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CLCN CREATIVE LEARNING CORP

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  • 0.000000
  • 0.0000000.00%
15min DelayClose Dec 20 09:30 ET
0Market Cap0.00P/E (TTM)

CREATIVE LEARNING CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Mar 31, 2022
(Q1)Dec 31, 2021
(FY)Sep 30, 2021
(Q4)Sep 30, 2021
(Q3)Jun 30, 2021
(Q2)Mar 31, 2021
(Q1)Dec 31, 2020
(FY)Sep 30, 2020
(Q4)Sep 30, 2020
(Q3)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
50.80%593.06K
-38.55%278.88K
-12.59%373.81K
-12.59%373.81K
-22.57%380.41K
-31.15%393.29K
-19.46%453.82K
-18.08%427.66K
-18.08%427.66K
85.80%491.3K
-Cash and cash equivalents
50.80%593.06K
-38.55%278.88K
-18.18%349.92K
-18.18%349.92K
-22.57%380.41K
-31.15%393.29K
-19.46%453.82K
-18.08%427.66K
-18.08%427.66K
85.80%491.3K
-Short-term investments
----
----
--23.89K
--23.89K
----
----
----
--0
--0
----
Receivables
-54.61%109.32K
-64.18%83.48K
-60.65%109.55K
-60.65%109.55K
-58.54%220.83K
-46.87%240.86K
-40.65%233.04K
-1.33%278.37K
-1.33%278.37K
37.16%532.67K
-Accounts receivable
-95.96%9.32K
-75.96%52.58K
-61.48%103.7K
-61.48%103.7K
-56.44%199.46K
-40.21%230.8K
-31.27%218.71K
-3.55%269.21K
-3.55%269.21K
19.75%457.89K
-Notes receivable
1,232.80%100K
-29.82%5.85K
-36.16%5.85K
-36.16%5.85K
-33.16%6.68K
136.54%7.5K
--8.33K
205.30%9.16K
205.30%9.16K
66.45%9.99K
-Other receivables
----
317.57%25.05K
----
----
-77.33%14.69K
-96.02%2.56K
-91.94%6K
----
----
--64.79K
Prepaid assets
----
-21.01%155.52K
-26.85%162.82K
-26.85%162.82K
-28.53%174.8K
-20.93%193.32K
-15.71%196.87K
-8.40%222.57K
-8.40%222.57K
-11.23%244.56K
Restricted cash
----
-81.57%3.11K
-75.48%4.95K
-75.48%4.95K
-62.02%8.69K
-58.94%14.33K
-51.67%16.89K
12.50%20.19K
12.50%20.19K
-3.75%22.88K
Total current assets
-16.56%702.38K
-42.15%520.99K
-31.37%651.13K
-31.37%651.13K
-39.24%784.72K
-35.45%841.79K
-26.45%900.62K
-10.92%948.8K
-10.92%948.8K
35.64%1.29M
Non current assets
Net PPE
----
3.37%103.92K
-80.38%25.83K
-80.38%25.83K
-70.10%48.76K
-57.74%80.01K
-53.47%100.53K
-59.35%131.62K
-59.35%131.62K
-58.65%163.05K
-Gross PPE
----
17.35%678.92K
0.55%581.59K
0.55%581.59K
-4.90%549.76K
0.46%581.01K
-3.43%578.53K
-18.09%578.43K
-18.09%578.43K
-24.27%578.05K
-Accumulated depreciation
----
-20.29%-575K
-24.38%-555.76K
-24.38%-555.76K
-20.72%-501K
-28.79%-501K
-24.80%-478K
-16.85%-446.81K
-16.85%-446.81K
-12.47%-415K
Goodwill and other intangible assets
--1.56M
--154K
--162.4K
--162.4K
----
----
----
--0
--0
----
-Goodwill
--1.56M
----
----
----
----
----
----
----
----
----
Non current prepaid assets
----
-46.70%234.54K
-48.66%263.67K
-48.66%263.67K
-47.11%318.41K
-43.91%370.14K
-38.46%440.07K
-33.56%513.59K
-33.56%513.59K
-55.53%602K
Total non current assets
245.91%1.56M
-8.91%492.46K
-29.96%451.9K
-29.96%451.9K
-52.01%367.16K
-47.47%450.15K
-41.94%540.61K
-41.18%645.21K
-41.18%645.21K
-56.23%765.05K
Total assets
74.89%2.26M
-29.68%1.01M
