US Stock MarketDetailed Quotes

CHOOF CHOOM HOLDINGS INC

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  • 0.0000.00%
15min DelayClose Oct 28 16:00 ET
466.97Market Cap0.00P/E (TTM)

CHOOM HOLDINGS INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 31, 2021
(Q1)Sep 30, 2021
(FY)Jun 30, 2021
(Q4)Jun 30, 2021
(Q3)Mar 31, 2021
(Q2)Dec 31, 2020
(Q1)Sep 30, 2020
(FY)Jun 30, 2020
(Q4)Jun 30, 2020
(Q3)Mar 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-1.88%730.63K
-36.35%585.87K
-38.12%314.51K
-38.12%314.51K
-40.20%421.46K
-78.37%744.63K
-69.75%920.51K
-89.71%508.23K
-89.71%508.23K
-92.90%704.73K
-Cash and cash equivalents
5.55%684.63K
-34.39%539.87K
-41.77%268.51K
-41.77%268.51K
-42.97%375.46K
-80.58%648.64K
-72.10%822.82K
-90.43%461.1K
-90.43%461.1K
-93.37%658.33K
-Short-term investments
-52.08%46K
-52.91%46K
-2.40%46K
-2.40%46K
-0.86%46K
-6.09%95.99K
4.56%97.69K
-60.93%47.13K
-60.93%47.13K
494.87%46.4K
Receivables
-48.00%220.83K
-58.94%219.05K
139.75%842.11K
139.75%842.11K
-68.70%532.78K
-71.31%424.64K
-61.32%533.48K
-79.38%351.25K
-79.38%351.25K
936.89%1.7M
-Accounts receivable
-75.69%39.9K
-99.51%883
-35.63%92.05K
-35.63%92.05K
312.45%281.76K
133.58%164.16K
90.58%180.77K
165.96%143.01K
165.96%143.01K
-58.38%68.31K
-Notes receivable
--0
--0
--485.25K
--485.25K
----
----
----
--0
--0
--900K
-Accrued interest receivable
----
----
----
----
----
-43.38%30.8K
-99.62%436
----
----
--54.39K
-Taxes receivable
-29.84%111.2K
-34.32%140.53K
31.09%169.68K
31.09%169.68K
-72.61%156.72K
-58.45%158.5K
-19.68%213.98K
-22.70%129.43K
-22.70%129.43K
--572.26K
-Other receivables
-2.04%69.73K
-43.86%77.63K
20.72%95.14K
20.72%95.14K
-11.88%94.3K
-3.77%71.18K
4,147.14%138.29K
-85.40%78.81K
-85.40%78.81K
--107.01K
Inventory
-48.00%517.58K
-26.37%990.72K
-9.25%909.48K
-9.25%909.48K
14.04%1.25M
-3.73%995.36K
--1.35M
--1M
--1M
--1.09M
Prepaid assets
-39.92%196.22K
-71.63%191.67K
-52.01%225.27K
-52.01%225.27K
-31.94%623.72K
-57.70%326.57K
-38.94%675.51K
26.62%469.41K
26.62%469.41K
-86.55%916.49K
Restricted cash
----
----
----
----
----
----
----
----
----
--0
Total current assets
-36.35%1.67M
-42.81%1.99M
-21.84%2.29M
-21.84%2.29M
-33.48%2.94M
-62.24%2.62M
-38.80%3.48M
-58.77%2.93M
-58.77%2.93M
-74.66%4.42M
Non current assets
Net PPE
-41.64%10.23M
-29.02%12.15M
-22.22%11.84M
-22.22%11.84M
-22.71%15.65M
-13.98%17.53M
166.73%17.12M
239.61%15.23M
239.61%15.23M
397.73%20.24M
-Gross PPE
-15.88%15.96M
-34.11%12.15M
0.61%16.43M
0.61%16.43M
-13.47%17.86M
-8.09%18.98M
180.02%18.44M
253.82%16.33M
