US Stock MarketDetailed Quotes

GKPRF GATEKEEPER SYS INC

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  • 0.510400
  • -0.030000-5.55%
15min DelayTrading Apr 29 14:09 ET
46.95MMarket Cap13.43P/E (TTM)

GATEKEEPER SYS INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Nov 30, 2023
(FY)Aug 31, 2023
(Q4)Aug 31, 2023
(Q3)May 31, 2023
(Q2)Feb 28, 2023
(Q1)Nov 30, 2022
(FY)Aug 31, 2022
(Q4)Aug 31, 2022
(Q3)May 31, 2022
(Q2)Feb 28, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-146.01%-820.22K
21.00%6.54M
-33.42%6M
-34.61%-1.36M
112.58%110.79K
203.58%1.78M
30.08%5.4M
1,383.42%9.01M
-321.83%-1.01M
-173.29%-880.97K
Net income from continuing operations
1,669.72%2.39M
49.93%2.81M
-74.90%677.65K
218.55%403.09K
369.91%1.88M
-171.65%-152.37K
287.66%1.88M
414.96%2.7M
-702.10%-340.01K
-114.94%-697.66K
Operating gains losses
222.85%228.71K
15.64%-369.2K
1.06%-293.63K
-122.16%-43.48K
-241.22%-102.92K
117.28%70.84K
-291.31%-437.63K
-50.19%-296.79K
-18.46%196.26K
-59.49%72.88K
Depreciation and amortization
34.18%118.72K
2.44%374.87K
-8.01%97K
12.27%102.66K
0.30%86.73K
7.15%88.48K
1.82%365.93K
-2.18%105.44K
22.94%91.43K
-1.54%86.47K
Deferred tax
5.88%-144K
84.72%-66K
-457.14%-156K
311.11%57K
151.24%186K
-992.86%-153K
-236.71%-432K
-315.38%-28K
-258.82%-27K
-221.81%-363K
Other non cash items
46,766,100.00%467.66K
100.16%15.87K
---10.07K
--25.93K
--2
---1
-962.43%-9.95M
----
----
----
Change In working capital
-303.61%-3.88M
-6.83%3.47M
-13.56%5.54M
-114.10%-1.99M
-1,182.01%-1.99M
219.17%1.91M
21.27%3.72M
799.93%6.4M
-599.52%-928.21K
-116.15%-155.2K
-Change in receivables
-148.77%-3.07M
166.18%5.96M
139.07%3.58M
-13.34%-1.03M
-1,385.10%-2.89M
639.38%6.3M
-811.68%-9M
-25.89%-9.17M
-1,318.30%-908.97K
-87.89%224.86K
-Change in inventory
-278.52%-972.13K
176.55%2.71M
190.40%818.66K
126.38%345.72K
254.89%1M
129.18%544.54K
-147.93%-3.54M
113.32%281.91K
-950.23%-1.31M
-52.38%-647.64K
-Change in prepaid assets
63.99%-52.85K
24.43%-73.79K
-242.02%-78.76K
-250.29%-56.45K
229.30%208.18K
26.70%-146.75K
5.14%-97.63K
-84.46%55.46K
-195.81%-16.12K
-94.16%63.22K
-Change in payables and accrued expense
104.26%204.46K
-131.74%-5.17M
-92.28%1.17M
-193.91%-1.22M
-269.27%-323.39K
-1,146.09%-4.8M
192.11%16.29M
87.04%15.19M
2,274.56%1.3M
112.30%191.05K
-Change in other working capital
-43.57%7.86K
-42.40%40.2K
----
----
--12.06K
--13.93K
689.05%69.78K
411.27%48.46K
--8.02K
----
Cash from discontinued investing activities
Operating cash flow
-146.01%-820.22K
242.23%6.54M
705.28%5.97M
-32.03%-1.33M
112.58%110.8K
203.58%1.78M
-210.98%-4.6M
-38.20%-987.09K
-321.84%-1.01M
-173.29%-880.94K
Investing cash flow
Cash flow from continuing investing activities
-2,103.70%-933.33K
-668.81%-232.35K
-134.03%-58.62K
43.09%-97.45K
-8.54%-33.93K
-42.35K
71.64%-30.22K
814.20%172.27K
-509.32%-171.24K
-160.11%-31.26K
Net PPE purchase and sale
-2,103.70%-933.33K
-668.81%-232.35K
-134.03%-58.62K
43.09%-97.45K
-8.54%-33.93K
---42.35K
67.95%-30.22K
814.20%172.27K
-509.32%-171.24K
-160.11%-31.26K
Cash from discontinued investing activities
Investing cash flow
-2,103.70%-933.33K
-668.81%-232.35K
-134.03%-58.62K
43.09%-97.45K
-8.54%-33.93K
---42.35K
