US Stock MarketDetailed Quotes

NBMFF NEO BATTERY MATERIALS LTD

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  • 0.065
  • -0.030-31.58%
15min DelayClose Sep 6 16:00 ET
7.52MMarket Cap-2954P/E (TTM)

NEO BATTERY MATERIALS LTD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)May 31, 2024
(FY)Feb 29, 2024
(Q4)Feb 29, 2024
(Q3)Nov 30, 2023
(Q2)Aug 31, 2023
(Q1)May 31, 2023
(FY)Feb 28, 2023
(Q4)Feb 28, 2023
(Q3)Nov 30, 2022
(Q2)Aug 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-59.34%443.67K
-42.19%941.98K
-42.19%941.98K
84.36%3.53M
-78.61%505.05K
101.22%1.09M
29.76%1.63M
29.76%1.63M
6.68%1.92M
194.73%2.36M
-Cash and cash equivalents
-59.32%443.67K
-42.08%941.98K
-42.08%941.98K
84.63%3.53M
-78.58%504.66K
103.87%1.09M
30.35%1.63M
30.35%1.63M
7.27%1.91M
197.83%2.36M
-Short-term investments
----
--0
--0
-87.25%395
-92.28%392
-94.73%382
-62.39%2.98K
-62.39%2.98K
-75.76%3.1K
-49.43%5.08K
Receivables
119.38%17.81K
3.86%23.6K
3.86%23.6K
-35.09%30.83K
-25.10%21.94K
-85.83%8.12K
6.04%22.72K
6.04%22.72K
206.67%47.5K
77.89%29.3K
-Taxes receivable
119.38%17.81K
3.86%23.6K
3.86%23.6K
-35.09%30.83K
-25.10%21.94K
-85.83%8.12K
6.04%22.72K
6.04%22.72K
233.59%47.5K
92.50%29.3K
Prepaid assets
62.83%122.19K
55.31%154.72K
55.31%154.72K
-26.97%108.53K
-1.01%87.67K
-51.76%75.04K
-38.46%99.62K
-38.46%99.62K
-11.77%148.6K
-61.04%88.56K
Total current assets
-50.30%583.67K
-36.05%1.12M
-36.05%1.12M
73.83%3.67M
-75.21%614.67K
55.51%1.17M
21.74%1.75M
21.74%1.75M
6.68%2.11M
137.26%2.48M
Non current assets
Net PPE
60.69%928.62K
40.61%1.02M
40.61%1.02M
36.32%706.19K
43.65%679.37K
66.88%577.89K
87.66%722.34K
87.66%722.34K
1,011.06%518.05K
1,048.16%472.94K
-Gross PPE
72.75%1.25M
55.03%1.29M
55.03%1.29M
55.78%943.95K
66.22%866.12K
94.74%724.13K
109.95%833.85K
109.95%833.85K
1,170.33%605.93K
1,165.02%521.07K
-Accumulated depreciation
-120.38%-322.29K
-148.43%-277.02K
-148.43%-277.02K
-170.52%-237.76K
-287.98%-186.75K
-472.41%-146.24K
-811.61%-111.51K
-811.61%-111.51K
-8,090.96%-87.89K
---48.13K
Goodwill and other intangible assets
8.38%58.99K
0.14%55.44K
0.14%55.44K
6.98%54.95K
17.37%55.92K
--54.43K
12.51%55.36K
12.51%55.36K
--51.37K
--47.65K
-Other intangible assets
8.38%58.99K
0.14%55.44K
0.14%55.44K
6.98%54.95K
17.37%55.92K
--54.43K
12.51%55.36K
12.51%55.36K
--51.37K
--47.65K
Non current prepaid assets
-3.40%739.15K
-0.51%762.4K
-0.51%762.4K
8.32%757.75K
8.90%764.01K
265.62%765.17K
1,649.25%766.33K
1,649.25%766.33K
5,453.42%699.56K
5,469.58%701.6K
Total non current assets
23.56%1.73M
18.75%1.83M
18.75%1.83M
19.69%1.52M
