US Stock MarketDetailed Quotes

BRAXF BRAXIA SCIENTIFIC CORP

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  • 0.005500
  • 0.0000000.00%
15min DelayClose May 2 16:00 ET
1.56MMarket Cap-152P/E (TTM)

BRAXIA SCIENTIFIC CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
(Q1)Jun 30, 2022
(FY)Mar 31, 2022
(Q4)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-91.40%128.34K
-86.29%709.68K
-88.78%861.39K
-83.15%1.46M
-83.15%1.46M
-80.46%1.49M
-46.17%5.18M
-25.15%7.68M
-21.83%8.68M
-21.83%8.68M
-Cash and cash equivalents
-91.40%128.34K
-86.29%709.68K
-88.78%861.39K
-83.15%1.46M
-83.15%1.46M
-80.46%1.49M
-46.17%5.18M
-25.15%7.68M
-21.83%8.68M
-21.83%8.68M
Receivables
-57.97%91.03K
-60.57%71.5K
-90.53%82K
-49.58%408.93K
-49.58%408.93K
-51.53%216.56K
18.93%181.32K
558.15%866.09K
614.93%811.01K
614.93%811.01K
-Accounts receivable
-57.97%91.03K
-60.57%71.5K
-26.15%82K
81.41%408.93K
81.41%408.93K
9.91%216.56K
18.93%181.32K
-15.63%111.03K
98.71%225.42K
98.71%225.42K
-Notes receivable
----
----
----
--0
--0
--0
--0
--684.39K
--585.59K
--585.59K
-Other receivables
----
----
----
----
----
----
----
--70.67K
----
----
Inventory
--0
--0
--0
--8.68K
--8.68K
--9.38K
--79.98K
----
--0
--0
Prepaid assets
-43.95%177.71K
87.75%112.95K
56.94%80.42K
57.92%275.72K
57.92%275.72K
20.21%317.04K
261.93%60.16K
-19.79%51.25K
-3.78%174.6K
-3.78%174.6K
Total current assets
-80.49%397.07K
-83.73%894.13K
-88.09%1.02M
-77.69%2.16M
-77.69%2.16M
-75.62%2.04M
-43.82%5.5M
-17.77%8.6M
-15.20%9.66M
-15.20%9.66M
Non current assets
Net PPE
28.12%1.07M
33.27%1.13M
91.57%764.88K
386.83%819.56K
386.83%819.56K
1,459.44%831.32K
1,404.24%847.81K
772.86%399.26K
234.23%168.35K
234.23%168.35K
-Gross PPE
50.26%1.49M
55.79%1.48M
119.56%1.04M
391.48%1.04M
391.48%1.04M
1,001.58%989.94K
987.38%948.97K
558.71%473.72K
201.16%211.31K
201.16%211.31K
-Accumulated depreciation
-166.31%-422.42K
-244.53%-348.56K
-269.60%-275.21K
-409.71%-219K
-409.71%-219K
-333.90%-158.62K
-227.29%-101.17K
-184.48%-74.46K
-117.04%-42.97K
-117.04%-42.97K
Goodwill and other intangible assets
-86.56%868.06K
-88.20%868.06K
-50.91%868.06K
-50.91%868.06K
-50.91%868.06K
-8.28%6.46M
4.42%7.36M
-74.89%1.77M
-74.89%1.77M
-74.89%1.77M
-Goodwill
----
----
----
--0
--0
-44.10%3.29M
-36.09%3.76M
-89.60%612.36K
-89.60%612.36K
-89.60%612.36K
-Other intangible assets
-72.61%868.06K
-75.84%868.06K
-24.91%868.06K
-24.91%868.06K
-24.91%868.06K
174.14%3.17M
210.78%3.59M
0.00%1.16M
0.00%1.16M
0.00%1.16M
Investments and advances
-87.72%8.21K
-66.90%20.11K
-3.99%50.58K
18.21%40.86K
18.21%40.86K
--66.83K
786.65%60.75K
1,032.83%52.69K
--34.56K
--34.56K
Total non current assets
-73.62%1.94M
-75.58%2.02M
-24.18%1.68M
-12.32%1.73M
-12.32%1.73M
3.68%7.36M
16.28%8.26M
-68.70%2.22M
-72.21%1.97M
-72.21%1.97M
Total assets
-75.11%2.34M
-78.84%2.91M
-74.97%2.71M
-66.62%3.88M
-66.62%3.88M
-39.18%9.39M
-18.53%13.76M
-38.36%10.82M
-37.08%11.63M
-37.08%11.63M
Liabilities
Current liabilities
Payables
116.43%1.39M
106.84%1.3M
125.65%1.26M