71.64%-30.22K
814.20%172.27K
-509.32%-171.24K
-160.11%-31.26K
Financing cash flow
Cash flow from continuing financing activities
99.55%-15.77K
-223.25%-4.81M
-367.17%-2.72M
36.00%1.13M
12.67%266.33K
-291.67%-3.49M
368.94%3.9M
1,604.90%1.02M
2,167.84%830.1K
1,883.07%236.38K
Net issuance payments of debt
98.92%-37.71K
-213.10%-3.77M
-301.79%-1.65M
73.70%1.1M
240.65%266.33K
-293.66%-3.49M
309.16%3.33M
1,265.34%817.81K
2,074.06%635.1K
236.73%78.18K
Proceeds from stock option exercised by employees
--21.94K
-79.35%76.8K
5,100,100.00%51K
-86.77%25.8K
--0
--0
162.87%371.95K
-100.11%-1
183.53%195K
128.94%158.2K
Net other financing activities
----
-1,300.00%-1.12M
----
----
----
----
---80K
----
----
----
Cash from discontinued financing activities
Financing cash flow
99.55%-15.77K
-232.78%-4.81M
-468.56%-2.72M
36.00%1.13M
12.67%266.33K
-291.67%-3.49M
349.65%3.62M
1,190.90%737.81K
2,167.84%830.1K
1,883.07%236.38K
Net cash flow
Beginning cash position
57.85%4.11M
-27.68%2.6M
-66.57%894.35K
-60.51%1.19M
-77.11%849.27K
-27.68%2.6M
249.84%3.6M
-39.28%2.68M
-23.42%3.02M
35.93%3.71M
Current changes in cash
-1.24%-1.77M
248.83%1.49M
4,249.75%3.2M
14.32%-298.78K
150.78%343.2K
-1,871.12%-1.75M
-138.82%-1M
90.45%-77.01K
-175.36%-348.7K
-156.23%-675.8K
Effect of exchange rate changes
404.37%22.3K
133.24%14.07K
258.38%20.74K
-122.99%-1.42K
122.24%2.08K
-171.77%-7.33K
150.65%6.03K
554.01%5.79K
90.03%-635
-149.91%-9.33K
End cash Position
178.34%2.36M
57.85%4.11M
57.85%4.11M
-66.57%894.35K
-60.51%1.19M
-77.11%849.27K
-27.68%2.6M
-27.68%2.6M
-39.28%2.68M
-23.42%3.02M
Free cash flow
-200.75%-1.75M
236.28%6.31M
826.05%5.92M
-21.12%-1.43M
108.43%76.87K
201.12%1.74M
-214.66%-4.63M
-10.36%-814.82K
-376.66%-1.18M
-176.66%-912.2K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Nov 30, 2023(FY)Aug 31, 2023(Q4)Aug 31, 2023(Q3)May 31, 2023(Q2)Feb 28, 2023(Q1)Nov 30, 2022(FY)Aug 31, 2022(Q4)Aug 31, 2022(Q3)May 31, 2022(Q2)Feb 28, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -146.01%-820.22K21.00%6.54M-33.42%6M-34.61%-1.36M112.58%110.79K203.58%1.78M30.08%5.4M1,383.42%9.01M-321.83%-1.01M-173.29%-880.97K
Net income from continuing operations 1,669.72%2.39M49.93%2.81M-74.90%677.65K218.55%403.09K369.91%1.88M-171.65%-152.37K287.66%1.88M414.96%2.7M-702.10%-340.01K-114.94%-697.66K
Operating gains losses 222.85%228.71K15.64%-369.2K1.06%-293.63K-122.16%-43.48K-241.22%-102.92K117.28%70.84K-291.31%-437.63K-50.19%-296.79K-18.46%196.26K-59.49%72.88K
Depreciation and amortization 34.18%118.72K2.44%374.87K-8.01%97K12.27%102.66K0.30%86.73K7.15%88.48K1.82%365.93K-2.18%105.44K22.94%91.43K-1.54%86.47K
Deferred tax 5.88%-144K84.72%-66K-457.14%-156K311.11%57K151.24%186K-992.86%-153K-236.71%-432K-315.38%-28K-258.82%-27K-221.81%-363K
Other non cash items 46,766,100.00%467.66K100.16%15.87K---10.07K--25.93K--2---1-962.43%-9.95M------------
Change In working capital -303.61%-3.88M-6.83%3.47M-13.56%5.54M-114.10%-1.99M-1,182.01%-1.99M219.17%1.91M21.27%3.72M799.93%6.4M-599.52%-928.21K-116.15%-155.2K
-Change in receivables -148.77%-3.07M166.18%5.96M139.07%3.58M-13.34%-1.03M-1,385.10%-2.89M639.38%6.3M-811.68%-9M-25.89%-9.17M-1,318.30%-908.97K-87.89%224.86K
