(Q3)Jun 30, 2024 | (Q2)Mar 31, 2024 | (Q1)Dec 31, 2023 | (FY)Sep 30, 2023 | (Q4)Sep 30, 2023 | (Q3)Jun 30, 2023 | (Q2)Mar 31, 2023 | (Q1)Dec 31, 2022 | (FY)Sep 30, 2022 | (Q4)Sep 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -78.54%3.22M | -82.48%4M | 30.64%8.15M | -3.43%12.09M | -3.43%12.09M | 22.68%15M | 17.04%22.84M | -75.56%6.23M | -53.31%12.52M | -53.31%12.52M |
-Cash and cash equivalents | -78.36%3.22M | -82.34%4M | 41.35%8.15M | -1.13%12.09M | -1.13%12.09M | 23.81%14.87M | 17.88%22.66M | -77.13%5.76M | -54.05%12.23M | -54.05%12.23M |
-Short term investments | ---- | ---- | ---- | --0 | --0 | -41.12%125.19K | -37.91%180.92K | 50.00%472.5K | 42.31%291.38K | 42.31%291.38K |
Receivables | -15.18%504.65K | 2.35%690.47K | 148.06%1.48M | 104.49%843.41K | 104.49%843.41K | 1,800.69%594.99K | 3,202.05%674.61K | 10,663.19%598.54K | 2,083.78%412.45K | 2,083.78%412.45K |
-Accounts receivable | -15.18%504.65K | 2.35%690.47K | 148.06%1.48M | 104.49%843.41K | 104.49%843.41K | 1,800.69%594.99K | 3,202.05%674.61K | 10,663.19%598.54K | 2,083.78%412.45K | 2,083.78%412.45K |
Prepaid assets | -71.13%184.06K | -19.11%266.62K | 41.08%477.78K | 48.14%635.4K | 48.14%635.4K | 175.22%637.48K | 18.71%329.61K | 63.54%338.66K | 42.30%428.91K | 42.30%428.91K |
Total current assets | -75.92%3.91M | -79.20%4.96M | 40.93%10.11M | 1.56%13.57M | 1.56%13.57M | 29.97%16.23M | 20.35%23.85M | -72.12%7.17M | -50.76%13.36M | -50.76%13.36M |
Non current assets | ||||||||||
Net PPE | 27.93%51.5M | 41.25%50.06M | 56.12%47.81M | 76.99%45.11M | 76.99%45.11M | 85.29%40.26M | 143.19%35.44M | 268.66%30.63M | 248.82%25.49M | 248.82%25.49M |
-Gross PPE | 40.48%57.13M | 55.11%55.47M | 74.30%53.8M | 98.72%50.96M | 98.72%50.96M | 86.35%40.67M | 144.65%35.76M | 271.53%30.87M | 250.78%25.64M | 250.78%25.64M |
-Accumulated depreciation | -1,275.10%-5.63M | -1,585.37%-5.41M | -2,409.98%-5.98M | -3,666.37%-5.85M | -3,666.37%-5.85M | -326.37%-409.51K | -622.08%-321.18K | ---238.37K | -4,383.80%-155.23K | -4,383.80%-155.23K |
Investments and advances | 3.24%102.58K | 50.11%101.55K | 46.74%99.35K | 48.25%101.84K | 48.25%101.84K | 54.15%99.36K | 8.19%67.65K | 6.64%67.7K | 8.10%68.69K | 8.10%68.69K |
-Financial asset investment | 3.24%102.58K | 50.11%101.55K | 46.74%99.35K | 48.25%101.84K | 48.25%101.84K | 54.15%99.36K | 8.19%67.65K | 6.64%67.7K | 8.10%68.69K | 8.10%68.69K |
-Including:Held to maturity investments | 3.24%102.58K | 50.11%101.55K | 46.74%99.35K | 48.25%101.84K | 48.25%101.84K | 54.15%99.36K | 8.19%67.65K | 6.64%67.7K | 8.10%68.69K | 8.10%68.69K |
Non current note receivables | 13.77%1.35M | 37.98%1.61M | -42.39%649.05K | -39.54%665.3K | -39.54%665.3K | --1.19M | --1.17M | --1.13M | --1.1M | --1.1M |
Total non current assets | 27.46%52.95M | 41.16%51.77M | 52.61%48.56M | 72.11%45.88M | 72.11%45.88M | 90.54%41.55M | 150.41%36.67M | 279.63%31.82M | 261.10%26.66M | 261.10%26.66M |