65.27%1.09M
65.27%1.09M
-63.80%643.7K
-66.99%627.71K
-70.62%559.54K
-66.58%660.37K
-66.58%660.37K
-accounts payable
116.43%1.39M
106.84%1.3M
125.65%1.26M
65.27%1.09M
65.27%1.09M
-63.80%643.7K
-66.99%627.71K
-70.62%559.54K
-66.58%660.37K
-66.58%660.37K
Current accrued expenses
104.17%493.16K
-84.54%242.12K
-83.10%252.95K
-50.52%755.94K
-50.52%755.94K
-52.37%241.55K
563.12%1.57M
2,395.11%1.5M
630.46%1.53M
630.46%1.53M
Current debt and capital lease obligation
74.52%135.6K
-78.50%131.81K
-5.56%70.34K
-9.09%75.86K
-9.09%75.86K
55.50%77.7K
1,094.96%612.94K
34.96%74.47K
41.58%83.45K
41.58%83.45K
-Current debt
0.00%49.97K
-91.50%49.97K
0.00%49.97K
0.00%49.97K
0.00%49.97K
0.00%49.97K
1,076.27%587.75K
0.00%49.97K
0.00%49.97K
0.00%49.97K
-Current capital lease obligation
208.80%85.63K
224.82%81.84K
-16.88%20.37K
-22.66%25.89K
-22.66%25.89K
--27.73K
1,798.64%25.2K
369.89%24.51K
273.14%33.48K
273.14%33.48K
Current deferred liabilities
-53.62%151.77K
-54.43%153.47K
-52.38%161.12K
-26.73%195.3K
-26.73%195.3K
7.06%327.24K
6.64%336.81K
8.26%338.37K
-13.46%266.54K
-13.46%266.54K
Other current liabilities
0.00%29.57K
-20.69%29.57K
--29.57K
--29.57K
--29.57K
--29.57K
--37.28K
----
----
----
Current liabilities
66.94%2.2M
-41.68%1.86M
-28.06%1.78M
-15.37%2.15M
-15.37%2.15M
-50.03%1.32M
27.00%3.18M
5.89%2.47M
-0.53%2.54M
-0.53%2.54M
Non current liabilities
Long term debt and capital lease obligation
270.53%501.04K
274.80%521.66K
-10.19%126.85K
-1.73%131.3K
-1.73%131.3K
162.31%135.22K
175.34%139.18K
184.93%141.23K
174.83%133.61K
174.83%133.61K
-Long term debt
4.35%58.14K
4.65%57.18K
4.95%56.23K
5.25%55.31K
5.25%55.31K
8.09%55.72K
8.09%54.64K
8.09%53.58K
8.09%52.55K
8.09%52.55K
-Long term capital lease obligation
457.11%442.89K
449.40%464.48K
-19.44%70.62K
-6.25%76K
-6.25%76K
--79.5K
--84.54K
--87.66K
--81.06K
--81.06K
Total non current liabilities
270.53%501.04K
274.80%521.66K
-10.19%126.85K
-1.73%131.3K
-1.73%131.3K
162.31%135.22K
175.34%139.18K
184.93%141.23K
174.83%133.61K
174.83%133.61K
Total liabilities
85.86%2.7M
-28.41%2.38M
-27.09%1.9M
-14.69%2.28M
-14.69%2.28M
-45.96%1.45M
29.94%3.32M
9.62%2.61M
2.75%2.67M
2.75%2.67M
Shareholders'equity
Share capital
1.27%100.43M
0.63%100.43M
3.60%100.43M
3.60%100.43M
3.60%100.43M
5.06%99.16M
5.74%99.8M
2.76%96.93M
3.14%96.93M
3.14%96.93M
-common stock
1.27%100.43M
0.63%100.43M
3.60%100.43M
3.60%100.43M
3.60%100.43M
5.06%99.16M
5.74%99.8M
2.76%96.93M
3.14%96.93M
3.14%96.93M
Retained earnings
-8.90%-118.01M
-10.27%-117.1M
-12.49%-116.83M
-12.77%-116.03M
-12.77%-116.03M
-12.80%-108.37M
-13.52%-106.2M
-13.08%-103.86M
-13.37%-102.89M
-13.37%-102.89M
Gains losses not affecting retained earnings
0.41%17.22M
2.20%17.21M
13.29%17.14M
14.84%17.13M
14.84%17.13M
18.72%17.15M
24.71%16.84M
19.28%15.13M
20.23%14.92M
20.23%14.92M
Other equity interest
----
----
--69.23K
--75.77K
--75.77K
----
----
----
----
----
Total stockholders'equity
-104.61%-365.84K
-94.87%535.16K
-90.20%803.89K
-82.10%1.6M
-82.10%1.6M