253.82%16.33M
404.97%20.64M
-Accumulated depreciation
-297.25%-5.73M
----
-314.97%-4.59M
-314.97%-4.59M
-452.80%-2.22M
-448.44%-1.44M
-690.46%-1.32M
-734.83%-1.11M
-734.83%-1.11M
-1,797.99%-401.01K
Goodwill and other intangible assets
-55.41%6.62M
-29.11%10.52M
-2.79%10.78M
-2.79%10.78M
119.51%14.22M
129.39%14.85M
709.51%14.84M
505.96%11.09M
505.96%11.09M
-6.21%6.48M
-Goodwill
--0
-84.14%346.09K
-89.03%346.09K
-89.03%346.09K
124.19%2.18M
124.19%2.18M
124.19%2.18M
224.19%3.15M
224.19%3.15M
-0.79%973.05K
-Other intangible assets
-47.74%6.62M
-19.63%10.18M
31.50%10.43M
31.50%10.43M
118.68%12.04M
130.31%12.67M
1,371.43%12.66M
825.88%7.93M
825.88%7.93M
-7.11%5.51M
Investments and advances
-62.45%715.28K
-62.45%715.28K
-62.45%715.28K
-62.45%715.28K
9.94%1.9M
9.94%1.9M
9.94%1.9M
9.94%1.9M
9.94%1.9M
0.00%1.73M
Long-term notes receivables
----
----
--0
--0
-54.70%913.33K
-58.35%943.75K
-88.47%927.93K
-87.56%927.26K
-87.56%927.26K
--2.02M
Non current prepaid assets
-10.74%369.29K
-15.19%369.29K
6.48%575.29K
6.48%575.29K
-44.87%369.29K
-25.33%413.72K
14.87%435.43K
40.53%540.27K
40.53%540.27K
-0.84%669.86K
Other non current assets
----
----
----
----
----
----
----
----
----
5,155.52%1.05M
Total non current assets
-49.68%17.94M
-32.56%23.76M
-19.45%23.91M
-19.45%23.91M
2.69%33.06M
9.81%35.64M
45.05%35.23M
36.27%29.69M
36.27%29.69M
140.16%32.19M
Total assets
-48.77%19.6M
-33.48%25.75M
-19.67%26.21M
-19.67%26.21M
-1.67%36M
-2.86%38.26M
29.16%38.71M
12.89%32.62M
12.89%32.62M
18.75%36.61M
Liabilities
Current liabilities
Payables
-22.38%2.14M
-28.85%1.91M
44.73%3.61M
44.73%3.61M
-1.46%2.71M
18.13%2.76M
156.58%2.69M
226.74%2.5M
226.74%2.5M
168.55%2.75M
-accounts payable
-36.53%1.44M
-49.91%1.24M
29.91%2.57M
29.91%2.57M
-21.87%1.99M
5.71%2.27M
137.93%2.47M
177.22%1.98M
177.22%1.98M
163.54%2.55M
-Total tax payable
16.09%529.04K
184.00%546.51K
62.00%684.37K
62.00%684.37K
--643.74K
--455.73K
--192.43K
--422.45K
--422.45K
----
-Due to related parties current
395.21%173.32K
356.41%130.88K
268.42%362.55K
268.42%362.55K
-64.15%70.15K
-81.51%35K
167.47%28.68K
91.64%98.41K
91.64%98.41K
257.07%195.67K
Current accrued expenses
-82.06%312.88K
-87.62%158.32K
42.54%2.42M
42.54%2.42M
0.22%1.94M
15.47%1.74M
8.14%1.28M
98.33%1.7M
98.33%1.7M
--1.94M
Current provisions
--200.27K
----
----
----
----
----
----
----
----
----
Current debt and capital lease obligation
-49.45%3.19M
-33.91%1.68M
160.02%6.35M
160.02%6.35M
240.41%6.12M
250.72%6.31M
521.65%2.54M
--2.44M
--2.44M
--1.8M
-Current debt
-55.50%1.7M
-80.29%205.01K
