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ECORF ELCORA ADVANCED MATERIALS CORP

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  • 0.013
  • +0.000+2.04%
15min DelayClose Dec 20 16:00 ET
2.21MMarket Cap-1.86P/E (TTM)

ELCORA ADVANCED MATERIALS CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
--227.8K
389.90%47.91K
-4.03%14.6K
-4.03%14.6K
-31.26%111.1K
--0
-95.30%9.78K
-95.08%15.21K
-95.08%15.21K
-81.50%161.61K
-Cash and cash equivalents
--123.36K
389.90%47.91K
-4.03%14.6K
-4.03%14.6K
-31.26%111.1K
--0
-95.30%9.78K
-95.08%15.21K
-95.08%15.21K
-81.50%161.61K
-Short-term investments
--104.44K
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Receivables
-87.05%12.67K
112.02%37.76K
4.50%33.23K
4.50%33.23K
349.00%99.82K
508.43%97.84K
178.43%17.81K
435.96%31.8K
435.96%31.8K
122.74%22.23K
-Accounts receivable
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--72.7K
--74.32K
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-Taxes receivable
-46.12%12.67K
112.02%37.76K
4.50%33.23K
4.50%33.23K
21.99%27.12K
46.26%23.52K
178.43%17.81K
435.96%31.8K
435.96%31.8K
122.74%22.23K
Inventory
--13.72K
--13.25K
--13.36K
--13.36K
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--0
--0
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Prepaid assets
-55.39%3.65K
-66.06%5.53K
-39.85%15.62K
-39.85%15.62K
-81.23%6.55K
-92.24%8.19K
-78.53%16.28K
-65.67%25.96K
-65.67%25.96K
1,458.01%34.92K
Other current assets
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---450
Total current assets
143.20%257.84K
138.09%104.45K
5.25%76.81K
5.25%76.81K
-0.38%217.47K
-87.02%106.02K
-84.89%43.87K
-81.32%72.98K
-81.32%72.98K
-75.35%218.31K
Non current assets
Net PPE
-12.29%1.65M
-8.80%1.66M
-8.18%1.65M
-8.18%1.65M
5.87%1.87M
21.91%1.88M
32.68%1.82M
40.68%1.79M
40.68%1.79M
70.39%1.77M
-Gross PPE
-35.53%1.65M
-33.35%1.66M
0.94%2.39M
0.94%2.39M
7.21%2.56M
18.96%2.56M
26.36%2.5M
26.84%2.37M
26.84%2.37M
53.14%2.38M
-Accumulated depreciation
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-29.40%-743.09K
-29.40%-743.09K
-11.03%-686.11K
-11.48%-679.11K
-11.89%-671.77K
2.94%-574.24K
2.94%-574.24K
-18.77%-617.94K
Other non current assets
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--1
--1
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Total non current assets
-12.29%1.65M
-8.80%1.66M
-8.18%1.65M
-8.18%1.65M
5.87%1.87M
21.91%1.88M
32.68%1.82M
40.68%1.79M
40.68%1.79M
70.39%1.77M
Total assets
-4.01%1.91M
-5.35%1.77M
-7.65%1.72M
-7.65%1.72M
5.18%2.09M
-15.76%1.99M
12.18%1.87M
12.04%1.86M
12.04%1.86M
3.25%1.98M
Liabilities
Current liabilities
Payables
21.62%556.98K
43.75%469.93K
16.23%440.11K
16.23%440.11K
5.07%398.08K
21.71%457.97K
-19.52%326.92K
44.63%378.64K
44.63%378.64K
28.45%378.86K
-accounts payable
21.62%556.98K
43.75%469.93K
16.23%440.11K
16.23%440.11K
4.95%398.08K
21.71%457.97K
-19.52%326.92K
44.63%378.64K
44.63%378.64K
28.60%379.31K
Current accrued expenses
70.42%1.77M
73.75%1.71M
84.48%1.6M
84.48%1.6M
66.74%1.21M
7.70%1.04M
49.02%981.38K
31.74%867.54K
31.74%867.54K
22.90%723.54K
Current debt and capital lease obligation
31.72%549.82K
72.32%506.98K
68.88%433.36K
68.88%433.36K
108.66%479.86K
111.35%417.41K
155.47%294.21K
23.85%256.6K
23.85%256.6K
-28.66%229.98K
-Current debt
43.00%549.82K
73.87%500.82K
73.24%418.1K
73.24%418.1K
121.42%455.69K
133.62%384.5K
160.04%288.05K
22.93%241.34K
22.93%241.34K
-32.55%205.8K
-Current capital lease obligation
--0
0.00%6.16K
0.00%15.26K
0.00%15.26K
0.00%24.17K
0.00%32.91K
40.38%6.16K
40.39%15.26K