-37.74%7.94M
-27.17%10.44M
-45.90%8.2M
-43.59%8.96M
-43.59%8.96M
Total equity
-104.61%-365.84K
-94.87%535.16K
-90.20%803.89K
-82.10%1.6M
-82.10%1.6M
-37.74%7.94M
-27.17%10.44M
-45.90%8.2M
-43.59%8.96M
-43.59%8.96M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022(Q2)Sep 30, 2022(Q1)Jun 30, 2022(FY)Mar 31, 2022(Q4)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -91.40%128.34K-86.29%709.68K-88.78%861.39K-83.15%1.46M-83.15%1.46M-80.46%1.49M-46.17%5.18M-25.15%7.68M-21.83%8.68M-21.83%8.68M
-Cash and cash equivalents -91.40%128.34K-86.29%709.68K-88.78%861.39K-83.15%1.46M-83.15%1.46M-80.46%1.49M-46.17%5.18M-25.15%7.68M-21.83%8.68M-21.83%8.68M
Receivables -57.97%91.03K-60.57%71.5K-90.53%82K-49.58%408.93K-49.58%408.93K-51.53%216.56K18.93%181.32K558.15%866.09K614.93%811.01K614.93%811.01K
-Accounts receivable -57.97%91.03K-60.57%71.5K-26.15%82K81.41%408.93K81.41%408.93K9.91%216.56K18.93%181.32K-15.63%111.03K98.71%225.42K98.71%225.42K
-Notes receivable --------------0--0--0--0--684.39K--585.59K--585.59K
-Other receivables ------------------------------70.67K--------
Inventory --0--0--0--8.68K--8.68K--9.38K--79.98K------0--0
Prepaid assets -43.95%177.71K87.75%112.95K56.94%80.42K57.92%275.72K57.92%275.72K20.21%317.04K261.93%60.16K-19.79%51.25K-3.78%174.6K-3.78%174.6K
Total current assets -80.49%397.07K-83.73%894.13K-88.09%1.02M-77.69%2.16M-77.69%2.16M-75.62%2.04M-43.82%5.5M-17.77%8.6M-15.20%9.66M-15.20%9.66M
Non current assets
Net PPE 28.12%1.07M33.27%1.13M91.57%764.88K386.83%819.56K386.83%819.56K1,459.44%831.32K1,404.24%847.81K772.86%399.26K234.23%168.35K234.23%168.35K
-Gross PPE 50.26%1.49M55.79%1.48M119.56%1.04M391.48%1.04M391.48%1.04M1,001.58%989.94K987.38%948.97K558.71%473.72K201.16%211.31K201.16%211.31K
-Accumulated depreciation -166.31%-422.42K-244.53%-348.56K-269.60%-275.21K-409.71%-219K-409.71%-219K-333.90%-158.62K-227.29%-101.17K-184.48%-74.46K-117.04%-42.97K-117.04%-42.97K
Goodwill and other intangible assets -86.56%868.06K-88.20%868.06K-50.91%868.06K-50.91%868.06K-50.91%868.06K-8.28%6.46M4.42%7.36M-74.89%1.77M-74.89%1.77M-74.89%1.77M
-Goodwill --------------0--0-44.10%3.29M-36.09%3.76M-89.60%612.36K-89.60%612.36K-89.60%612.36K
-Other intangible assets -72.61%868.06K-75.84%868.06K-24.91%868.06K-24.91%868.06K-24.91%868.06K174.14%3.17M210.78%3.59M0.00%1.16M0.00%1.16M0.00%1.16M
Investments and advances -87.72%8.21K-66.90%20.11K-3.99%50.58K18.21%40.86K18.21%40.86K--66.83K786.65%60.75K1,032.83%52.69K--34.56K--34.56K
Total non current assets -73.62%1.94M-75.58%2.02M-24.18%1.68M-12.32%1.73M-12.32%1.73M3.68%7.36M16.28%8.26M-68.70%2.22M-72.21%1.97M-72.21%1.97M
Total assets -75.11%2.34M-78.84%2.91M-74.97%2.71M-66.62%3.88M-66.62%3.88M-39.18%9.39M-18.53%13.76M-38.36%10.82M-37.08%11.63M-37.08%11.63M
Liabilities
Current liabilities
Payables 116.43%1.39M106.84%1.3M125.65%1.26M65.27%1.09M65.27%1.09M-63.80%643.7K-66.99%627.71K-70.62%559.54K-66.58%660.37K-66.58%660.37K
