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CRYBF DYNAMITE BLOCKCHAIN CORP

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  • 0.094500
  • +0.004800+5.35%
15min DelayClose Dec 20 16:00 ET
11.53MMarket Cap0.01P/E (TTM)

DYNAMITE BLOCKCHAIN CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jul 31, 2024
(Q1)Apr 30, 2024
(FY)Jan 31, 2024
(Q4)Jan 31, 2024
(Q3)Oct 31, 2023
(Q2)Jul 31, 2023
(Q1)Apr 30, 2023
(FY)Jan 31, 2023
(Q4)Jan 31, 2023
(Q3)Oct 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
49,565.66%1.74M
40,877.24%1.73M
6,418.21%1.73M
6,418.21%1.73M
-97.50%3.42K
-99.12%3.49K
-99.14%4.22K
-97.58%26.52K
-97.58%26.52K
-84.86%136.94K
-Cash and cash equivalents
181.53%9.83K
-30.38%2.94K
-84.89%3.28K
-84.89%3.28K
-95.68%3.42K
-98.97%3.49K
-98.98%4.22K
-97.84%21.68K
-97.84%21.68K
-91.24%79.26K
-Short-term investments
172,548,300.00%1.73M
172,548,300.00%1.73M
35,557.86%1.73M
35,557.86%1.73M
-100.00%1
-100.00%1
-100.00%1
-94.86%4.84K
-94.86%4.84K
2,884,250.00%57.69K
Receivables
-35.60%676.65K
-35.14%685.16K
-35.09%676.58K
-35.09%676.58K
0.34%1.03M
2.51%1.05M
4.92%1.06M
32.99%1.04M
32.99%1.04M
-36.76%1.03M
-Accounts receivable
----
----
--0
--0
-43.34%363.27K
-37.04%403.65K
-34.58%419.42K
-6.12%414.16K
-6.12%414.16K
-50.70%641.14K
-Loans receivable
9.56%275.17K
9.79%269.12K
10.00%263.2K
10.00%263.2K
--257.22K
--251.17K
--245.12K
--239.27K
--239.27K
----
-Taxes receivable
1.43%401.49K
6.18%416.05K
6.27%413.38K
6.27%413.38K
6.26%409.88K
3.14%395.84K
7.15%391.84K
13.50%388.98K
13.50%388.98K
19.29%385.71K
Prepaid assets
-0.24%2.05M
0.00%2.05M
0.00%2.05M
0.00%2.05M
-0.20%2.05M
-0.57%2.06M
-2.88%2.05M
5.14%2.05M
5.14%2.05M
1,097.03%2.05M
Total current assets
43.51%4.46M
43.50%4.46M
42.85%4.46M
42.85%4.46M
-4.17%3.08M
-10.89%3.11M
-13.78%3.11M
-18.56%3.12M
-18.56%3.12M
-9.83%3.22M
Non current assets
Net PPE
4.09%332.5K
--332.5K
--332.5K
--332.5K
--280.25K
--319.44K
----
--0
--0
----
-Gross PPE
--332.5K
--332.5K
--332.5K
--332.5K
--332.5K
----
----
--0
--0
----
-Accumulated depreciation
--0
--0
----
----
---52.25K
----
----
----
----
----
Goodwill and other intangible assets
-80.00%2.27M
216.07%2.32M
212.25%2.37M
212.25%2.37M
67.21%11.35M
66.97%11.37M
-89.24%735.28K
-88.92%760.28K
-88.92%760.28K
-0.73%6.79M
-Other intangible assets
-80.00%2.27M
216.07%2.32M
212.25%2.37M
212.25%2.37M
67.21%11.35M
66.97%11.37M
-89.24%735.28K
-88.92%760.28K
-88.92%760.28K
38.89%6.79M
Total non current assets
-77.70%2.61M
261.29%2.66M
255.99%2.71M
255.99%2.71M
71.34%11.63M
71.66%11.69M
-89.24%735.28K
-88.92%760.28K
-88.92%760.28K
-0.73%6.79M
Total assets
-52.24%7.07M
85.14%7.12M
