 31, 2024
(FY)Oct 31, 2023
(Q4)Oct 31, 2023
(Q3)Jul 31, 2023
(Q2)Apr 30, 2023
(Q1)Jan 31, 2023
(FY)Oct 31, 2022
(Q4)Oct 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-18.83%350.5K
-28.09%448.1K
-8.07%139.69K
249.52%773.39K
249.52%773.39K
-11.66%431.8K
-53.15%623.16K
-91.81%151.95K
-91.45%221.27K
--221.27K
-Cash and cash equivalents
-18.83%350.5K
-28.09%448.1K
-8.07%139.69K
249.52%773.39K
249.52%773.39K
-11.66%431.8K
-53.15%623.16K
-91.81%151.95K
-91.45%221.27K
--221.27K
Receivables
55.17%1.94M
225.58%1.44M
97.54%814.54K
98.78%1.28M
98.78%1.28M
8.64%1.25M
-26.10%441.57K
-40.20%412.35K
41.42%643.49K
--643.49K
-Accounts receivable
55.17%1.94M
225.58%1.44M
97.54%814.54K
98.78%1.28M
98.78%1.28M
8.64%1.25M
-26.10%441.57K
-40.20%412.35K
41.42%643.49K
--643.49K
Inventory
-21.03%1.16M
146.53%1.41M
361.70%1.29M
289.33%1.5M
289.33%1.5M
705.31%1.47M
208.40%571.9K
60.04%278.36K
--385.21K
--385.21K
Prepaid assets
-42.51%289.98K
-25.59%640.24K
864.75%224.53K
106.35%84.54K
106.35%84.54K
84.56%504.42K
30.83%860.44K
-97.54%23.27K
-96.89%40.97K
--40.97K
Other current assets
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--16
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Total current assets
2.27%3.74M
57.62%3.94M
184.54%2.46M
181.72%3.64M
181.72%3.64M
74.69%3.66M
-9.88%2.5M
-76.37%865.93K
-70.38%1.29M
--1.29M
Non current assets
Net PPE
-9.51%788.54K
15.51%808.54K
18.23%828.54K
99.08%848.54K
99.08%848.54K
98.43%871.4K
55.57%699.99K
93.50%700.8K
409.78%426.24K
--426.24K
-Gross PPE
0.25%993.31K
25.07%993.31K
28.26%993.31K
106.04%993.31K
106.04%993.31K
105.52%990.82K
65.36%794.19K
103.27%774.46K
404.25%482.1K
--482.1K
-Accumulated depreciation
-71.48%-204.77K
-96.15%-184.77K
-123.72%-164.77K
-159.14%-144.78K
-159.14%-144.78K
-177.99%-119.42K
-210.46%-94.2K
-291.10%-73.65K
-365.72%-55.87K
---55.87K
Goodwill and other intangible assets
7,078.97%4.36M
9,022.72%4.36M
9,690.93%4.35M
71.18%62.08K
71.18%62.08K
109.95%60.68K
67.13%47.77K
118.88%44.39K
74.03%36.27K
--36.27K
-Other intangible assets
7,078.97%4.36M
9,022.72%4.36M
9,690.93%4.35M
71.18%62.08K
71.18%62.08K
109.95%60.68K
67.13%47.77K
118.88%44.39K
74.03%36.27K
--36.27K
Total non current assets
451.95%5.14M
590.92%5.17M
594.35%5.17M
96.89%910.61K
96.89%910.61K
99.14%932.08K
56.26%747.76K
94.85%745.19K
342.80%462.5K
--462.5K
Total assets
93.58%8.89M
180.52%9.1M
374.09%7.64M
159.34%4.55M
159.34%4.55M
79.16%4.59M
-0.14%3.24M
-60.19%1.61M
-60.71%1.75M
--1.75M
Liabilities
Current liabilities
Current debt and capital lease obligation
5,497.80%2.04M
5,567.22%2.04M
5.07%37.32K
5.13%36.87K
5.13%36.87K
5.20%36.41K
5.27%35.96K
5.34%35.52K
5.41%35.07K
--35.07K
-Current debt
5,497.80%2.04M
5,567.22%2.04M
5.07%37.32K
5.13%36.87K
5.13%36.87K
5.20%36.41K
5.27%35.96K
5.34%35.52K
5.41%35.07K
--35.07K
Payables
23.50%2.4M
53.04%1.53M
68.17%1.61M
161.82%1.8M
161.82%1.8M
150.71%1.95M
80.44%997.49K
153.15%958.14K
17.93%688.27K
--688.27K
-accounts payable
23.50%2.4M
53.04%1.53M
68.17%1.61M
161.82%1.8M
161.82%1.8M
150.71%1.95M
80.44%997.49K
153.15%958.14K
17.93%688.27K
--688.27K
Current accrued expenses
-35.51%70.61K
-59.87%42.62K
-77.00%18.4K