22.67%1.5M
151.54%1.4M
223.05%1.54M
223.05%1.54M
2,042.71%1.27M
2,172.23%1.22M
Total assets
-10.16%2.31M
-10.38%2.95M
-10.38%2.95M
53.51%5.19M
-42.89%2.11M
96.21%2.57M
71.93%3.3M
71.93%3.3M
65.82%3.38M
236.88%3.7M
Liabilities
Current liabilities
Payables
65.65%277.43K
158.62%336.85K
158.62%336.85K
314.80%451.18K
39.09%202.5K
-19.27%167.48K
--130.25K
--130.25K
3.06%108.77K
76.56%145.59K
-accounts payable
65.65%277.43K
158.62%336.85K
158.62%336.85K
314.80%451.18K
39.09%202.5K
-19.27%167.48K
--130.25K
--130.25K
3.06%108.77K
76.56%145.59K
Current accrued expenses
129.85%151.29K
252.80%172.84K
252.80%172.84K
2,301.61%76.11K
1,828.87%157.57K
338.79%65.82K
--48.99K
--48.99K
0.00%3.17K
-37.97%8.17K
Current debt and capital lease obligation
--47.24K
374.88%48.68K
374.88%48.68K
--24.91K
--23.47K
----
-51.93%10.25K
-51.93%10.25K
----
----
-Current capital lease obligation
--47.24K
374.88%48.68K
374.88%48.68K
--24.91K
--23.47K
----
-51.93%10.25K
-51.93%10.25K
--0
--0
Current liabilities
104.01%475.96K
194.67%558.36K
194.67%558.36K
393.30%552.19K
149.44%383.53K
4.88%233.3K
1.09%189.49K
1.09%189.49K
-18.93%111.94K
6.63%153.76K
Non current liabilities
Long term debt and capital lease obligation
--159.69K
-0.32%167.07K
-0.32%167.07K
--16.34K
--22.41K
----
-8.94%167.61K
-8.94%167.61K
----
----
-Long term capital lease obligation
--159.69K
-0.32%167.07K
-0.32%167.07K
--16.34K
--22.41K
----
-8.94%167.61K
-8.94%167.61K
----
----
Total non current liabilities
--159.69K
-0.32%167.07K
-0.32%167.07K
--16.34K
--22.41K
--0
-8.94%167.61K
-8.94%167.61K
--0
--0
Total liabilities
172.46%635.65K
103.14%725.43K
103.14%725.43K
407.90%568.53K
164.02%405.95K
4.88%233.3K
-3.88%357.1K
-3.88%357.1K
-18.93%111.94K
6.63%153.76K
Shareholders'equity
Share capital
14.19%26.1M
14.11%26.06M
14.11%26.06M
14.16%25.66M
2.28%22.9M
2.09%22.86M
2.36%22.84M
2.36%22.84M
3.26%22.48M
14.62%22.39M
-common stock
14.19%26.1M
14.11%26.06M
14.11%26.06M
14.16%25.66M
2.28%22.9M
2.09%22.86M
2.36%22.84M
2.36%22.84M
3.26%22.48M
14.62%22.39M
Retained earnings
-17.71%-33.88M
-16.00%-32.95M
-16.00%-32.95M
-7.11%-29.85M
-5.79%-29.25M
0.27%-28.78M
-0.21%-28.41M
-0.21%-28.41M
0.49%-27.87M
0.03%-27.65M
Gains losses not affecting retained earnings
28.87%9.51M
20.11%8.95M
20.11%8.95M
10.08%8.27M
-2.46%7.37M
-2.32%7.38M
-1.73%7.45M
-1.73%7.45M
-7.62%7.51M
-16.76%7.56M
Total stockholders'equity
19.04%1.74M
9.34%2.06M
9.34%2.06M
92.15%4.09M
-55.56%1.02M
33.99%1.46M
21.72%1.88M
21.72%1.88M
11.89%2.13M
140.86%2.3M
Noncontrolling interests
-106.93%-61.04K
-83.76%171.71K
-83.76%171.71K
