US Stock MarketDetailed Quotes

ATIXF ANALYTIXINSIGHT INC

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  • 0.056221
  • -0.000779-1.37%
15min DelayClose Apr 26 16:00 ET
5.47MMarket Cap-1938P/E (TTM)

ANALYTIXINSIGHT INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-36.33%2.05M
-35.38%2.8M
-68.53%1.64M
-58.54%2.52M
-58.54%2.52M
-53.58%3.23M
-56.82%4.33M
185.57%5.21M
263.85%6.07M
263.85%6.07M
-Cash and cash equivalents
-36.33%2.05M
-35.38%2.8M
-68.53%1.64M
-58.54%2.52M
-58.54%2.52M
-53.58%3.23M
-56.82%4.33M
185.57%5.21M
263.85%6.07M
263.85%6.07M
Receivables
-81.98%176.25K
317.72%370.31K
1,048.36%2.6M
61.41%510.18K
61.41%510.18K
253.44%978.13K
-73.17%88.65K
-22.47%226.84K
-9.64%316.08K
-9.64%316.08K
-Accounts receivable
-95.61%40.66K
213.77%88.59K
177.04%473.16K
128.95%426.41K
128.95%426.41K
374.43%926.48K
-89.36%28.24K
-27.53%170.79K
-40.59%186.25K
-40.59%186.25K
-Other receivables
162.47%135.59K
366.29%281.72K
3,703.50%2.13M
-35.48%83.77K
-35.48%83.77K
-36.59%51.66K
-6.96%60.42K
-1.52%56.05K
257.71%129.83K
257.71%129.83K
Prepaid assets
-40.71%63.35K
10.91%176.4K
-38.70%71.93K
-15.56%69.7K
-15.56%69.7K
-10.61%106.86K
134.94%159.04K
3.99%117.34K
-43.63%82.54K
-43.63%82.54K
Restricted cash
-1.36%61.15K
2.75%59.89K
8.30%61.21K
6.83%61.26K
6.83%61.26K
7.58%62K
3.97%58.28K
-0.63%56.52K
-0.42%57.34K
-0.42%57.34K
Total current assets
-46.15%2.35M
-26.56%3.4M
-21.99%4.38M
-51.62%3.16M
-51.62%3.16M
-40.94%4.37M
-55.77%4.63M
145.37%5.61M
193.73%6.53M
193.73%6.53M
Non current assets
Net PPE
-61.62%18.97K
41.12%26.58K
-23.23%34.2K
-41.70%41.81K
-41.70%41.81K
-50.18%49.42K
-85.28%18.84K
-71.69%44.55K
-61.92%71.71K
-61.92%71.71K
-Gross PPE
-0.65%119.83K
-65.07%118.65K
-64.53%119.89K
-64.60%119.93K
-64.60%119.93K
-64.43%120.62K
0.61%339.68K
-0.10%338.04K
-0.07%338.81K
-0.07%338.81K
-Accumulated depreciation
-41.67%-100.86K
71.30%-92.07K
70.80%-85.69K
70.75%-78.13K
70.75%-78.13K
70.32%-71.2K
-53.02%-320.84K
-62.14%-293.49K
-77.21%-267.1K
-77.21%-267.1K
Investments and advances
-21.02%3.21M
-26.72%2.97M
-37.15%2.66M
-3.50%4.18M
-3.50%4.18M
-7.06%4.07M
76.90%4.06M
88.50%4.24M
82.42%4.33M
82.42%4.33M
Total non current assets
-21.51%3.23M
-26.41%3M
-37.00%2.7M
-4.12%4.22M
-4.12%4.22M
-8.02%4.12M
31.90%4.08M
38.86%4.28M
31.18%4.41M
31.18%4.41M
Total assets
-34.20%5.59M
-26.49%6.4M
-28.49%7.08M
-32.48%7.38M
-32.48%7.38M
-28.53%8.49M
-35.79%8.71M
84.21%9.9M
95.93%10.94M
95.93%10.94M
Liabilities
Current liabilities
Payables
--722.82K
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----
----
----
----
----
----
----
-accounts payable
--698.07K
----
----
----
----
----
----
----
----
----
-Due to related parties current
--24.75K
----
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----
----
----
----
----
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Current debt and capital lease obligation
-28.67%21.4K
48.01%28.73K
-35.65%30.77K
-59.84%30.23K
-59.84%30.23K
-89.53%30.01K
-93.71%19.41K
-84.53%47.82K
-29.45%75.28K
-29.45%75.28K
-Current capital lease obligation
-28.67%21.4K
48.01%28.73K
-35.65%30.77K
-59.84%30.23K
-59.84%30.23K
-64.61%30.01K
-82.64%19.41K
-56.36%47.82K
-29.45%75.28K
-29.45%75.28K
Current deferred liabilities
-14.41%18.29K
0.85%20.19K
-52.12%20.32K
-68.89%20.91K
-68.89%20.91K
-75.57%21.37K
-81.62%20.02K
1.16%42.44K
3.47%67.22K
3.47%67.22K
Current liabilities
133.00%762.51K
47.41%650K
29.93%594.21K
26.35%678.83K
26.35%678.83K
-52.64%327.26K
