CA Stock MarketDetailed Quotes

QQ Quizam Media Corp

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  • 0.040
  • +0.005+14.29%
15min DelayMarket Closed Jul 5 12:54 ET
2.36MMarket Cap-2000P/E (TTM)

Quizam Media Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Feb 29, 2024
(Q2)Nov 30, 2023
(Q1)Aug 31, 2023
(FY)May 31, 2023
(Q4)May 31, 2023
(Q3)Feb 28, 2023
(Q2)Nov 30, 2022
(Q1)Aug 31, 2022
(FY)May 31, 2022
(Q4)May 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-28.61%52.78K
86.23%99.04K
-62.27%57.4K
-92.55%20.8K
-92.55%20.8K
-70.62%73.93K
-89.48%53.18K
-65.70%152.14K
-69.72%279.06K
-69.72%279.06K
-Cash and cash equivalents
-28.61%52.78K
86.23%99.04K
-62.27%57.4K
-92.55%20.8K
-92.55%20.8K
-70.62%73.93K
-89.48%53.18K
-65.70%152.14K
-69.72%279.06K
-69.72%279.06K
-Accounts receivable
-40.78%50.12K
-88.98%7.63K
-20.96%37.32K
-16.19%40.18K
-16.19%40.18K
352.42%84.64K
17.15%69.2K
-0.96%47.21K
-29.24%47.95K
-29.24%47.95K
Total current assets
-15.61%470.87K
17.80%559.03K
-3.42%545.19K
-25.57%510.09K
-25.57%510.09K
-6.42%558K
-47.27%474.57K
-26.96%564.52K
-38.80%685.34K
-38.80%685.34K
Non current assets
-Accumulated depreciation
----
-17.29%-2M
-18.51%-1.86M
-26.23%-1.85M
-26.23%-1.85M
-31.44%-1.82M
-20.47%-1.7M
-22.04%-1.57M
-25.37%-1.47M
-25.37%-1.47M
-Long term equity investment
10.04%1.44M
7.12%1.49M
1.57%1.5M
-6.11%1.56M
-6.11%1.56M
79.50%1.3M
62.28%1.39M
61.05%1.48M
223.02%1.66M
223.02%1.66M
-Other intangible assets
----
73.34%130K
----
----
----
--65K
1,600.00%75K
----
--150.2K
--150.2K
Regulatory assets
-34.96%55.05K
-67.52%22.48K
19.23%56.29K
20.30%59.55K
20.30%59.55K
201.59%84.64K
4.63%69.2K
-15.03%47.21K
-31.71%49.5K
-31.71%49.5K
Total assets
--4.93K
--14.85K
--18.97K
1,146.94%19.37K
1,146.94%19.37K
--0
--0
--0
-67.13%1.55K
-67.13%1.55K
Liabilities
Current liabilities
Current debt and capital lease obligation
-44.31%242.67K
-3.01%401.27K
18.33%488.56K
25.05%567.36K
25.05%567.36K
58.09%435.76K
7.86%413.73K
-7.26%412.87K
47.67%453.69K
47.67%453.69K
-Current debt
-75.43%20K
237.96%135K
575.00%135K
575.00%135K
575.00%135K
--81.4K
--39.95K
--20K
--20K
--20K
-Current capital lease obligation
-37.16%222.67K
-28.76%266.27K
-10.01%353.56K
-0.31%432.36K
-0.31%432.36K
28.56%354.36K
-2.55%373.78K
-11.75%392.87K
41.16%433.69K
41.16%433.69K
-accounts payable
14.29%643.97K
-4.66%643.97K
-21.31%543.97K
-40.08%471.23K
-40.08%471.23K
43.20%563.46K
52.65%675.43K
187.88%691.27K
105.54%786.46K
105.54%786.46K
-Total tax payable
5.97%1.44M
7.12%1.49M
1.57%1.5M
-6.11%1.56M
-6.11%1.56M
86.41%1.35M
62.28%1.39M
60.88%1.48M
223.02%1.66M
223.02%1.66M
-Due to related parties current
122.33%342.69K
234.50%380.68K
6,087.09%353.1K
-9.05%197.53K
-9.05%197.53K
475.84%154.14K
