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IPA ImmunoPrecise Antibodies

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  • 1.340
  • +0.020+1.52%
Trading Apr 29 15:27 ET
35.26MMarket Cap-3213P/E (TTM)

ImmunoPrecise Antibodies Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Jan 31, 2024
(Q2)Oct 31, 2023
(Q1)Jul 31, 2023
(FY)Apr 30, 2023
(Q4)Apr 30, 2023
(Q3)Jan 31, 2023
(Q2)Oct 31, 2022
(Q1)Jul 31, 2022
(FY)Apr 30, 2022
(Q4)Apr 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-45.21%6.2M
-60.04%6.02M
-65.03%6.73M
-72.37%8.28M
-72.37%8.28M
-65.67%11.32M
-60.74%15.06M
-52.72%19.24M
-28.24%29.97M
-28.24%29.97M
-Cash and cash equivalents
-45.21%6.2M
-60.04%6.02M
-65.03%6.73M
-72.37%8.28M
-72.37%8.28M
-65.67%11.32M
-60.74%15.06M
-52.72%19.24M
-28.24%29.97M
-28.24%29.97M
Receivables
37.13%4.48M
12.62%5.05M
32.13%4.93M
29.51%4.42M
29.51%4.42M
-5.53%3.26M
54.69%4.49M
5.49%3.73M
-17.24%3.41M
-17.24%3.41M
-Accounts receivable
33.76%3.05M
12.08%3.62M
31.69%3.56M
29.72%3.25M
29.72%3.25M
-7.47%2.28M
48.21%3.23M
-1.96%2.7M
-12.42%2.5M
-12.42%2.5M
-Taxes receivable
19.22%397K
-27.84%368K
8.24%302K
93.50%536K
93.50%536K
220.19%333K
500.00%510K
149.11%279K
-43.58%277K
-43.58%277K
-Other receivables
58.04%1.03M
42.51%1.07M
42.63%1.06M
0.48%632K
0.48%632K
-26.55%653K
17.43%748K
12.18%746K
-18.31%629K
-18.31%629K
Inventory
40.04%2.53M
54.70%2.45M
42.80%2.21M
27.55%2.06M
27.55%2.06M
17.86%1.81M
24.12%1.59M
19.61%1.55M
34.14%1.62M
34.14%1.62M
Prepaid assets
-25.51%1.84M
21.30%1.89M
-27.81%1.85M
-17.90%2.04M
-17.90%2.04M
-4.26%2.47M
10.68%1.55M
97.99%2.56M
39.70%2.48M
39.70%2.48M
Total current assets
-20.22%15.06M
-32.08%15.41M
-41.96%15.72M
-55.19%16.79M
-55.19%16.79M
-53.48%18.87M
-48.38%22.68M
-42.16%27.09M
-23.31%37.47M
-23.31%37.47M
Non current assets
Net PPE
57.81%17.03M
22.98%12.24M
263.73%12.65M
173.01%10.72M
173.01%10.72M
189.17%10.79M
160.66%9.95M
-15.99%3.48M
-3.63%3.93M
-3.63%3.93M
-Gross PPE
41.60%25.08M
23.70%19.77M
107.58%19.48M
78.32%17.07M
78.32%17.07M
94.42%17.71M
78.52%15.98M
4.91%9.38M
13.21%9.58M
13.21%9.58M
-Accumulated depreciation
-16.33%-8.05M
-24.88%-7.53M
-15.66%-6.83M
-12.45%-6.35M
-12.45%-6.35M
-28.68%-6.92M
-17.43%-6.03M
-22.91%-5.91M
-28.87%-5.65M
-28.87%-5.65M
Goodwill and other intangible assets
-11.55%46.52M
-4.14%47.88M
-2.15%48.11M
-3.71%50.1M
-3.71%50.1M
339.34%52.6M
303.97%49.94M
270.13%49.16M
276.04%52.03M
276.04%52.03M
-Goodwill
-11.57%18.66M
-3.69%18.92M
-1.46%18.73M
-2.36%19.17M
-2.36%19.17M
183.32%21.11M
161.95%19.65M
145.24%19.01M
152.48%19.64M
152.48%19.64M
-Other intangible assets
-11.54%27.86M
-4.43%28.95M
-2.59%29.37M
-4.52%30.93M
-4.52%30.93M
596.40%31.49M
523.08%30.29M
445.16%30.15M
434.66%32.39M
434.66%32.39M