276.11%4.11M
276.11%4.11M
--3.85M
--3.81M
--1.04M
--1.09M
--1.09M
----
-Current capital lease obligation
-40.22%1.49M
-1.72%1.47M
66.08%2.24M
66.08%2.24M
26.29%2.27M
38.82%2.5M
266.92%1.5M
--1.35M
--1.35M
--1.8M
Current deferred liabilities
--4K
--170.42K
0.00%4K
0.00%4K
----
----
----
--4K
--4K
----
Other current liabilities
----
----
----
----
----
----
----
----
----
-100.00%1
Current liabilities
-45.90%5.85M
-39.76%3.92M
86.56%12.39M
86.56%12.39M
66.13%10.77M
91.47%10.81M
146.55%6.51M
310.05%6.64M
310.05%6.64M
521.18%6.48M
Non current liabilities
Long term provisions
--924.23K
--1.48M
----
----
----
----
----
----
----
----
Long term debt and capital lease obligation
-37.56%15.31M
-35.93%16.99M
-1.73%24.01M
-1.73%24.01M
-7.43%23.94M
-4.81%24.52M
84.49%26.51M
92.71%24.44M
92.71%24.44M
118.48%25.86M
-Long term debt
-49.46%8.4M
-47.34%9.69M
-2.72%17.36M
-2.72%17.36M
-2.22%16.97M
-1.79%16.62M
41.61%18.41M
40.75%17.85M
40.75%17.85M
46.61%17.36M
-Long term capital lease obligation
-12.53%6.91M
-10.01%7.29M
0.96%6.65M
0.96%6.65M
-18.07%6.97M
-10.58%7.9M
490.79%8.1M
--6.59M
--6.59M
--8.51M
Non current deferred liabilities
-65.74%329.45K
0.00%961.74K
0.00%961.74K
0.00%961.74K
--961.74K
--961.74K
--961.74K
--961.74K
--961.74K
----
Total non current liabilities
-35.00%16.57M
-29.29%19.43M
-1.66%24.98M
-1.66%24.98M
-3.71%24.9M
-1.07%25.49M
91.18%27.47M
100.30%25.4M
100.30%25.4M
118.48%25.86M
Total liabilities
-38.25%22.42M
-31.29%23.35M
16.62%37.36M
16.62%37.36M
10.28%35.67M
15.57%36.3M
99.77%33.98M
124.05%32.04M
124.05%32.04M
151.10%32.35M
Shareholders'equity
Share capital
8.23%139.48M
8.40%139.1M
7.98%131.15M
7.98%131.15M
9.88%130.76M
8.27%128.88M
9.61%128.33M
5.00%121.46M
5.00%121.46M
3.84%119.01M
-common stock
8.23%139.48M
8.40%139.1M
7.98%131.15M
7.98%131.15M
9.88%130.76M
8.27%128.88M
9.61%128.33M
5.00%121.46M
5.00%121.46M
3.84%119.01M
Retained earnings
-11.30%-158.64M
-9.75%-152.74M
-15.88%-157.81M
-15.88%-157.81M
-12.33%-146.22M
-12.94%-142.53M
-17.12%-139.17M
-17.56%-136.19M
-17.56%-136.19M
-13.93%-130.17M
Paid-in capital
52.03%14.43M
55.99%14.12M
11.12%9.78M
11.12%9.78M
16.08%9.66M
17.10%9.5M
16.63%9.05M
18.64%8.8M
18.64%8.8M
17.54%8.32M
Gains losses not affecting retained earnings
-199.95%-13.07K
-845.65%-12.51K
---10.67K
---10.67K
---10.29K
92.62%-4.36K
106.19%1.68K
--0
--0
----
Other equity interest
-68.49%1.93M
-70.36%1.93M
-11.85%5.74M
-11.85%5.74M
-13.74%6.13M
-13.74%6.13M
-6.50%6.51M
-11.41%6.51M
-11.41%6.51M
-32.51%7.1M
Total stockholders'equity
-243.56%-2.81M
-49.22%2.4M