-30.80%1.1M
-30.80%1.1M
-43.99%1.15M
-40.21%1.29M
-33.15%1.44M
-26.27%1.59M
-26.27%1.59M
-23.84%2.06M
Liabilities
Current liabilities
Payables
12.56%64.35K
-14.26%57.86K
142.85%168.85K
142.85%168.85K
292.67%294.29K
-7.40%57.16K
-53.95%67.48K
-35.44%69.53K
-35.44%69.53K
-19.45%74.95K
-accounts payable
5.42%60.26K
-14.26%57.86K
142.85%168.85K
142.85%168.85K
292.67%294.29K
-7.40%57.16K
-53.95%67.48K
-35.44%69.53K
-35.44%69.53K
-19.45%74.95K
-Due to related parties current
--4.08K
----
----
----
----
----
----
----
----
----
Current accrued expenses
90.21%42.96K
1,347.68%327K
--243.48K
--243.48K
-32.98%22.59K
-59.39%22.59K
-2.74%22.59K
----
----
-58.57%33.7K
Current debt and capital lease obligation
228.11%393.67K
84.36%221.2K
0.00%119.98K
0.00%119.98K
0.00%119.98K
--119.98K
--119.98K
--119.98K
--119.98K
--119.98K
-Current debt
228.11%393.67K
0.00%119.98K
0.00%119.98K
0.00%119.98K
0.00%119.98K
--119.98K
--119.98K
--119.98K
--119.98K
--119.98K
-Current capital lease obligation
----
--101.22K
----
----
----
----
----
----
----
----
Current deferred liabilities
----
-15.50%708.17K
-23.76%697.68K
-23.76%697.68K
-23.31%746.08K
-20.15%781.92K
-14.60%838.05K
-7.19%915.1K
-7.19%915.1K
-3.81%972.87K
Current liabilities
-48.97%500.98K
25.39%1.31M
10.77%1.23M
10.77%1.23M
-1.54%1.18M
-10.48%981.65K
-8.95%1.05M
-8.70%1.11M
-8.70%1.11M
1.33%1.2M
Non current liabilities
Long term debt and capital lease obligation
--105.27K
----
----
----
----
----
----
----
----
----
-Long term debt
--105.27K
----
----
----
----
----
----
----
----
----
Non current deferred liabilities
----
-44.10%1.11M
-44.65%1.27M
-44.65%1.27M
-46.19%1.47M
-42.55%1.69M
-36.84%1.99M
-32.07%2.3M
-32.07%2.3M
-28.48%2.74M
Preferred securities outside stock equity
--400K
----
----
----
----
----
----
----
----
----
Total non current liabilities
-70.15%505.27K
-44.10%1.11M
-44.65%1.27M
-44.65%1.27M
-46.19%1.47M
-42.55%1.69M
-36.84%1.99M
-32.07%2.3M
-32.07%2.3M
-28.48%2.74M
Total liabilities
-62.37%1.01M
-20.10%2.42M
-26.56%2.51M
-26.56%2.51M
-32.58%2.66M
-33.85%2.67M
-29.36%3.03M
-25.87%3.41M
-25.87%3.41M
-21.44%3.94M
Shareholders'equity
Share capital
53.63%2.03K
2.62%1.37K
1.35%1.35K
1.35%1.35K
-0.90%1.32K
-2.94%1.32K
-1.91%1.33K
-1.91%1.33K
-1.91%1.33K
10.34%1.33K
-common stock
34.04%1.77K
2.62%1.37K
1.35%1.35K
1.35%1.35K
-0.90%1.32K
-2.94%1.32K
-1.91%1.33K
-1.91%1.33K
-1.91%1.33K
10.34%1.33K
-Preferred stock
--259
--0
----
----
--0
--0
--0
----
----
--0
Retained earnings
54.27%-2M
1.96%-4.46M
6.81%-4.45M
6.81%-4.45M
7.22%-4.49M
9.71%-4.37M
10.69%-4.55M
11.50%-4.77M
11.50%-4.77M
6.55%-4.84M
Paid-in capital
8.19%3.27M
2.56%3.07M
2.46%3.06M
2.46%3.06M
1.00%3.02M
1.00%3.02M
0.08%2.99M
0.08%2.99M
0.08%2.99M
3.20%2.99M
Less: Treasury stock
-47.65%18.13K
-47.65%18.13K
-47.65%18.13K
-47.65%18.13K
0.00%34.63K
0.00%34.63K
0.00%34.63K
0.00%34.63K
0.00%34.63K
0.00%34.63K
Total stockholders'equity
190.66%1.25M
11.44%-1.41M
22.84%-1.4M