Investments and advances
--0
--0
-80.29%27K
-19.01%115K
-19.01%115K
-8.57%96K
-16.04%89K
24.55%137K
27.93%142K
27.93%142K
Other non current assets
0.00%85K
1.16%87K
3.70%84K
4.88%86K
4.88%86K
4.94%85K
8.86%86K
1.25%81K
3.80%82K
3.80%82K
Total non current assets
0.10%63.63M
0.22%60.2M
15.14%60.86M
8.62%61.02M
8.62%61.02M
300.08%63.57M
266.57%60.07M
200.13%52.86M
210.35%56.18M
210.35%56.18M
Total assets
-4.55%78.69M
-8.64%75.61M
-4.20%76.58M
-16.91%77.81M
-16.91%77.81M
46.04%82.44M
37.17%82.75M
24.07%79.94M
39.86%93.65M
39.86%93.65M
Liabilities
Current liabilities
Payables
13.54%5.01M
-3.45%4.68M
67.13%3.97M
-35.08%3.39M
-35.08%3.39M
13.46%4.41M
21.09%4.85M
-22.48%2.37M
50.10%5.22M
50.10%5.22M
-accounts payable
11.43%4.8M
-14.56%4.11M
58.09%3.56M
-28.98%3.39M
-28.98%3.39M
30.51%4.3M
33.87%4.81M
-24.47%2.25M
58.35%4.77M
58.35%4.77M
-Total tax payable
100.00%210K
1,722.58%565K
232.52%409K
-99.56%2K
-99.56%2K
-82.14%105K
-92.35%31K
50.00%123K
-3.22%451K
-3.22%451K
Current debt and capital lease obligation
36.95%1.77M
-17.40%954K
27.70%1.04M
-51.46%1.12M
-51.46%1.12M
-43.23%1.29M
-48.21%1.16M
-64.49%816K
133.16%2.3M
133.16%2.3M
-Current debt
----
----
----
----
----
----
----
----
--1.31M
--1.31M
-Current capital lease obligation
36.95%1.77M
-17.40%954K
27.70%1.04M
13.07%1.12M
13.07%1.12M
31.47%1.29M
20.44%1.16M
-14.64%816K
0.10%987K
0.10%987K
Current deferred liabilities
142.60%2.31M
45.64%1.9M
-34.81%1.41M
-20.18%1.42M
-20.18%1.42M
-3.05%953K
0.85%1.31M
72.32%2.17M
10.25%1.77M
10.25%1.77M
Current liabilities
36.58%9.09M
3.12%7.53M
19.89%6.42M
-36.29%5.92M
-36.29%5.92M
-6.86%6.65M
-2.92%7.31M
-19.06%5.36M
53.03%9.29M
53.03%9.29M
Non current liabilities
Long term debt and capital lease obligation
104.12%12.62M
55.88%8.62M
2,748.38%8.77M
1,214.32%6.15M
1,214.32%6.15M
1,045.19%6.18M
691.13%5.53M
-68.92%308K
-81.06%468K
-81.06%468K
-Long term capital lease obligation
104.12%12.62M
55.88%8.62M
2,748.38%8.77M
1,214.32%6.15M
1,214.32%6.15M
1,045.19%6.18M
691.13%5.53M
-68.92%308K
-50.21%468K
-50.21%468K
Non current deferred liabilities
-15.96%7.16M
-9.22%7.42M
-6.16%7.55M
-7.71%7.94M
-7.71%7.94M
690.45%8.52M
579.63%8.18M
477.59%8.04M
476.54%8.6M
476.54%8.6M
Total non current liabilities
34.54%19.78M
17.04%16.04M
95.47%16.32M
55.35%14.09M
55.35%14.09M
808.84%14.71M
620.61%13.71M
250.31%8.35M
128.87%9.07M
128.87%9.07M
Total liabilities
35.17%28.87M
12.20%23.58M
65.93%22.74M
8.98%20.01M
8.98%20.01M
143.80%21.36M
122.87%21.01M
52.27%13.7M
82.98%18.36M
82.98%18.36M
Shareholders'equity
Share capital
0.96%118.35M
0.36%117.47M
1.11%117.47M
2.54%117.47M
2.54%117.47M
43.32%117.22M
43.65%117.05M
43.66%116.18M
43.02%114.56M
43.02%114.56M
-common stock
0.96%118.35M
0.36%117.47M