-accounts payable 116.43%1.39M106.84%1.3M125.65%1.26M65.27%1.09M65.27%1.09M-63.80%643.7K-66.99%627.71K-70.62%559.54K-66.58%660.37K-66.58%660.37K
Current accrued expenses 104.17%493.16K-84.54%242.12K-83.10%252.95K-50.52%755.94K-50.52%755.94K-52.37%241.55K563.12%1.57M2,395.11%1.5M630.46%1.53M630.46%1.53M
Current debt and capital lease obligation 74.52%135.6K-78.50%131.81K-5.56%70.34K-9.09%75.86K-9.09%75.86K55.50%77.7K1,094.96%612.94K34.96%74.47K41.58%83.45K41.58%83.45K
-Current debt 0.00%49.97K-91.50%49.97K0.00%49.97K0.00%49.97K0.00%49.97K0.00%49.97K1,076.27%587.75K0.00%49.97K0.00%49.97K0.00%49.97K
-Current capital lease obligation 208.80%85.63K224.82%81.84K-16.88%20.37K-22.66%25.89K-22.66%25.89K--27.73K1,798.64%25.2K369.89%24.51K273.14%33.48K273.14%33.48K
Current deferred liabilities -53.62%151.77K-54.43%153.47K-52.38%161.12K-26.73%195.3K-26.73%195.3K7.06%327.24K6.64%336.81K8.26%338.37K-13.46%266.54K-13.46%266.54K
Other current liabilities 0.00%29.57K-20.69%29.57K--29.57K--29.57K--29.57K--29.57K--37.28K------------
Current liabilities 66.94%2.2M-41.68%1.86M-28.06%1.78M-15.37%2.15M-15.37%2.15M-50.03%1.32M27.00%3.18M5.89%2.47M-0.53%2.54M-0.53%2.54M
Non current liabilities
Long term debt and capital lease obligation 270.53%501.04K274.80%521.66K-10.19%126.85K-1.73%131.3K-1.73%131.3K162.31%135.22K175.34%139.18K184.93%141.23K174.83%133.61K174.83%133.61K
-Long term debt 4.35%58.14K4.65%57.18K4.95%56.23K5.25%55.31K5.25%55.31K8.09%55.72K8.09%54.64K8.09%53.58K8.09%52.55K8.09%52.55K
-Long term capital lease obligation 457.11%442.89K449.40%464.48K-19.44%70.62K-6.25%76K-6.25%76K--79.5K--84.54K--87.66K--81.06K--81.06K
Total non current liabilities 270.53%501.04K274.80%521.66K-10.19%126.85K-1.73%131.3K-1.73%131.3K162.31%135.22K175.34%139.18K184.93%141.23K174.83%133.61K174.83%133.61K
Total liabilities 85.86%2.7M-28.41%2.38M-27.09%1.9M-14.69%2.28M-14.69%2.28M-45.96%1.45M29.94%3.32M9.62%2.61M2.75%2.67M2.75%2.67M
Shareholders'equity
Share capital 1.27%100.43M0.63%100.43M3.60%100.43M3.60%100.43M3.60%100.43M5.06%99.16M5.74%99.8M2.76%96.93M3.14%96.93M3.14%96.93M
-common stock 1.27%100.43M0.63%100.43M3.60%100.43M3.60%100.43M3.60%100.43M5.06%99.16M5.74%99.8M2.76%96.93M3.14%96.93M3.14%96.93M
Retained earnings -8.90%-118.01M-10.27%-117.1M-12.49%-116.83M-12.77%-116.03M-12.77%-116.03M-12.80%-108.37M-13.52%-106.2M-13.08%-103.86M-13.37%-102.89M-13.37%-102.89M
Gains losses not affecting retained earnings 0.41%17.22M2.20%17.21M13.29%17.14M14.84%17.13M14.84%17.13M18.72%17.15M24.71%16.84M19.28%15.13M20.23%14.92M20.23%14.92M
Other equity interest ----------69.23K--75.77K--75.77K--------------------
Total stockholders'equity -104.61%-365.84K-94.87%535.16K-90.20%803.89K-82.10%1.6M-82.10%1.6M-37.74%7.94M-27.17%10.44M-45.90%8.2M-43.59%8.96M-43.59%8.96M
Total equity -104.61%-365.84K-94.87%535.16K-90.20%803.89K-82.10%1.6M-82.10%1.6M-37.74%7.94M-27.17%10.44M-45.90%8.2M-43.59%8.96M-43.59%8.96M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

Analyst Rating

No Data

Price Target

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