202.44%161.23K
202.44%161.23K
419.23%109.48K
1,017.79%106.19K
60.00%80K
-66.26%53.31K
--53.31K
Other current liabilities
--51K
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Current liabilities
118.09%4.56M
216.50%3.61M
55.26%1.67M
157.54%2M
157.54%2M
151.46%2.09M
91.07%1.14M
132.29%1.07M
0.23%776.65K
--776.65K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
118.09%4.56M
216.50%3.61M
55.26%1.67M
157.54%2M
157.54%2M
151.46%2.09M
91.07%1.14M
132.29%1.07M
0.23%776.65K
--776.65K
Shareholders'equity
Share capital
20.36%31.66M
26.72%31.66M
48.75%31.66M
30.97%27.88M
30.97%27.88M
34.34%26.31M
30.96%24.99M
11.56%21.29M
17.43%21.29M
--21.29M
-common stock
20.36%31.66M
26.72%31.66M
48.75%31.66M
30.97%27.88M
30.97%27.88M
34.34%26.31M
30.96%24.99M
11.56%21.29M
17.43%21.29M
--21.29M
Additional paid-in capital
-15.86%3.42M
368.07%3.81M
565.08%4.34M
557.18%4.08M
557.18%4.08M
86.94%4.07M
-62.60%813.58K
-71.26%652.95K
-66.57%621.5K
--621.5K
Retained earnings
-10.62%-30.84M
-27.36%-30.05M
-40.34%-30.03M
-40.53%-29.41M
-40.53%-29.41M
-39.18%-27.88M
-26.84%-23.59M
-20.46%-21.4M
-28.43%-20.93M
---20.93M
Gains losses not affecting retained earnings
--73.61K
--73.48K
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Other equity interest
----
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----
----
----
----
---100.5K
----
----
----
Total stockholders'equity
73.04%4.32M
161.04%5.5M
1,011.00%5.97M
160.78%2.55M
160.78%2.55M
44.37%2.5M
-20.65%2.11M
-85.01%537.46K
-73.51%976.8K
--976.8K
Total equity
73.04%4.32M
161.04%5.5M
1,011.00%5.97M
160.78%2.55M
160.78%2.55M
44.37%2.5M
-20.65%2.11M
-85.01%537.46K
-73.51%976.8K
--976.8K
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
--
(Q3)Jul 31, 2024(Q2)Apr 30, 2024(Q1)Jan 31, 2024(FY)Oct 31, 2023(Q4)Oct 31, 2023(Q3)Jul 31, 2023(Q2)Apr 30, 2023(Q1)Jan 31, 2023(FY)Oct 31, 2022(Q4)Oct 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -18.83%350.5K-28.09%448.1K-8.07%139.69K249.52%773.39K249.52%773.39K-11.66%431.8K-53.15%623.16K-91.81%151.95K-91.45%221.27K--221.27K
-Cash and cash equivalents -18.83%350.5K-28.09%448.1K-8.07%139.69K249.52%773.39K249.52%773.39K-11.66%431.8K-53.15%623.16K-91.81%151.95K-91.45%221.27K--221.27K
Receivables 55.17%1.94M225.58%1.44M97.54%814.54K98.78%1.28M98.78%1.28M8.64%1.25M-26.10%441.57K-40.20%412.35K41.42%643.49K--643.49K
-Accounts receivable 55.17%1.94M225.58%1.44M97.54%814.54K98.78%1.28M98.78%1.28M8.64%1.25M-26.10%441.57K-40.20%412.35K41.42%643.49K--643.49K
Inventory -21.03%1.16M146.53%1.41M361.70%1.29M289.33%1.5M289.33%1.5M705.31%1.47M208.40%571.9K60.04%278.36K--385.21K--385.21K
Prepaid assets -42.51%289.98K-25.59%640.24K864.75%224.53K106.35%84.54K106.35%84.54K84.56%504.42K30.83%860.44K-97.54%23.27K-96.89%40.97K--40.97K
Other current assets ----------16----------------------------
Total current assets 2.27%3.74M57.62%3.94M184.54%2.46M181.72%3.64M181.72%3.64M74.69%3.66M-9.88%2.5M-76.37%865.93K-70.38%1.29M--1.29M
Non current assets
Net PPE -9.51%788.54K15.51%808.54K18.23%828.54K99.08%848.54K99.08%848.54K98.43%871.4K55.57%699.99K93.50%700.8K409.78%426.24K--426.24K