-Change in inventory -278.52%-972.13K176.55%2.71M190.40%818.66K126.38%345.72K254.89%1M129.18%544.54K-147.93%-3.54M113.32%281.91K-950.23%-1.31M-52.38%-647.64K
-Change in prepaid assets 63.99%-52.85K24.43%-73.79K-242.02%-78.76K-250.29%-56.45K229.30%208.18K26.70%-146.75K5.14%-97.63K-84.46%55.46K-195.81%-16.12K-94.16%63.22K
-Change in payables and accrued expense 104.26%204.46K-131.74%-5.17M-92.28%1.17M-193.91%-1.22M-269.27%-323.39K-1,146.09%-4.8M192.11%16.29M87.04%15.19M2,274.56%1.3M112.30%191.05K
-Change in other working capital -43.57%7.86K-42.40%40.2K----------12.06K--13.93K689.05%69.78K411.27%48.46K--8.02K----
Cash from discontinued investing activities
Operating cash flow -146.01%-820.22K242.23%6.54M705.28%5.97M-32.03%-1.33M112.58%110.8K203.58%1.78M-210.98%-4.6M-38.20%-987.09K-321.84%-1.01M-173.29%-880.94K
Investing cash flow
Cash flow from continuing investing activities -2,103.70%-933.33K-668.81%-232.35K-134.03%-58.62K43.09%-97.45K-8.54%-33.93K-42.35K71.64%-30.22K814.20%172.27K-509.32%-171.24K-160.11%-31.26K
Net PPE purchase and sale -2,103.70%-933.33K-668.81%-232.35K-134.03%-58.62K43.09%-97.45K-8.54%-33.93K---42.35K67.95%-30.22K814.20%172.27K-509.32%-171.24K-160.11%-31.26K
Cash from discontinued investing activities
Investing cash flow -2,103.70%-933.33K-668.81%-232.35K-134.03%-58.62K43.09%-97.45K-8.54%-33.93K---42.35K71.64%-30.22K814.20%172.27K-509.32%-171.24K-160.11%-31.26K
Financing cash flow
Cash flow from continuing financing activities 99.55%-15.77K-223.25%-4.81M-367.17%-2.72M36.00%1.13M12.67%266.33K-291.67%-3.49M368.94%3.9M1,604.90%1.02M2,167.84%830.1K1,883.07%236.38K
Net issuance payments of debt 98.92%-37.71K-213.10%-3.77M-301.79%-1.65M73.70%1.1M240.65%266.33K-293.66%-3.49M309.16%3.33M1,265.34%817.81K2,074.06%635.1K236.73%78.18K
Proceeds from stock option exercised by employees --21.94K-79.35%76.8K5,100,100.00%51K-86.77%25.8K--0--0162.87%371.95K-100.11%-1183.53%195K128.94%158.2K
Net other financing activities -----1,300.00%-1.12M-------------------80K------------
Cash from discontinued financing activities
Financing cash flow 99.55%-15.77K-232.78%-4.81M-468.56%-2.72M36.00%1.13M12.67%266.33K-291.67%-3.49M349.65%3.62M1,190.90%737.81K2,167.84%830.1K1,883.07%236.38K
Net cash flow
Beginning cash position 57.85%4.11M-27.68%2.6M-66.57%894.35K-60.51%1.19M-77.11%849.27K-27.68%2.6M249.84%3.6M-39.28%2.68M-23.42%3.02M35.93%3.71M
Current changes in cash -1.24%-1.77M248.83%1.49M4,249.75%3.2M14.32%-298.78K150.78%343.2K-1,871.12%-1.75M-138.82%-1M90.45%-77.01K-175.36%-348.7K-156.23%-675.8K
Effect of exchange rate changes 404.37%22.3K133.24%14.07K258.38%20.74K-122.99%-1.42K122.24%2.08K-171.77%-7.33K150.65%6.03K554.01%5.79K90.03%-635-149.91%-9.33K
End cash Position 178.34%2.36M57.85%4.11M57.85%4.11M-66.57%894.35K-60.51%1.19M-77.11%849.27K-27.68%2.6M-27.68%2.6M-39.28%2.68M-23.42%3.02M
Free cash flow -200.75%-1.75M236.28%6.31M826.05%5.92M-21.12%-1.43M108.43%76.87K201.12%1.74M-214.66%-4.63M-10.36%-814.82K-376.66%-1.18M-176.66%-912.2K
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion with Explanatory Notes------

Analysis

Analyst Rating

No Data

Price Target

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