40.39%15.26K
40.39%24.17K
Current liabilities
50.28%2.87M
67.37%2.68M
64.62%2.47M
64.62%2.47M
56.44%2.08M
24.46%1.91M
35.81%1.6M
33.28%1.5M
33.28%1.5M
10.48%1.33M
Non current liabilities
Long term debt and capital lease obligation
14.56%698.63K
7.91%710.01K
1.83%695.33K
1.83%695.33K
-6.28%623.97K
-10.92%609.82K
-7.18%657.99K
0.38%682.87K
0.38%682.87K
11.84%665.79K
-Long term debt
14.56%698.63K
7.91%710.01K
1.83%695.33K
1.83%695.33K
-6.28%623.97K
-10.92%609.82K
-7.18%657.99K
0.38%682.87K
0.38%682.87K
11.84%665.79K
Non current deferred liabilities
--206.62K
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Total non current liabilities
48.45%905.25K
7.91%710.01K
1.83%695.33K
1.83%695.33K
-6.28%623.97K
-10.92%609.82K
-7.18%657.99K
0.38%682.87K
0.38%682.87K
11.84%665.79K
Total liabilities
49.84%3.78M
50.06%3.39M
45.00%3.17M
45.00%3.17M
35.54%2.71M
13.56%2.52M
19.68%2.26M
20.90%2.19M
20.90%2.19M
10.93%2M
Shareholders'equity
Share capital
0.68%20.61M
0.77%20.61M
1.45%20.61M
1.45%20.61M
1.60%20.71M
3.99%20.47M
4.07%20.45M
3.63%20.32M
3.63%20.32M
2.74%20.38M
-common stock
0.68%20.61M
0.77%20.61M
1.45%20.61M
1.45%20.61M
1.60%20.71M
3.99%20.47M
4.07%20.45M
3.63%20.32M
3.63%20.32M
2.74%20.38M
Retained earnings
-5.41%-26.92M
-5.10%-26.67M
-5.00%-26.48M
-5.00%-26.48M
-5.77%-25.75M
-5.87%-25.54M
-6.82%-25.37M
-6.76%-25.22M
-6.76%-25.22M
-3.17%-24.34M
Gains losses not affecting retained earnings
-6.95%20.94K
-27.09%18.1K
-4.44%21.26K
-4.44%21.26K
1,887.37%24.23K
9,885.22%22.51K
69,077.78%24.83K
278,125.00%22.24K
278,125.00%22.24K
--1.22K
Other equity interest
-2.04%4.42M
-1.98%4.41M
-3.48%4.4M
-3.48%4.4M
11.39%4.39M
-1.43%4.51M
16.19%4.5M
17.68%4.56M
17.68%4.56M
1.81%3.94M
Total stockholders'equity
-251.35%-1.87M
-313.42%-1.62M
-351.08%-1.45M
-351.08%-1.45M
-4,566.94%-620.66K
-475.39%-531.68K
-75.43%-392.93K
-123.80%-320.81K
-123.80%-320.81K
-110.98%-13.3K
Total equity
-251.35%-1.87M
-313.42%-1.62M
-351.08%-1.45M
-351.08%-1.45M
-4,566.94%-620.66K
-475.39%-531.68K
-75.43%-392.93K
-123.80%-320.81K
-123.80%-320.81K
-110.98%-13.3K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
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Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
--
--
(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments --227.8K389.90%47.91K-4.03%14.6K-4.03%14.6K-31.26%111.1K--0-95.30%9.78K-95.08%15.21K-95.08%15.21K-81.50%161.61K
-Cash and cash equivalents --123.36K389.90%47.91K-4.03%14.6K-4.03%14.6K-31.26%111.1K--0-95.30%9.78K-95.08%15.21K-95.08%15.21K-81.50%161.61K
-Short-term investments --104.44K------------------------------------
Receivables -87.05%12.67K112.02%37.76K4.50%33.23K4.50%33.23K349.00%99.82K508.43%97.84K178.43%17.81K435.96%31.8K435.96%31.8K122.74%22.23K
-Accounts receivable ------------------72.7K--74.32K----------------
-Taxes receivable -46.12%12.67K112.02%37.76K4.50%33.23K4.50%33.23K21.99%27.12K46.26%23.52K178.43%17.81K435.96%31.8K435.96%31.8K122.74%22.23K
Inventory --13.72K--13.25K--13.36K--13.36K--------------0--0----
Prepaid assets -55.39%3.65K-66.06%5.53K-39.85%15.62K-39.85%15.62K-81.23%6.55K-92.24%8.19K-78.53%16.28K-65.67%25.96K-65.67%25.96K1,458.01%34.92K
Other current assets ---------------------------------------450
Total current assets 143.20%257.84K138.09%104.45K5.25%76.81K5.25%76.81K-0.38%217.47K-87.02%106.02K-84.89%43.87K-81.32%72.98K-81.32%72.98K-75.35%218.31K
Non current assets
Net PPE -12.29%1.65M-8.80%1.66M-8.18%1.65M-8.18%1.65M5.87%1.87M21.91%1.88M32.68%1.82M40.68%1.79M40.68%1.79M70.39%1.77M