84.62%7.16M
84.62%7.16M
47.05%14.71M
43.69%14.8M
-63.17%3.85M
-63.71%3.88M
-63.71%3.88M
-3.85%10M
Liabilities
Current liabilities
Payables
23.87%1.32M
27.30%1.29M
34.38%1.28M
34.38%1.28M
26.82%1.16M
-6.75%1.07M
8.34%1.01M
43.82%952.69K
43.82%952.69K
-42.44%918.56K
-accounts payable
15.23%1.21M
21.39%1.21M
28.22%1.2M
28.22%1.2M
22.32%1.1M
-2.77%1.05M
14.37%996.14K
56.34%936.65K
56.34%936.65K
-41.11%902.52K
-Total tax payable
0.00%4.33K
0.00%4.33K
0.00%4.33K
0.00%4.33K
0.00%4.33K
0.00%4.33K
0.00%4.33K
0.00%4.33K
0.00%4.33K
0.00%4.33K
-Due to related parties current
808.78%106.4K
540.59%75K
540.59%75K
540.59%75K
384.35%56.71K
-80.14%11.71K
-80.14%11.71K
-80.14%11.71K
-80.14%11.71K
-80.14%11.71K
Current debt and capital lease obligation
--225K
----
----
----
----
----
----
----
----
2.67%46.21K
-Current debt
--225K
----
----
----
----
----
----
----
----
2.67%46.21K
Current deferred liabilities
--1.61M
--1.61M
----
----
----
----
----
----
----
----
Other current liabilities
-78.60%1.22M
102.82%1.22M
370.71%2.82M
370.71%2.82M
847.66%5.69M
847.64%5.69M
0.00%600K
0.00%600K
0.00%600K
0.00%600K
Current liabilities
-35.27%4.37M
155.11%4.11M
164.35%4.1M
164.35%4.1M
337.82%6.85M
277.23%6.75M
2.04%1.61M
18.74%1.55M
18.74%1.55M
-30.17%1.56M
Non current liabilities
Long term debt and capital lease obligation
----
116.73%115K
-22.56%40K
-22.56%40K
10.96%55.89K
10.97%54.48K
10.98%53.06K
11.00%51.65K
11.00%51.65K
11.00%50.37K
-Long term debt
----
116.73%115K
-22.56%40K
-22.56%40K
10.96%55.89K
10.97%54.48K
10.98%53.06K
11.00%51.65K
11.00%51.65K
11.00%50.37K
Other non current liabilities
----
----
----
----
----
--110
--1
----
----
----
Total non current liabilities
--0
116.72%115K
-22.56%40K
-22.56%40K
10.96%55.89K
11.20%54.59K
10.98%53.06K
11.00%51.65K
11.00%51.65K
11.00%50.37K
Total liabilities
-35.79%4.37M
153.88%4.23M
158.33%4.14M
158.33%4.14M
327.63%6.91M
270.13%6.81M
2.31%1.67M
18.47%1.6M
18.47%1.6M
-29.35%1.62M
Shareholders'equity
Share capital
-5.72%50.73M
6.14%50.73M
6.01%50.67M
6.01%50.67M
12.58%53.81M
12.58%53.81M
0.00%47.8M
0.06%47.8M
0.06%47.8M
50.84%47.8M
-common stock
-5.72%50.73M
6.14%50.73M
6.01%50.67M
6.01%50.67M
12.58%53.81M
12.58%53.81M
0.00%47.8M
0.06%47.8M
0.06%47.8M
50.84%47.8M
Retained earnings
-5.15%-48.79M
-5.09%-48.55M
-4.80%-48.32M
-4.80%-48.32M
-16.44%-46.59M
-12.86%-46.4M
-13.34%-46.2M
-14.62%-46.1M
-14.62%-46.1M
-57.80%-40.01M
Gains losses not affecting retained earnings
30.22%756.46K
22.26%709.62K
14.12%662.69K
14.12%662.69K
-3.67%580.03K
-67.32%580.9K
-67.35%580.42K
-67.50%580.69K
-67.50%580.69K
-66.30%602.14K
Total stockholders'equity
-66.25%2.7M