672.55%113.81K
-72.05%5.71K
820.01%217.18K
820.01%217.18K
Current deferred liabilities
26.14%32.93K
50.82%28.47K
-48.69%11.03K
252.53%103.51K
252.53%103.51K
-18.44%26.11K
-69.08%18.88K
-41.45%21.5K
34.49%29.36K
34.49%29.36K
Current liabilities
2.39%1.26M
13.08%1.45M
22.14%1.4M
-9.89%1.34M
-9.89%1.34M
68.76%1.23M
42.62%1.29M
54.22%1.14M
102.19%1.49M
102.19%1.49M
Non current liabilities
-Long term debt
13.52%1.44M
10.28%1.49M
4.39%1.5M
-3.80%1.56M
-3.80%1.56M
89.66%1.26M
69.46%1.35M
67.64%1.44M
256.80%1.62M
256.80%1.62M
Non current accrued expenses
-11.82%1.46M
-11.69%1.56M
-10.45%1.69M
-14.35%1.83M
-14.35%1.83M
56.73%1.65M
35.55%1.77M
35.47%1.89M
146.09%2.14M
146.09%2.14M
Long term provisions
----
----
----
----
----
-33.33%40K
-33.33%40K
-33.33%40K
-33.33%40K
-33.33%40K
Total non current liabilities
4.27%2.69M
9.98%2.95M
10.53%2.9M
-7.89%2.9M
-7.89%2.9M
77.58%2.58M
52.21%2.68M
57.91%2.62M
151.97%3.15M
151.97%3.15M
Shareholders'equity
Share capital
1.88%26.47M
1.52%26.17M
1.62%26.17M
3.39%26.17M
3.39%26.17M
2.65%25.98M
3.98%25.78M
5.67%25.75M
4.40%25.31M
4.40%25.31M
-common stock
1.88%26.47M
1.52%26.17M
1.62%26.17M
3.39%26.17M
3.39%26.17M
2.65%25.98M
3.98%25.78M
5.67%25.75M
4.40%25.31M
4.40%25.31M
Additional paid-in capital
1.28%3.32M
1.28%3.32M
1.28%3.32M
1.28%3.32M
1.28%3.32M
0.00%3.28M
3.02%3.28M
3.02%3.28M
3.32%3.28M
3.32%3.28M
Other equity interest
----
--1
---1
----
----
----
----
----
----
----
Total equity
-8.45%2.09M
-1.67%2.28M
-4.31%2.4M
-11.45%2.5M
-11.45%2.5M
38.10%2.28M
5.16%2.32M
15.51%2.5M
36.46%2.82M
36.46%2.82M
(Q3)Feb 29, 2024(Q2)Nov 30, 2023(Q1)Aug 31, 2023(FY)May 31, 2023(Q4)May 31, 2023(Q3)Feb 28, 2023(Q2)Nov 30, 2022(Q1)Aug 31, 2022(FY)May 31, 2022(Q4)May 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -28.61%52.78K86.23%99.04K-62.27%57.4K-92.55%20.8K-92.55%20.8K-70.62%73.93K-89.48%53.18K-65.70%152.14K-69.72%279.06K-69.72%279.06K
-Cash and cash equivalents -28.61%52.78K86.23%99.04K-62.27%57.4K-92.55%20.8K-92.55%20.8K-70.62%73.93K-89.48%53.18K-65.70%152.14K-69.72%279.06K-69.72%279.06K
-Accounts receivable -40.78%50.12K-88.98%7.63K-20.96%37.32K-16.19%40.18K-16.19%40.18K352.42%84.64K17.15%69.2K-0.96%47.21K-29.24%47.95K-29.24%47.95K
Total current assets -15.61%470.87K17.80%559.03K-3.42%545.19K-25.57%510.09K-25.57%510.09K-6.42%558K-47.27%474.57K-26.96%564.52K-38.80%685.34K-38.80%685.34K
Non current assets
-Accumulated depreciation -----17.29%-2M-18.51%-1.86M-26.23%-1.85M-26.23%-1.85M-31.44%-1.82M-20.47%-1.7M-22.04%-1.57M-25.37%-1.47M-25.37%-1.47M
-Long term equity investment 10.04%1.44M7.12%1.49M1.57%1.5M-6.11%1.56M-6.11%1.56M79.50%1.3M62.28%1.39M61.05%1.48M223.02%1.66M223.02%1.66M
-Other intangible assets ----73.34%130K--------------65K1,600.00%75K------150.2K--150.2K