1.11%117.47M
2.54%117.47M
2.54%117.47M
43.32%117.22M
43.65%117.05M
43.66%116.18M
43.02%114.56M
43.02%114.56M
Retained earnings
-20.98%-82.22M
-25.33%-79.28M
-37.10%-76.65M
-57.08%-73.09M
-57.08%-73.09M
-62.26%-67.96M
-66.22%-63.26M
-69.17%-55.91M
-56.03%-46.53M
-56.03%-46.53M
Paid-in capital
16.78%12.15M
15.86%11.92M
12.77%11.62M
12.11%10.8M
12.11%10.8M
13.53%10.41M
16.99%10.29M
24.10%10.3M
33.73%9.63M
33.73%9.63M
Gains losses not affecting retained earnings
9.07%1.54M
182.46%1.93M
132.50%1.41M
205.89%2.63M
205.89%2.63M
195.02%1.41M
-64.46%-2.34M
-441.32%-4.34M
-260.84%-2.48M
-260.84%-2.48M
Other equity interest
----
----
----
----
----
----
----
----
-18.90%103K
-18.90%103K
Total stockholders'equity
-18.44%49.82M
-15.73%52.03M
-18.71%53.85M
-23.22%57.8M
-23.22%57.8M
28.08%61.08M
21.30%61.74M
19.49%66.24M
32.26%75.29M
32.26%75.29M
Total equity
-18.44%49.82M
-15.73%52.03M
-18.71%53.85M
-23.22%57.8M
-23.22%57.8M
28.08%61.08M
21.30%61.74M
19.49%66.24M
32.26%75.29M
32.26%75.29M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
(Q3)Jan 31, 2024(Q2)Oct 31, 2023(Q1)Jul 31, 2023(FY)Apr 30, 2023(Q4)Apr 30, 2023(Q3)Jan 31, 2023(Q2)Oct 31, 2022(Q1)Jul 31, 2022(FY)Apr 30, 2022(Q4)Apr 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -45.21%6.2M-60.04%6.02M-65.03%6.73M-72.37%8.28M-72.37%8.28M-65.67%11.32M-60.74%15.06M-52.72%19.24M-28.24%29.97M-28.24%29.97M
-Cash and cash equivalents -45.21%6.2M-60.04%6.02M-65.03%6.73M-72.37%8.28M-72.37%8.28M-65.67%11.32M-60.74%15.06M-52.72%19.24M-28.24%29.97M-28.24%29.97M
Receivables 37.13%4.48M12.62%5.05M32.13%4.93M29.51%4.42M29.51%4.42M-5.53%3.26M54.69%4.49M5.49%3.73M-17.24%3.41M-17.24%3.41M
-Accounts receivable 33.76%3.05M12.08%3.62M31.69%3.56M29.72%3.25M29.72%3.25M-7.47%2.28M48.21%3.23M-1.96%2.7M-12.42%2.5M-12.42%2.5M
-Taxes receivable 19.22%397K-27.84%368K8.24%302K93.50%536K93.50%536K220.19%333K500.00%510K149.11%279K-43.58%277K-43.58%277K
-Other receivables 58.04%1.03M42.51%1.07M42.63%1.06M0.48%632K0.48%632K-26.55%653K17.43%748K12.18%746K-18.31%629K-18.31%629K
Inventory 40.04%2.53M54.70%2.45M42.80%2.21M27.55%2.06M27.55%2.06M17.86%1.81M24.12%1.59M19.61%1.55M34.14%1.62M34.14%1.62M
Prepaid assets -25.51%1.84M21.30%1.89M-27.81%1.85M-17.90%2.04M-17.90%2.04M-4.26%2.47M10.68%1.55M97.99%2.56M39.70%2.48M39.70%2.48M
Total current assets -20.22%15.06M-32.08%15.41M-41.96%15.72M-55.19%16.79M-55.19%16.79M-53.48%18.87M-48.38%22.68M-42.16%27.09M-23.31%37.47M-23.31%37.47M
Non current assets
Net PPE 57.81%17.03M22.98%12.24M263.73%12.65M173.01%10.72M173.01%10.72M189.17%10.79M160.66%9.95M-15.99%3.48M-3.63%3.93M-3.63%3.93M
-Gross PPE 41.60%25.08M23.70%19.77M107.58%19.48M78.32%17.07M78.32%17.07M94.42%17.71M78.52%15.98M4.91%9.38M13.21%9.58M13.21%9.58M