32.64%2.89M
32.64%3.02M
32.64%3.02M
-6.97%7.8M
-5.53%7.99M
-75.26%2.18M
-75.63%2.27M
-75.63%2.27M
3.33%8.39M
Total equity
-66.25%2.7M
32.64%2.89M
32.64%3.02M
32.64%3.02M
-6.97%7.8M
-5.53%7.99M
-75.26%2.18M
-75.63%2.27M
-75.63%2.27M
3.33%8.39M
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)Jul 31, 2024(Q1)Apr 30, 2024(FY)Jan 31, 2024(Q4)Jan 31, 2024(Q3)Oct 31, 2023(Q2)Jul 31, 2023(Q1)Apr 30, 2023(FY)Jan 31, 2023(Q4)Jan 31, 2023(Q3)Oct 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 49,565.66%1.74M40,877.24%1.73M6,418.21%1.73M6,418.21%1.73M-97.50%3.42K-99.12%3.49K-99.14%4.22K-97.58%26.52K-97.58%26.52K-84.86%136.94K
-Cash and cash equivalents 181.53%9.83K-30.38%2.94K-84.89%3.28K-84.89%3.28K-95.68%3.42K-98.97%3.49K-98.98%4.22K-97.84%21.68K-97.84%21.68K-91.24%79.26K
-Short-term investments 172,548,300.00%1.73M172,548,300.00%1.73M35,557.86%1.73M35,557.86%1.73M-100.00%1-100.00%1-100.00%1-94.86%4.84K-94.86%4.84K2,884,250.00%57.69K
Receivables -35.60%676.65K-35.14%685.16K-35.09%676.58K-35.09%676.58K0.34%1.03M2.51%1.05M4.92%1.06M32.99%1.04M32.99%1.04M-36.76%1.03M
-Accounts receivable ----------0--0-43.34%363.27K-37.04%403.65K-34.58%419.42K-6.12%414.16K-6.12%414.16K-50.70%641.14K
-Loans receivable 9.56%275.17K9.79%269.12K10.00%263.2K10.00%263.2K--257.22K--251.17K--245.12K--239.27K--239.27K----
-Taxes receivable 1.43%401.49K6.18%416.05K6.27%413.38K6.27%413.38K6.26%409.88K3.14%395.84K7.15%391.84K13.50%388.98K13.50%388.98K19.29%385.71K
Prepaid assets -0.24%2.05M0.00%2.05M0.00%2.05M0.00%2.05M-0.20%2.05M-0.57%2.06M-2.88%2.05M5.14%2.05M5.14%2.05M1,097.03%2.05M
Total current assets 43.51%4.46M43.50%4.46M42.85%4.46M42.85%4.46M-4.17%3.08M-10.89%3.11M-13.78%3.11M-18.56%3.12M-18.56%3.12M-9.83%3.22M
Non current assets
Net PPE 4.09%332.5K--332.5K--332.5K--332.5K--280.25K--319.44K------0--0----
-Gross PPE --332.5K--332.5K--332.5K--332.5K--332.5K----------0--0----
-Accumulated depreciation --0--0-----------52.25K--------------------
Goodwill and other intangible assets -80.00%2.27M216.07%2.32M212.25%2.37M212.25%2.37M67.21%11.35M66.97%11.37M-89.24%735.28K-88.92%760.28K-88.92%760.28K-0.73%6.79M
-Other intangible assets -80.00%2.27M216.07%2.32M212.25%2.37M212.25%2.37M67.21%11.35M66.97%11.37M-89.24%735.28K-88.92%760.28K-88.92%760.28K38.89%6.79M
Total non current assets -77.70%2.61M261.29%2.66M255.99%2.71M255.99%2.71M71.34%11.63M71.66%11.69M-89.24%735.28K-88.92%760.28K-88.92%760.28K-0.73%6.79M
Total assets -52.24%7.07M85.14%7.12M84.62%7.16M84.62%7.16M47.05%14.71M43.69%14.8M-63.17%3.85M-63.71%3.88M-63.71%3.88M-3.85%10M
Liabilities
Current liabilities