22.84%-1.4M
20.14%-1.51M
26.55%-1.38M
25.55%-1.59M
25.52%-1.82M
25.52%-1.82M
18.64%-1.89M
Total equity
190.66%1.25M
11.44%-1.41M
22.84%-1.4M
22.84%-1.4M
20.14%-1.51M
26.55%-1.38M
25.55%-1.59M
25.52%-1.82M
25.52%-1.82M
18.64%-1.89M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
--
--
--
--
Unqualified Opinion
--
--
(Q2)Mar 31, 2022(Q1)Dec 31, 2021(FY)Sep 30, 2021(Q4)Sep 30, 2021(Q3)Jun 30, 2021(Q2)Mar 31, 2021(Q1)Dec 31, 2020(FY)Sep 30, 2020(Q4)Sep 30, 2020(Q3)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments 50.80%593.06K-38.55%278.88K-12.59%373.81K-12.59%373.81K-22.57%380.41K-31.15%393.29K-19.46%453.82K-18.08%427.66K-18.08%427.66K85.80%491.3K
-Cash and cash equivalents 50.80%593.06K-38.55%278.88K-18.18%349.92K-18.18%349.92K-22.57%380.41K-31.15%393.29K-19.46%453.82K-18.08%427.66K-18.08%427.66K85.80%491.3K
-Short-term investments ----------23.89K--23.89K--------------0--0----
Receivables -54.61%109.32K-64.18%83.48K-60.65%109.55K-60.65%109.55K-58.54%220.83K-46.87%240.86K-40.65%233.04K-1.33%278.37K-1.33%278.37K37.16%532.67K
-Accounts receivable -95.96%9.32K-75.96%52.58K-61.48%103.7K-61.48%103.7K-56.44%199.46K-40.21%230.8K-31.27%218.71K-3.55%269.21K-3.55%269.21K19.75%457.89K
-Notes receivable 1,232.80%100K-29.82%5.85K-36.16%5.85K-36.16%5.85K-33.16%6.68K136.54%7.5K--8.33K205.30%9.16K205.30%9.16K66.45%9.99K
-Other receivables ----317.57%25.05K---------77.33%14.69K-96.02%2.56K-91.94%6K----------64.79K
Prepaid assets -----21.01%155.52K-26.85%162.82K-26.85%162.82K-28.53%174.8K-20.93%193.32K-15.71%196.87K-8.40%222.57K-8.40%222.57K-11.23%244.56K
Restricted cash -----81.57%3.11K-75.48%4.95K-75.48%4.95K-62.02%8.69K-58.94%14.33K-51.67%16.89K12.50%20.19K12.50%20.19K-3.75%22.88K
Total current assets -16.56%702.38K-42.15%520.99K-31.37%651.13K-31.37%651.13K-39.24%784.72K-35.45%841.79K-26.45%900.62K-10.92%948.8K-10.92%948.8K35.64%1.29M
Non current assets
Net PPE ----3.37%103.92K-80.38%25.83K-80.38%25.83K-70.10%48.76K-57.74%80.01K-53.47%100.53K-59.35%131.62K-59.35%131.62K-58.65%163.05K
-Gross PPE ----17.35%678.92K0.55%581.59K0.55%581.59K-4.90%549.76K0.46%581.01K-3.43%578.53K-18.09%578.43K-18.09%578.43K-24.27%578.05K
-Accumulated depreciation -----20.29%-575K-24.38%-555.76K-24.38%-555.76K-20.72%-501K-28.79%-501K-24.80%-478K-16.85%-446.81K-16.85%-446.81K-12.47%-415K
Goodwill and other intangible assets --1.56M--154K--162.4K--162.4K--------------0--0----
-Goodwill --1.56M------------------------------------
Non current prepaid assets -----46.70%234.54K-48.66%263.67K-48.66%263.67K-47.11%318.41K-43.91%370.14K-38.46%440.07K-33.56%513.59K-33.56%513.59K-55.53%602K
Total non current assets 245.91%1.56M-8.91%492.46K-29.96%451.9K-29.96%451.9K-52.01%367.16K-47.47%450.15K-41.94%540.61K-41.18%645.21K-41.18%645.21K-56.23%765.05K
Total assets 74.89%2.26M-29.68%1.01M-30.80%1.1M-30.80%1.1M-43.99%1.15M-40.21%1.29M-33.15%1.44M-26.27%1.59M-26.27%1.59M-23.84%2.06M
Liabilities
Current liabilities