-52.21%440.93K
-33.64%457.33K
5.51%537.25K
5.51%537.25K
Non current liabilities
Long term debt and capital lease obligation
--0
-88.75%385
58.37%5.91K
187.46%13.89K
187.46%13.89K
-65.30%21.8K
-94.55%3.42K
-95.94%3.73K
-95.99%4.83K
-95.99%4.83K
-Long term capital lease obligation
--0
-88.75%385
58.37%5.91K
187.46%13.89K
187.46%13.89K
-4.45%21.8K
-84.99%3.42K
-92.81%3.73K
-93.99%4.83K
-93.99%4.83K
Other non current liabilities
----
----
---1
----
----
----
----
----
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----
Total non current liabilities
--0
-88.75%385
58.34%5.91K
187.46%13.89K
187.46%13.89K
-65.30%21.8K
-94.55%3.42K
-95.94%3.73K
-95.99%4.83K
-95.99%4.83K
Total liabilities
118.45%762.51K
46.37%650.39K
30.16%600.12K
27.79%692.72K
27.79%692.72K
-53.69%349.05K
-54.91%444.36K
-40.97%461.06K
-13.91%542.08K
-13.91%542.08K
Shareholders'equity
Share capital
0.97%29.34M
0.97%29.34M
0.97%29.34M
1.18%29.34M
1.18%29.34M
1.78%29.06M
2.25%29.06M
32.78%29.06M
35.23%29M
35.23%29M
-common stock
0.97%29.34M
0.97%29.34M
0.97%29.34M
1.18%29.34M
1.18%29.34M
1.78%29.06M
2.25%29.06M
32.78%29.06M
35.23%29M
35.23%29M
Retained earnings
-12.98%-27.99M
-9.96%-27.05M
-11.04%-26.31M
-14.26%-26.13M
-14.26%-26.13M
-11.99%-24.77M
-23.46%-24.6M
-21.39%-23.69M
-21.44%-22.87M
-21.44%-22.87M
Gains losses not affecting retained earnings
-93.48%251.15K
12.19%243.04K
27.04%252.66K
20.76%251.65K
20.76%251.65K
1,716.52%3.85M
17.14%216.64K
-5.38%198.88K
-9.08%208.39K
-9.08%208.39K
Other equity interest
--3.22M
-10.38%3.22M
-17.51%3.19M
-20.41%3.23M
-20.41%3.23M
----
-7.98%3.59M
92.21%3.87M
92.24%4.05M
92.24%4.05M
Total stockholders'equity
-40.75%4.82M
-30.40%5.75M
-31.35%6.48M
-35.63%6.69M
-35.63%6.69M
-26.83%8.14M
-34.30%8.26M
105.50%9.43M
109.89%10.39M
109.89%10.39M
Total equity
-40.75%4.82M
-30.40%5.75M
-31.35%6.48M
-35.63%6.69M
-35.63%6.69M
-26.83%8.14M
-34.30%8.26M
105.50%9.43M
109.89%10.39M
109.89%10.39M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
--
Unqualified Opinion
--
--
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Unqualified Opinion
--
(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -36.33%2.05M-35.38%2.8M-68.53%1.64M-58.54%2.52M-58.54%2.52M-53.58%3.23M-56.82%4.33M185.57%5.21M263.85%6.07M263.85%6.07M
-Cash and cash equivalents -36.33%2.05M-35.38%2.8M-68.53%1.64M-58.54%2.52M-58.54%2.52M-53.58%3.23M-56.82%4.33M185.57%5.21M263.85%6.07M263.85%6.07M
Receivables -81.98%176.25K317.72%370.31K1,048.36%2.6M61.41%510.18K61.41%510.18K253.44%978.13K-73.17%88.65K-22.47%226.84K-9.64%316.08K-9.64%316.08K
-Accounts receivable -95.61%40.66K213.77%88.59K177.04%473.16K128.95%426.41K128.95%426.41K374.43%926.48K-89.36%28.24K-27.53%170.79K-40.59%186.25K-40.59%186.25K
-Other receivables 162.47%135.59K366.29%281.72K3,703.50%2.13M-35.48%83.77K-35.48%83.77K-36.59%51.66K-6.96%60.42K-1.52%56.05K257.71%129.83K257.71%129.83K
Prepaid assets -40.71%63.35K10.91%176.4K-38.70%71.93K-15.56%69.7K-15.56%69.7K-10.61%106.86K134.94%159.04K3.99%117.34K-43.63%82.54K-43.63%82.54K
Restricted cash -1.36%61.15K2.75%59.89K8.30%61.21K6.83%61.26K6.83%61.26K7.58%62K3.97%58.28K-0.63%56.52K-0.42%57.34K-0.42%57.34K
Total current assets -46.15%2.35M-26.56%3.4M-21.99%4.38M-51.62%3.16M-51.62%3.16M-40.94%4.37M-55.77%4.63M145.37%5.61M193.73%6.53M193.73%6.53M
Non current assets
Net PPE -61.62%18.97K41.12%26.58K-23.23%34.2K-41.70%41.81K-41.70%41.81K-50.18%49.42K-85.28%18.84K-71.69%44.55K-61.92%71.71K-61.92%71.71K