-2,012.47%-11.16M
-2,012.47%-11.16M
-92.43%322.83K
-75.43%1.96M
-63.52%4.73M
-96.00%583.35K
-96.00%583.35K
-76.25%4.26M
Total equity
-243.56%-2.81M
-49.22%2.4M
-2,012.47%-11.16M
-2,012.47%-11.16M
-92.43%322.83K
-75.43%1.96M
-63.52%4.73M
-96.00%583.35K
-96.00%583.35K
-76.25%4.26M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(Q2)Dec 31, 2021(Q1)Sep 30, 2021(FY)Jun 30, 2021(Q4)Jun 30, 2021(Q3)Mar 31, 2021(Q2)Dec 31, 2020(Q1)Sep 30, 2020(FY)Jun 30, 2020(Q4)Jun 30, 2020(Q3)Mar 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -1.88%730.63K-36.35%585.87K-38.12%314.51K-38.12%314.51K-40.20%421.46K-78.37%744.63K-69.75%920.51K-89.71%508.23K-89.71%508.23K-92.90%704.73K
-Cash and cash equivalents 5.55%684.63K-34.39%539.87K-41.77%268.51K-41.77%268.51K-42.97%375.46K-80.58%648.64K-72.10%822.82K-90.43%461.1K-90.43%461.1K-93.37%658.33K
-Short-term investments -52.08%46K-52.91%46K-2.40%46K-2.40%46K-0.86%46K-6.09%95.99K4.56%97.69K-60.93%47.13K-60.93%47.13K494.87%46.4K
Receivables -48.00%220.83K-58.94%219.05K139.75%842.11K139.75%842.11K-68.70%532.78K-71.31%424.64K-61.32%533.48K-79.38%351.25K-79.38%351.25K936.89%1.7M
-Accounts receivable -75.69%39.9K-99.51%883-35.63%92.05K-35.63%92.05K312.45%281.76K133.58%164.16K90.58%180.77K165.96%143.01K165.96%143.01K-58.38%68.31K
-Notes receivable --0--0--485.25K--485.25K--------------0--0--900K
-Accrued interest receivable ---------------------43.38%30.8K-99.62%436----------54.39K
-Taxes receivable -29.84%111.2K-34.32%140.53K31.09%169.68K31.09%169.68K-72.61%156.72K-58.45%158.5K-19.68%213.98K-22.70%129.43K-22.70%129.43K--572.26K
-Other receivables -2.04%69.73K-43.86%77.63K20.72%95.14K20.72%95.14K-11.88%94.3K-3.77%71.18K4,147.14%138.29K-85.40%78.81K-85.40%78.81K--107.01K
Inventory -48.00%517.58K-26.37%990.72K-9.25%909.48K-9.25%909.48K14.04%1.25M-3.73%995.36K--1.35M--1M--1M--1.09M
Prepaid assets -39.92%196.22K-71.63%191.67K-52.01%225.27K-52.01%225.27K-31.94%623.72K-57.70%326.57K-38.94%675.51K26.62%469.41K26.62%469.41K-86.55%916.49K
Restricted cash --------------------------------------0
Total current assets -36.35%1.67M-42.81%1.99M-21.84%2.29M-21.84%2.29M-33.48%2.94M-62.24%2.62M-38.80%3.48M-58.77%2.93M-58.77%2.93M-74.66%4.42M
Non current assets
Net PPE -41.64%10.23M-29.02%12.15M-22.22%11.84M-22.22%11.84M-22.71%15.65M-13.98%17.53M166.73%17.12M239.61%15.23M239.61%15.23M397.73%20.24M
-Gross PPE -15.88%15.96M-34.11%12.15M0.61%16.43M0.61%16.43M-13.47%17.86M-8.09%18.98M180.02%18.44M253.82%16.33M253.82%16.33M404.97%20.64M