-53.17%534.92K
-45.04%686.25K
--880.35K
--1.06M
--1.06M
--1.14M
--1.25M
Total equity
-28.38%1.67M
-24.17%2.23M
-24.17%2.23M
41.38%4.62M
-51.86%1.71M
114.88%2.34M
90.16%2.94M
90.16%2.94M
71.98%3.27M
271.66%3.55M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)May 31, 2024(FY)Feb 29, 2024(Q4)Feb 29, 2024(Q3)Nov 30, 2023(Q2)Aug 31, 2023(Q1)May 31, 2023(FY)Feb 28, 2023(Q4)Feb 28, 2023(Q3)Nov 30, 2022(Q2)Aug 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -59.34%443.67K-42.19%941.98K-42.19%941.98K84.36%3.53M-78.61%505.05K101.22%1.09M29.76%1.63M29.76%1.63M6.68%1.92M194.73%2.36M
-Cash and cash equivalents -59.32%443.67K-42.08%941.98K-42.08%941.98K84.63%3.53M-78.58%504.66K103.87%1.09M30.35%1.63M30.35%1.63M7.27%1.91M197.83%2.36M
-Short-term investments ------0--0-87.25%395-92.28%392-94.73%382-62.39%2.98K-62.39%2.98K-75.76%3.1K-49.43%5.08K
Receivables 119.38%17.81K3.86%23.6K3.86%23.6K-35.09%30.83K-25.10%21.94K-85.83%8.12K6.04%22.72K6.04%22.72K206.67%47.5K77.89%29.3K
-Taxes receivable 119.38%17.81K3.86%23.6K3.86%23.6K-35.09%30.83K-25.10%21.94K-85.83%8.12K6.04%22.72K6.04%22.72K233.59%47.5K92.50%29.3K
Prepaid assets 62.83%122.19K55.31%154.72K55.31%154.72K-26.97%108.53K-1.01%87.67K-51.76%75.04K-38.46%99.62K-38.46%99.62K-11.77%148.6K-61.04%88.56K
Total current assets -50.30%583.67K-36.05%1.12M-36.05%1.12M73.83%3.67M-75.21%614.67K55.51%1.17M21.74%1.75M21.74%1.75M6.68%2.11M137.26%2.48M
Non current assets
Net PPE 60.69%928.62K40.61%1.02M40.61%1.02M36.32%706.19K43.65%679.37K66.88%577.89K87.66%722.34K87.66%722.34K1,011.06%518.05K1,048.16%472.94K
-Gross PPE 72.75%1.25M55.03%1.29M55.03%1.29M55.78%943.95K66.22%866.12K94.74%724.13K109.95%833.85K109.95%833.85K1,170.33%605.93K1,165.02%521.07K
-Accumulated depreciation -120.38%-322.29K-148.43%-277.02K-148.43%-277.02K-170.52%-237.76K-287.98%-186.75K-472.41%-146.24K-811.61%-111.51K-811.61%-111.51K-8,090.96%-87.89K---48.13K
Goodwill and other intangible assets 8.38%58.99K0.14%55.44K0.14%55.44K6.98%54.95K17.37%55.92K--54.43K12.51%55.36K12.51%55.36K--51.37K--47.65K
-Other intangible assets 8.38%58.99K0.14%55.44K0.14%55.44K6.98%54.95K17.37%55.92K--54.43K12.51%55.36K12.51%55.36K--51.37K--47.65K
Non current prepaid assets -3.40%739.15K-0.51%762.4K-0.51%762.4K8.32%757.75K8.90%764.01K265.62%765.17K1,649.25%766.33K1,649.25%766.33K5,453.42%699.56K5,469.58%701.6K
Total non current assets 23.56%1.73M18.75%1.83M18.75%1.83M19.69%1.52M22.67%1.5M151.54%1.4M223.05%1.54M223.05%1.54M2,042.71%1.27M2,172.23%1.22M
Total assets -10.16%2.31M-10.38%2.95M-10.38%2.95M53.51%5.19M-42.89%2.11M96.21%2.57M71.93%3.3M71.93%3.3M65.82%3.38M236.88%3.7M