Regulatory assets -34.96%55.05K-67.52%22.48K19.23%56.29K20.30%59.55K20.30%59.55K201.59%84.64K4.63%69.2K-15.03%47.21K-31.71%49.5K-31.71%49.5K
Total assets --4.93K--14.85K--18.97K1,146.94%19.37K1,146.94%19.37K--0--0--0-67.13%1.55K-67.13%1.55K
Liabilities
Current liabilities
Current debt and capital lease obligation -44.31%242.67K-3.01%401.27K18.33%488.56K25.05%567.36K25.05%567.36K58.09%435.76K7.86%413.73K-7.26%412.87K47.67%453.69K47.67%453.69K
-Current debt -75.43%20K237.96%135K575.00%135K575.00%135K575.00%135K--81.4K--39.95K--20K--20K--20K
-Current capital lease obligation -37.16%222.67K-28.76%266.27K-10.01%353.56K-0.31%432.36K-0.31%432.36K28.56%354.36K-2.55%373.78K-11.75%392.87K41.16%433.69K41.16%433.69K
-accounts payable 14.29%643.97K-4.66%643.97K-21.31%543.97K-40.08%471.23K-40.08%471.23K43.20%563.46K52.65%675.43K187.88%691.27K105.54%786.46K105.54%786.46K
-Total tax payable 5.97%1.44M7.12%1.49M1.57%1.5M-6.11%1.56M-6.11%1.56M86.41%1.35M62.28%1.39M60.88%1.48M223.02%1.66M223.02%1.66M
-Due to related parties current 122.33%342.69K234.50%380.68K6,087.09%353.1K-9.05%197.53K-9.05%197.53K475.84%154.14K672.55%113.81K-72.05%5.71K820.01%217.18K820.01%217.18K
Current deferred liabilities 26.14%32.93K50.82%28.47K-48.69%11.03K252.53%103.51K252.53%103.51K-18.44%26.11K-69.08%18.88K-41.45%21.5K34.49%29.36K34.49%29.36K
Current liabilities 2.39%1.26M13.08%1.45M22.14%1.4M-9.89%1.34M-9.89%1.34M68.76%1.23M42.62%1.29M54.22%1.14M102.19%1.49M102.19%1.49M
Non current liabilities
-Long term debt 13.52%1.44M10.28%1.49M4.39%1.5M-3.80%1.56M-3.80%1.56M89.66%1.26M69.46%1.35M67.64%1.44M256.80%1.62M256.80%1.62M
Non current accrued expenses -11.82%1.46M-11.69%1.56M-10.45%1.69M-14.35%1.83M-14.35%1.83M56.73%1.65M35.55%1.77M35.47%1.89M146.09%2.14M146.09%2.14M
Long term provisions ---------------------33.33%40K-33.33%40K-33.33%40K-33.33%40K-33.33%40K
Total non current liabilities 4.27%2.69M9.98%2.95M10.53%2.9M-7.89%2.9M-7.89%2.9M77.58%2.58M52.21%2.68M57.91%2.62M151.97%3.15M151.97%3.15M
Shareholders'equity
Share capital 1.88%26.47M1.52%26.17M1.62%26.17M3.39%26.17M3.39%26.17M2.65%25.98M3.98%25.78M5.67%25.75M4.40%25.31M4.40%25.31M
-common stock 1.88%26.47M1.52%26.17M1.62%26.17M3.39%26.17M3.39%26.17M2.65%25.98M3.98%25.78M5.67%25.75M4.40%25.31M4.40%25.31M
Additional paid-in capital 1.28%3.32M1.28%3.32M1.28%3.32M1.28%3.32M1.28%3.32M0.00%3.28M3.02%3.28M3.02%3.28M3.32%3.28M3.32%3.28M
Other equity interest ------1---1----------------------------
Total equity -8.45%2.09M-1.67%2.28M-4.31%2.4M-11.45%2.5M-11.45%2.5M38.10%2.28M5.16%2.32M15.51%2.5M36.46%2.82M36.46%2.82M

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.

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