-Accumulated depreciation -297.25%-5.73M-----314.97%-4.59M-314.97%-4.59M-452.80%-2.22M-448.44%-1.44M-690.46%-1.32M-734.83%-1.11M-734.83%-1.11M-1,797.99%-401.01K
Goodwill and other intangible assets -55.41%6.62M-29.11%10.52M-2.79%10.78M-2.79%10.78M119.51%14.22M129.39%14.85M709.51%14.84M505.96%11.09M505.96%11.09M-6.21%6.48M
-Goodwill --0-84.14%346.09K-89.03%346.09K-89.03%346.09K124.19%2.18M124.19%2.18M124.19%2.18M224.19%3.15M224.19%3.15M-0.79%973.05K
-Other intangible assets -47.74%6.62M-19.63%10.18M31.50%10.43M31.50%10.43M118.68%12.04M130.31%12.67M1,371.43%12.66M825.88%7.93M825.88%7.93M-7.11%5.51M
Investments and advances -62.45%715.28K-62.45%715.28K-62.45%715.28K-62.45%715.28K9.94%1.9M9.94%1.9M9.94%1.9M9.94%1.9M9.94%1.9M0.00%1.73M
Long-term notes receivables ----------0--0-54.70%913.33K-58.35%943.75K-88.47%927.93K-87.56%927.26K-87.56%927.26K--2.02M
Non current prepaid assets -10.74%369.29K-15.19%369.29K6.48%575.29K6.48%575.29K-44.87%369.29K-25.33%413.72K14.87%435.43K40.53%540.27K40.53%540.27K-0.84%669.86K
Other non current assets ------------------------------------5,155.52%1.05M
Total non current assets -49.68%17.94M-32.56%23.76M-19.45%23.91M-19.45%23.91M2.69%33.06M9.81%35.64M45.05%35.23M36.27%29.69M36.27%29.69M140.16%32.19M
Total assets -48.77%19.6M-33.48%25.75M-19.67%26.21M-19.67%26.21M-1.67%36M-2.86%38.26M29.16%38.71M12.89%32.62M12.89%32.62M18.75%36.61M
Liabilities
Current liabilities
Payables -22.38%2.14M-28.85%1.91M44.73%3.61M44.73%3.61M-1.46%2.71M18.13%2.76M156.58%2.69M226.74%2.5M226.74%2.5M168.55%2.75M
-accounts payable -36.53%1.44M-49.91%1.24M29.91%2.57M29.91%2.57M-21.87%1.99M5.71%2.27M137.93%2.47M177.22%1.98M177.22%1.98M163.54%2.55M
-Total tax payable 16.09%529.04K184.00%546.51K62.00%684.37K62.00%684.37K--643.74K--455.73K--192.43K--422.45K--422.45K----
-Due to related parties current 395.21%173.32K356.41%130.88K268.42%362.55K268.42%362.55K-64.15%70.15K-81.51%35K167.47%28.68K91.64%98.41K91.64%98.41K257.07%195.67K
Current accrued expenses -82.06%312.88K-87.62%158.32K42.54%2.42M42.54%2.42M0.22%1.94M15.47%1.74M8.14%1.28M98.33%1.7M98.33%1.7M--1.94M
Current provisions --200.27K------------------------------------
Current debt and capital lease obligation -49.45%3.19M-33.91%1.68M160.02%6.35M160.02%6.35M240.41%6.12M250.72%6.31M521.65%2.54M--2.44M--2.44M--1.8M
-Current debt -55.50%1.7M-80.29%205.01K276.11%4.11M276.11%4.11M--3.85M--3.81M--1.04M--1.09M--1.09M----
-Current capital lease obligation -40.22%1.49M-1.72%1.47M66.08%2.24M66.08%2.24M26.29%2.27M38.82%2.5M266.92%1.5M--1.35M--1.35M--1.8M