Liabilities
Current liabilities
Payables 65.65%277.43K158.62%336.85K158.62%336.85K314.80%451.18K39.09%202.5K-19.27%167.48K--130.25K--130.25K3.06%108.77K76.56%145.59K
-accounts payable 65.65%277.43K158.62%336.85K158.62%336.85K314.80%451.18K39.09%202.5K-19.27%167.48K--130.25K--130.25K3.06%108.77K76.56%145.59K
Current accrued expenses 129.85%151.29K252.80%172.84K252.80%172.84K2,301.61%76.11K1,828.87%157.57K338.79%65.82K--48.99K--48.99K0.00%3.17K-37.97%8.17K
Current debt and capital lease obligation --47.24K374.88%48.68K374.88%48.68K--24.91K--23.47K-----51.93%10.25K-51.93%10.25K--------
-Current capital lease obligation --47.24K374.88%48.68K374.88%48.68K--24.91K--23.47K-----51.93%10.25K-51.93%10.25K--0--0
Current liabilities 104.01%475.96K194.67%558.36K194.67%558.36K393.30%552.19K149.44%383.53K4.88%233.3K1.09%189.49K1.09%189.49K-18.93%111.94K6.63%153.76K
Non current liabilities
Long term debt and capital lease obligation --159.69K-0.32%167.07K-0.32%167.07K--16.34K--22.41K-----8.94%167.61K-8.94%167.61K--------
-Long term capital lease obligation --159.69K-0.32%167.07K-0.32%167.07K--16.34K--22.41K-----8.94%167.61K-8.94%167.61K--------
Total non current liabilities --159.69K-0.32%167.07K-0.32%167.07K--16.34K--22.41K--0-8.94%167.61K-8.94%167.61K--0--0
Total liabilities 172.46%635.65K103.14%725.43K103.14%725.43K407.90%568.53K164.02%405.95K4.88%233.3K-3.88%357.1K-3.88%357.1K-18.93%111.94K6.63%153.76K
Shareholders'equity
Share capital 14.19%26.1M14.11%26.06M14.11%26.06M14.16%25.66M2.28%22.9M2.09%22.86M2.36%22.84M2.36%22.84M3.26%22.48M14.62%22.39M
-common stock 14.19%26.1M14.11%26.06M14.11%26.06M14.16%25.66M2.28%22.9M2.09%22.86M2.36%22.84M2.36%22.84M3.26%22.48M14.62%22.39M
Retained earnings -17.71%-33.88M-16.00%-32.95M-16.00%-32.95M-7.11%-29.85M-5.79%-29.25M0.27%-28.78M-0.21%-28.41M-0.21%-28.41M0.49%-27.87M0.03%-27.65M
Gains losses not affecting retained earnings 28.87%9.51M20.11%8.95M20.11%8.95M10.08%8.27M-2.46%7.37M-2.32%7.38M-1.73%7.45M-1.73%7.45M-7.62%7.51M-16.76%7.56M
Total stockholders'equity 19.04%1.74M9.34%2.06M9.34%2.06M92.15%4.09M-55.56%1.02M33.99%1.46M21.72%1.88M21.72%1.88M11.89%2.13M140.86%2.3M
Noncontrolling interests -106.93%-61.04K-83.76%171.71K-83.76%171.71K-53.17%534.92K-45.04%686.25K--880.35K--1.06M--1.06M--1.14M--1.25M
Total equity -28.38%1.67M-24.17%2.23M-24.17%2.23M41.38%4.62M-51.86%1.71M114.88%2.34M90.16%2.94M90.16%2.94M71.98%3.27M271.66%3.55M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------

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