Payables 12.56%64.35K-14.26%57.86K142.85%168.85K142.85%168.85K292.67%294.29K-7.40%57.16K-53.95%67.48K-35.44%69.53K-35.44%69.53K-19.45%74.95K
-accounts payable 5.42%60.26K-14.26%57.86K142.85%168.85K142.85%168.85K292.67%294.29K-7.40%57.16K-53.95%67.48K-35.44%69.53K-35.44%69.53K-19.45%74.95K
-Due to related parties current --4.08K------------------------------------
Current accrued expenses 90.21%42.96K1,347.68%327K--243.48K--243.48K-32.98%22.59K-59.39%22.59K-2.74%22.59K---------58.57%33.7K
Current debt and capital lease obligation 228.11%393.67K84.36%221.2K0.00%119.98K0.00%119.98K0.00%119.98K--119.98K--119.98K--119.98K--119.98K--119.98K
-Current debt 228.11%393.67K0.00%119.98K0.00%119.98K0.00%119.98K0.00%119.98K--119.98K--119.98K--119.98K--119.98K--119.98K
-Current capital lease obligation ------101.22K--------------------------------
Current deferred liabilities -----15.50%708.17K-23.76%697.68K-23.76%697.68K-23.31%746.08K-20.15%781.92K-14.60%838.05K-7.19%915.1K-7.19%915.1K-3.81%972.87K
Current liabilities -48.97%500.98K25.39%1.31M10.77%1.23M10.77%1.23M-1.54%1.18M-10.48%981.65K-8.95%1.05M-8.70%1.11M-8.70%1.11M1.33%1.2M
Non current liabilities
Long term debt and capital lease obligation --105.27K------------------------------------
-Long term debt --105.27K------------------------------------
Non current deferred liabilities -----44.10%1.11M-44.65%1.27M-44.65%1.27M-46.19%1.47M-42.55%1.69M-36.84%1.99M-32.07%2.3M-32.07%2.3M-28.48%2.74M
Preferred securities outside stock equity --400K------------------------------------
Total non current liabilities -70.15%505.27K-44.10%1.11M-44.65%1.27M-44.65%1.27M-46.19%1.47M-42.55%1.69M-36.84%1.99M-32.07%2.3M-32.07%2.3M-28.48%2.74M
Total liabilities -62.37%1.01M-20.10%2.42M-26.56%2.51M-26.56%2.51M-32.58%2.66M-33.85%2.67M-29.36%3.03M-25.87%3.41M-25.87%3.41M-21.44%3.94M
Shareholders'equity
Share capital 53.63%2.03K2.62%1.37K1.35%1.35K1.35%1.35K-0.90%1.32K-2.94%1.32K-1.91%1.33K-1.91%1.33K-1.91%1.33K10.34%1.33K
-common stock 34.04%1.77K2.62%1.37K1.35%1.35K1.35%1.35K-0.90%1.32K-2.94%1.32K-1.91%1.33K-1.91%1.33K-1.91%1.33K10.34%1.33K
-Preferred stock --259--0----------0--0--0----------0
Retained earnings 54.27%-2M1.96%-4.46M6.81%-4.45M6.81%-4.45M7.22%-4.49M9.71%-4.37M10.69%-4.55M11.50%-4.77M11.50%-4.77M6.55%-4.84M
Paid-in capital 8.19%3.27M2.56%3.07M2.46%3.06M2.46%3.06M1.00%3.02M1.00%3.02M0.08%2.99M0.08%2.99M0.08%2.99M3.20%2.99M
Less: Treasury stock -47.65%18.13K-47.65%18.13K-47.65%18.13K-47.65%18.13K0.00%34.63K0.00%34.63K0.00%34.63K0.00%34.63K0.00%34.63K0.00%34.63K
Total stockholders'equity 190.66%1.25M11.44%-1.41M22.84%-1.4M22.84%-1.4M20.14%-1.51M26.55%-1.38M25.55%-1.59M25.52%-1.82M25.52%-1.82M18.64%-1.89M
Total equity 190.66%1.25M11.44%-1.41M22.84%-1.4M22.84%-1.4M20.14%-1.51M26.55%-1.38M25.55%-1.59M25.52%-1.82M25.52%-1.82M18.64%-1.89M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----
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