-Gross PPE 0.25%993.31K25.07%993.31K28.26%993.31K106.04%993.31K106.04%993.31K105.52%990.82K65.36%794.19K103.27%774.46K404.25%482.1K--482.1K
-Accumulated depreciation -71.48%-204.77K-96.15%-184.77K-123.72%-164.77K-159.14%-144.78K-159.14%-144.78K-177.99%-119.42K-210.46%-94.2K-291.10%-73.65K-365.72%-55.87K---55.87K
Goodwill and other intangible assets 7,078.97%4.36M9,022.72%4.36M9,690.93%4.35M71.18%62.08K71.18%62.08K109.95%60.68K67.13%47.77K118.88%44.39K74.03%36.27K--36.27K
-Other intangible assets 7,078.97%4.36M9,022.72%4.36M9,690.93%4.35M71.18%62.08K71.18%62.08K109.95%60.68K67.13%47.77K118.88%44.39K74.03%36.27K--36.27K
Total non current assets 451.95%5.14M590.92%5.17M594.35%5.17M96.89%910.61K96.89%910.61K99.14%932.08K56.26%747.76K94.85%745.19K342.80%462.5K--462.5K
Total assets 93.58%8.89M180.52%9.1M374.09%7.64M159.34%4.55M159.34%4.55M79.16%4.59M-0.14%3.24M-60.19%1.61M-60.71%1.75M--1.75M
Liabilities
Current liabilities
Current debt and capital lease obligation 5,497.80%2.04M5,567.22%2.04M5.07%37.32K5.13%36.87K5.13%36.87K5.20%36.41K5.27%35.96K5.34%35.52K5.41%35.07K--35.07K
-Current debt 5,497.80%2.04M5,567.22%2.04M5.07%37.32K5.13%36.87K5.13%36.87K5.20%36.41K5.27%35.96K5.34%35.52K5.41%35.07K--35.07K
Payables 23.50%2.4M53.04%1.53M68.17%1.61M161.82%1.8M161.82%1.8M150.71%1.95M80.44%997.49K153.15%958.14K17.93%688.27K--688.27K
-accounts payable 23.50%2.4M53.04%1.53M68.17%1.61M161.82%1.8M161.82%1.8M150.71%1.95M80.44%997.49K153.15%958.14K17.93%688.27K--688.27K
Current accrued expenses -35.51%70.61K-59.87%42.62K-77.00%18.4K202.44%161.23K202.44%161.23K419.23%109.48K1,017.79%106.19K60.00%80K-66.26%53.31K--53.31K
Other current liabilities --51K------------------------------------
Current liabilities 118.09%4.56M216.50%3.61M55.26%1.67M157.54%2M157.54%2M151.46%2.09M91.07%1.14M132.29%1.07M0.23%776.65K--776.65K
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities 118.09%4.56M216.50%3.61M55.26%1.67M157.54%2M157.54%2M151.46%2.09M91.07%1.14M132.29%1.07M0.23%776.65K--776.65K
Shareholders'equity
Share capital 20.36%31.66M26.72%31.66M48.75%31.66M30.97%27.88M30.97%27.88M34.34%26.31M30.96%24.99M11.56%21.29M17.43%21.29M--21.29M
-common stock 20.36%31.66M26.72%31.66M48.75%31.66M30.97%27.88M30.97%27.88M34.34%26.31M30.96%24.99M11.56%21.29M17.43%21.29M--21.29M
Additional paid-in capital -15.86%3.42M368.07%3.81M565.08%4.34M557.18%4.08M557.18%4.08M86.94%4.07M-62.60%813.58K-71.26%652.95K-66.57%621.5K--621.5K
Retained earnings -10.62%-30.84M-27.36%-30.05M-40.34%-30.03M-40.53%-29.41M-40.53%-29.41M-39.18%-27.88M-26.84%-23.59M-20.46%-21.4M-28.43%-20.93M---20.93M
Gains losses not affecting retained earnings --73.61K--73.48K--------------------------------
Other equity interest ---------------------------100.5K------------
Total stockholders'equity 73.04%4.32M161.04%5.5M1,011.00%5.97M160.78%2.55M160.78%2.55M44.37%2.5M-20.65%2.11M-85.01%537.46K-73.51%976.8K--976.8K
Total equity 73.04%4.32M161.04%5.5M1,011.00%5.97M160.78%2.55M160.78%2.55M44.37%2.5M-20.65%2.11M-85.01%537.46K-73.51%976.8K--976.8K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-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.

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