Total assets | -1.58%56.86M | -6.27%56.73M | 50.46%58.67M | 48.55%59.45M | 48.55%59.45M | 68.48%57.78M | 75.62%60.52M | 14.33%38.99M | 15.92%40.02M | 15.92%40.02M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -75.62%513.82K | -83.31%515.18K | -38.18%1.24M | -59.27%956.34K | -59.27%956.34K | 1,999.44%2.11M | 2,057.16%3.09M | 554.73%2.01M | 354.28%2.35M | 354.28%2.35M |
-accounts payable | -76.01%498.44K | -83.74%499.81K | -39.14%1.22M | -60.49%918.54K | -60.49%918.54K | 1,970.05%2.08M | 2,264.66%3.07M | 551.25%2M | 362.81%2.32M | 362.81%2.32M |
-Due to related parties current | -47.87%15.38K | 25.82%15.38K | 142.69%25.91K | 61.47%37.8K | 61.47%37.8K | --29.5K | -6.49%12.22K | --10.68K | 60.56%23.41K | 60.56%23.41K |
Current liabilities | -75.62%513.82K | -83.31%515.18K | -38.18%1.24M | -59.27%956.34K | -59.27%956.34K | 1,999.44%2.11M | 2,057.16%3.09M | 554.73%2.01M | 354.28%2.35M | 354.28%2.35M |
Non current liabilities | ||||||||||
Long term provisions | 2,192.60%7.78M | 2,122.30%7.7M | 2,072.41%7.53M | 2,091.90%7.72M | 2,091.90%7.72M | 122.90%339.3K | 134.67%346.52K | 131.30%346.8K | 134.76%352.32K | 134.76%352.32K |
Total non current liabilities | 2,192.60%7.78M | 2,122.30%7.7M | 2,072.41%7.53M | 2,091.90%7.72M | 2,091.90%7.72M | 122.90%339.3K | 134.67%346.52K | 131.30%346.8K | 134.76%352.32K | 134.76%352.32K |
Total liabilities | 238.93%8.29M | 139.36%8.22M | 271.96%8.78M | 221.41%8.68M | 221.41%8.68M | 868.59%2.45M | 1,080.67%3.43M | 415.94%2.36M | 304.88%2.7M | 304.88%2.7M |
Shareholders'equity | ||||||||||
Share capital | 0.01%80.78M | -0.37%80.78M | 30.94%80.78M | 31.12%80.78M | 31.12%80.78M | 43.82%80.76M | 46.24%81.08M | 13.34%61.69M | 13.38%61.61M | 13.38%61.61M |
-common stock | 0.01%80.78M | -0.37%80.78M | 30.94%80.78M | 31.12%80.78M | 31.12%80.78M | 43.82%80.76M | 46.24%81.08M | 13.34%61.69M | 13.38%61.61M | 13.38%61.61M |
Retained earnings | -23.27%-51.47M | -23.90%-49.81M | -27.09%-48.92M | -31.78%-48.06M | -31.78%-48.06M | -23.05%-41.76M | -24.84%-40.2M | -28.32%-38.5M | -26.00%-36.47M | -26.00%-36.47M |
Gains losses not affecting retained earnings | --1.81M | --1.15M | --1.66M | --1.72M | --1.72M | ---- | ---- | ---- | --0 | --0 |
Other equity interest | 6.94%17.46M | 1.10%16.39M | 21.90%16.38M | 34.06%16.33M | 34.06%16.33M | 38.11%16.32M | 48.31%16.21M | 45.72%13.44M | 43.93%12.18M | 43.93%12.18M |
Total stockholders'equity | -12.22%48.57M | -15.02%48.51M | 36.19%49.89M | 36.04%50.77M | 36.04%50.77M | 62.55%55.33M | 67.07%57.09M | 8.87%36.63M | 10.23%37.32M | 10.23%37.32M |
Total equity | -12.22%48.57M | -15.02%48.51M | 36.19%49.89M | 36.04%50.77M | 36.04%50.77M | 62.55%55.33M | 67.07%57.09M | 8.87%36.63M | 10.23%37.32M | 10.23%37.32M |
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 | -- |
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.
No Data