-Gross PPE -0.65%119.83K-65.07%118.65K-64.53%119.89K-64.60%119.93K-64.60%119.93K-64.43%120.62K0.61%339.68K-0.10%338.04K-0.07%338.81K-0.07%338.81K
-Accumulated depreciation -41.67%-100.86K71.30%-92.07K70.80%-85.69K70.75%-78.13K70.75%-78.13K70.32%-71.2K-53.02%-320.84K-62.14%-293.49K-77.21%-267.1K-77.21%-267.1K
Investments and advances -21.02%3.21M-26.72%2.97M-37.15%2.66M-3.50%4.18M-3.50%4.18M-7.06%4.07M76.90%4.06M88.50%4.24M82.42%4.33M82.42%4.33M
Total non current assets -21.51%3.23M-26.41%3M-37.00%2.7M-4.12%4.22M-4.12%4.22M-8.02%4.12M31.90%4.08M38.86%4.28M31.18%4.41M31.18%4.41M
Total assets -34.20%5.59M-26.49%6.4M-28.49%7.08M-32.48%7.38M-32.48%7.38M-28.53%8.49M-35.79%8.71M84.21%9.9M95.93%10.94M95.93%10.94M
Liabilities
Current liabilities
Payables --722.82K------------------------------------
-accounts payable --698.07K------------------------------------
-Due to related parties current --24.75K------------------------------------
Current debt and capital lease obligation -28.67%21.4K48.01%28.73K-35.65%30.77K-59.84%30.23K-59.84%30.23K-89.53%30.01K-93.71%19.41K-84.53%47.82K-29.45%75.28K-29.45%75.28K
-Current capital lease obligation -28.67%21.4K48.01%28.73K-35.65%30.77K-59.84%30.23K-59.84%30.23K-64.61%30.01K-82.64%19.41K-56.36%47.82K-29.45%75.28K-29.45%75.28K
Current deferred liabilities -14.41%18.29K0.85%20.19K-52.12%20.32K-68.89%20.91K-68.89%20.91K-75.57%21.37K-81.62%20.02K1.16%42.44K3.47%67.22K3.47%67.22K
Current liabilities 133.00%762.51K47.41%650K29.93%594.21K26.35%678.83K26.35%678.83K-52.64%327.26K-52.21%440.93K-33.64%457.33K5.51%537.25K5.51%537.25K
Non current liabilities
Long term debt and capital lease obligation --0-88.75%38558.37%5.91K187.46%13.89K187.46%13.89K-65.30%21.8K-94.55%3.42K-95.94%3.73K-95.99%4.83K-95.99%4.83K
-Long term capital lease obligation --0-88.75%38558.37%5.91K187.46%13.89K187.46%13.89K-4.45%21.8K-84.99%3.42K-92.81%3.73K-93.99%4.83K-93.99%4.83K
Other non current liabilities -----------1----------------------------
Total non current liabilities --0-88.75%38558.34%5.91K187.46%13.89K187.46%13.89K-65.30%21.8K-94.55%3.42K-95.94%3.73K-95.99%4.83K-95.99%4.83K
Total liabilities 118.45%762.51K46.37%650.39K30.16%600.12K27.79%692.72K27.79%692.72K-53.69%349.05K-54.91%444.36K-40.97%461.06K-13.91%542.08K-13.91%542.08K
Shareholders'equity
Share capital 0.97%29.34M0.97%29.34M0.97%29.34M1.18%29.34M1.18%29.34M1.78%29.06M2.25%29.06M32.78%29.06M35.23%29M35.23%29M
-common stock 0.97%29.34M0.97%29.34M0.97%29.34M1.18%29.34M1.18%29.34M1.78%29.06M2.25%29.06M32.78%29.06M35.23%29M35.23%29M
Retained earnings -12.98%-27.99M-9.96%-27.05M-11.04%-26.31M-14.26%-26.13M-14.26%-26.13M-11.99%-24.77M-23.46%-24.6M-21.39%-23.69M-21.44%-22.87M-21.44%-22.87M
Gains losses not affecting retained earnings -93.48%251.15K12.19%243.04K27.04%252.66K20.76%251.65K20.76%251.65K1,716.52%3.85M17.14%216.64K-5.38%198.88K-9.08%208.39K-9.08%208.39K
Other equity interest --3.22M-10.38%3.22M-17.51%3.19M-20.41%3.23M-20.41%3.23M-----7.98%3.59M92.21%3.87M92.24%4.05M92.24%4.05M
Total stockholders'equity -40.75%4.82M-30.40%5.75M-31.35%6.48M-35.63%6.69M-35.63%6.69M-26.83%8.14M-34.30%8.26M105.50%9.43M109.89%10.39M109.89%10.39M
Total equity -40.75%4.82M-30.40%5.75M-31.35%6.48M-35.63%6.69M-35.63%6.69M-26.83%8.14M-34.30%8.26M105.50%9.43M109.89%10.39M109.89%10.39M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

Analysis

Analyst Rating

No Data

Price Target

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