Payables 23.87%1.32M27.30%1.29M34.38%1.28M34.38%1.28M26.82%1.16M-6.75%1.07M8.34%1.01M43.82%952.69K43.82%952.69K-42.44%918.56K
-accounts payable 15.23%1.21M21.39%1.21M28.22%1.2M28.22%1.2M22.32%1.1M-2.77%1.05M14.37%996.14K56.34%936.65K56.34%936.65K-41.11%902.52K
-Total tax payable 0.00%4.33K0.00%4.33K0.00%4.33K0.00%4.33K0.00%4.33K0.00%4.33K0.00%4.33K0.00%4.33K0.00%4.33K0.00%4.33K
-Due to related parties current 808.78%106.4K540.59%75K540.59%75K540.59%75K384.35%56.71K-80.14%11.71K-80.14%11.71K-80.14%11.71K-80.14%11.71K-80.14%11.71K
Current debt and capital lease obligation --225K--------------------------------2.67%46.21K
-Current debt --225K--------------------------------2.67%46.21K
Current deferred liabilities --1.61M--1.61M--------------------------------
Other current liabilities -78.60%1.22M102.82%1.22M370.71%2.82M370.71%2.82M847.66%5.69M847.64%5.69M0.00%600K0.00%600K0.00%600K0.00%600K
Current liabilities -35.27%4.37M155.11%4.11M164.35%4.1M164.35%4.1M337.82%6.85M277.23%6.75M2.04%1.61M18.74%1.55M18.74%1.55M-30.17%1.56M
Non current liabilities
Long term debt and capital lease obligation ----116.73%115K-22.56%40K-22.56%40K10.96%55.89K10.97%54.48K10.98%53.06K11.00%51.65K11.00%51.65K11.00%50.37K
-Long term debt ----116.73%115K-22.56%40K-22.56%40K10.96%55.89K10.97%54.48K10.98%53.06K11.00%51.65K11.00%51.65K11.00%50.37K
Other non current liabilities ----------------------110--1------------
Total non current liabilities --0116.72%115K-22.56%40K-22.56%40K10.96%55.89K11.20%54.59K10.98%53.06K11.00%51.65K11.00%51.65K11.00%50.37K
Total liabilities -35.79%4.37M153.88%4.23M158.33%4.14M158.33%4.14M327.63%6.91M270.13%6.81M2.31%1.67M18.47%1.6M18.47%1.6M-29.35%1.62M
Shareholders'equity
Share capital -5.72%50.73M6.14%50.73M6.01%50.67M6.01%50.67M12.58%53.81M12.58%53.81M0.00%47.8M0.06%47.8M0.06%47.8M50.84%47.8M
-common stock -5.72%50.73M6.14%50.73M6.01%50.67M6.01%50.67M12.58%53.81M12.58%53.81M0.00%47.8M0.06%47.8M0.06%47.8M50.84%47.8M
Retained earnings -5.15%-48.79M-5.09%-48.55M-4.80%-48.32M-4.80%-48.32M-16.44%-46.59M-12.86%-46.4M-13.34%-46.2M-14.62%-46.1M-14.62%-46.1M-57.80%-40.01M
Gains losses not affecting retained earnings 30.22%756.46K22.26%709.62K14.12%662.69K14.12%662.69K-3.67%580.03K-67.32%580.9K-67.35%580.42K-67.50%580.69K-67.50%580.69K-66.30%602.14K
Total stockholders'equity -66.25%2.7M32.64%2.89M32.64%3.02M32.64%3.02M-6.97%7.8M-5.53%7.99M-75.26%2.18M-75.63%2.27M-75.63%2.27M3.33%8.39M
Total equity -66.25%2.7M32.64%2.89M32.64%3.02M32.64%3.02M-6.97%7.8M-5.53%7.99M-75.26%2.18M-75.63%2.27M-75.63%2.27M3.33%8.39M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----
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