Current deferred liabilities --4K--170.42K0.00%4K0.00%4K--------------4K--4K----
Other current liabilities -------------------------------------100.00%1
Current liabilities -45.90%5.85M-39.76%3.92M86.56%12.39M86.56%12.39M66.13%10.77M91.47%10.81M146.55%6.51M310.05%6.64M310.05%6.64M521.18%6.48M
Non current liabilities
Long term provisions --924.23K--1.48M--------------------------------
Long term debt and capital lease obligation -37.56%15.31M-35.93%16.99M-1.73%24.01M-1.73%24.01M-7.43%23.94M-4.81%24.52M84.49%26.51M92.71%24.44M92.71%24.44M118.48%25.86M
-Long term debt -49.46%8.4M-47.34%9.69M-2.72%17.36M-2.72%17.36M-2.22%16.97M-1.79%16.62M41.61%18.41M40.75%17.85M40.75%17.85M46.61%17.36M
-Long term capital lease obligation -12.53%6.91M-10.01%7.29M0.96%6.65M0.96%6.65M-18.07%6.97M-10.58%7.9M490.79%8.1M--6.59M--6.59M--8.51M
Non current deferred liabilities -65.74%329.45K0.00%961.74K0.00%961.74K0.00%961.74K--961.74K--961.74K--961.74K--961.74K--961.74K----
Total non current liabilities -35.00%16.57M-29.29%19.43M-1.66%24.98M-1.66%24.98M-3.71%24.9M-1.07%25.49M91.18%27.47M100.30%25.4M100.30%25.4M118.48%25.86M
Total liabilities -38.25%22.42M-31.29%23.35M16.62%37.36M16.62%37.36M10.28%35.67M15.57%36.3M99.77%33.98M124.05%32.04M124.05%32.04M151.10%32.35M
Shareholders'equity
Share capital 8.23%139.48M8.40%139.1M7.98%131.15M7.98%131.15M9.88%130.76M8.27%128.88M9.61%128.33M5.00%121.46M5.00%121.46M3.84%119.01M
-common stock 8.23%139.48M8.40%139.1M7.98%131.15M7.98%131.15M9.88%130.76M8.27%128.88M9.61%128.33M5.00%121.46M5.00%121.46M3.84%119.01M
Retained earnings -11.30%-158.64M-9.75%-152.74M-15.88%-157.81M-15.88%-157.81M-12.33%-146.22M-12.94%-142.53M-17.12%-139.17M-17.56%-136.19M-17.56%-136.19M-13.93%-130.17M
Paid-in capital 52.03%14.43M55.99%14.12M11.12%9.78M11.12%9.78M16.08%9.66M17.10%9.5M16.63%9.05M18.64%8.8M18.64%8.8M17.54%8.32M
Gains losses not affecting retained earnings -199.95%-13.07K-845.65%-12.51K---10.67K---10.67K---10.29K92.62%-4.36K106.19%1.68K--0--0----
Other equity interest -68.49%1.93M-70.36%1.93M-11.85%5.74M-11.85%5.74M-13.74%6.13M-13.74%6.13M-6.50%6.51M-11.41%6.51M-11.41%6.51M-32.51%7.1M
Total stockholders'equity -243.56%-2.81M-49.22%2.4M-2,012.47%-11.16M-2,012.47%-11.16M-92.43%322.83K-75.43%1.96M-63.52%4.73M-96.00%583.35K-96.00%583.35K-76.25%4.26M
Total equity -243.56%-2.81M-49.22%2.4M-2,012.47%-11.16M-2,012.47%-11.16M-92.43%322.83K-75.43%1.96M-63.52%4.73M-96.00%583.35K-96.00%583.35K-76.25%4.26M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

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