-Gross PPE -35.53%1.65M-33.35%1.66M0.94%2.39M0.94%2.39M7.21%2.56M18.96%2.56M26.36%2.5M26.84%2.37M26.84%2.37M53.14%2.38M
-Accumulated depreciation ---------29.40%-743.09K-29.40%-743.09K-11.03%-686.11K-11.48%-679.11K-11.89%-671.77K2.94%-574.24K2.94%-574.24K-18.77%-617.94K
Other non current assets ----------1--1------------------------
Total non current assets -12.29%1.65M-8.80%1.66M-8.18%1.65M-8.18%1.65M5.87%1.87M21.91%1.88M32.68%1.82M40.68%1.79M40.68%1.79M70.39%1.77M
Total assets -4.01%1.91M-5.35%1.77M-7.65%1.72M-7.65%1.72M5.18%2.09M-15.76%1.99M12.18%1.87M12.04%1.86M12.04%1.86M3.25%1.98M
Liabilities
Current liabilities
Payables 21.62%556.98K43.75%469.93K16.23%440.11K16.23%440.11K5.07%398.08K21.71%457.97K-19.52%326.92K44.63%378.64K44.63%378.64K28.45%378.86K
-accounts payable 21.62%556.98K43.75%469.93K16.23%440.11K16.23%440.11K4.95%398.08K21.71%457.97K-19.52%326.92K44.63%378.64K44.63%378.64K28.60%379.31K
Current accrued expenses 70.42%1.77M73.75%1.71M84.48%1.6M84.48%1.6M66.74%1.21M7.70%1.04M49.02%981.38K31.74%867.54K31.74%867.54K22.90%723.54K
Current debt and capital lease obligation 31.72%549.82K72.32%506.98K68.88%433.36K68.88%433.36K108.66%479.86K111.35%417.41K155.47%294.21K23.85%256.6K23.85%256.6K-28.66%229.98K
-Current debt 43.00%549.82K73.87%500.82K73.24%418.1K73.24%418.1K121.42%455.69K133.62%384.5K160.04%288.05K22.93%241.34K22.93%241.34K-32.55%205.8K
-Current capital lease obligation --00.00%6.16K0.00%15.26K0.00%15.26K0.00%24.17K0.00%32.91K40.38%6.16K40.39%15.26K40.39%15.26K40.39%24.17K
Current liabilities 50.28%2.87M67.37%2.68M64.62%2.47M64.62%2.47M56.44%2.08M24.46%1.91M35.81%1.6M33.28%1.5M33.28%1.5M10.48%1.33M
Non current liabilities
Long term debt and capital lease obligation 14.56%698.63K7.91%710.01K1.83%695.33K1.83%695.33K-6.28%623.97K-10.92%609.82K-7.18%657.99K0.38%682.87K0.38%682.87K11.84%665.79K
-Long term debt 14.56%698.63K7.91%710.01K1.83%695.33K1.83%695.33K-6.28%623.97K-10.92%609.82K-7.18%657.99K0.38%682.87K0.38%682.87K11.84%665.79K
Non current deferred liabilities --206.62K------------------------------------
Total non current liabilities 48.45%905.25K7.91%710.01K1.83%695.33K1.83%695.33K-6.28%623.97K-10.92%609.82K-7.18%657.99K0.38%682.87K0.38%682.87K11.84%665.79K
Total liabilities 49.84%3.78M50.06%3.39M45.00%3.17M45.00%3.17M35.54%2.71M13.56%2.52M19.68%2.26M20.90%2.19M20.90%2.19M10.93%2M
Shareholders'equity
Share capital 0.68%20.61M0.77%20.61M1.45%20.61M1.45%20.61M1.60%20.71M3.99%20.47M4.07%20.45M3.63%20.32M3.63%20.32M2.74%20.38M
-common stock 0.68%20.61M0.77%20.61M1.45%20.61M1.45%20.61M1.60%20.71M3.99%20.47M4.07%20.45M3.63%20.32M3.63%20.32M2.74%20.38M
Retained earnings -5.41%-26.92M-5.10%-26.67M-5.00%-26.48M-5.00%-26.48M-5.77%-25.75M-5.87%-25.54M-6.82%-25.37M-6.76%-25.22M-6.76%-25.22M-3.17%-24.34M
Gains losses not affecting retained earnings -6.95%20.94K-27.09%18.1K-4.44%21.26K-4.44%21.26K1,887.37%24.23K9,885.22%22.51K69,077.78%24.83K278,125.00%22.24K278,125.00%22.24K--1.22K
Other equity interest -2.04%4.42M-1.98%4.41M-3.48%4.4M-3.48%4.4M11.39%4.39M-1.43%4.51M16.19%4.5M17.68%4.56M17.68%4.56M1.81%3.94M
Total stockholders'equity -251.35%-1.87M-313.42%-1.62M-351.08%-1.45M-351.08%-1.45M-4,566.94%-620.66K-475.39%-531.68K-75.43%-392.93K-123.80%-320.81K-123.80%-320.81K-110.98%-13.3K
Total equity -251.35%-1.87M-313.42%-1.62M-351.08%-1.45M-351.08%-1.45M-4,566.94%-620.66K-475.39%-531.68K-75.43%-392.93K-123.80%-320.81K-123.80%-320.81K-110.98%-13.3K
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----
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