-Accumulated depreciation -16.33%-8.05M-24.88%-7.53M-15.66%-6.83M-12.45%-6.35M-12.45%-6.35M-28.68%-6.92M-17.43%-6.03M-22.91%-5.91M-28.87%-5.65M-28.87%-5.65M
Goodwill and other intangible assets -11.55%46.52M-4.14%47.88M-2.15%48.11M-3.71%50.1M-3.71%50.1M339.34%52.6M303.97%49.94M270.13%49.16M276.04%52.03M276.04%52.03M
-Goodwill -11.57%18.66M-3.69%18.92M-1.46%18.73M-2.36%19.17M-2.36%19.17M183.32%21.11M161.95%19.65M145.24%19.01M152.48%19.64M152.48%19.64M
-Other intangible assets -11.54%27.86M-4.43%28.95M-2.59%29.37M-4.52%30.93M-4.52%30.93M596.40%31.49M523.08%30.29M445.16%30.15M434.66%32.39M434.66%32.39M
Investments and advances --0--0-80.29%27K-19.01%115K-19.01%115K-8.57%96K-16.04%89K24.55%137K27.93%142K27.93%142K
Other non current assets 0.00%85K1.16%87K3.70%84K4.88%86K4.88%86K4.94%85K8.86%86K1.25%81K3.80%82K3.80%82K
Total non current assets 0.10%63.63M0.22%60.2M15.14%60.86M8.62%61.02M8.62%61.02M300.08%63.57M266.57%60.07M200.13%52.86M210.35%56.18M210.35%56.18M
Total assets -4.55%78.69M-8.64%75.61M-4.20%76.58M-16.91%77.81M-16.91%77.81M46.04%82.44M37.17%82.75M24.07%79.94M39.86%93.65M39.86%93.65M
Liabilities
Current liabilities
Payables 13.54%5.01M-3.45%4.68M67.13%3.97M-35.08%3.39M-35.08%3.39M13.46%4.41M21.09%4.85M-22.48%2.37M50.10%5.22M50.10%5.22M
-accounts payable 11.43%4.8M-14.56%4.11M58.09%3.56M-28.98%3.39M-28.98%3.39M30.51%4.3M33.87%4.81M-24.47%2.25M58.35%4.77M58.35%4.77M
-Total tax payable 100.00%210K1,722.58%565K232.52%409K-99.56%2K-99.56%2K-82.14%105K-92.35%31K50.00%123K-3.22%451K-3.22%451K
Current debt and capital lease obligation 36.95%1.77M-17.40%954K27.70%1.04M-51.46%1.12M-51.46%1.12M-43.23%1.29M-48.21%1.16M-64.49%816K133.16%2.3M133.16%2.3M
-Current debt ----------------------------------1.31M--1.31M
-Current capital lease obligation 36.95%1.77M-17.40%954K27.70%1.04M13.07%1.12M13.07%1.12M31.47%1.29M20.44%1.16M-14.64%816K0.10%987K0.10%987K
Current deferred liabilities 142.60%2.31M45.64%1.9M-34.81%1.41M-20.18%1.42M-20.18%1.42M-3.05%953K0.85%1.31M72.32%2.17M10.25%1.77M10.25%1.77M
Current liabilities 36.58%9.09M3.12%7.53M19.89%6.42M-36.29%5.92M-36.29%5.92M-6.86%6.65M-2.92%7.31M-19.06%5.36M53.03%9.29M53.03%9.29M
Non current liabilities
Long term debt and capital lease obligation 104.12%12.62M55.88%8.62M2,748.38%8.77M1,214.32%6.15M1,214.32%6.15M1,045.19%6.18M691.13%5.53M-68.92%308K-81.06%468K-81.06%468K
-Long term capital lease obligation 104.12%12.62M55.88%8.62M2,748.38%8.77M1,214.32%6.15M1,214.32%6.15M1,045.19%6.18M691.13%5.53M-68.92%308K-50.21%468K-50.21%468K
Non current deferred liabilities -15.96%7.16M-9.22%7.42M-6.16%7.55M-7.71%7.94M-7.71%7.94M690.45%8.52M579.63%8.18M477.59%8.04M476.54%8.6M476.54%8.6M
Total non current liabilities 34.54%19.78M17.04%16.04M95.47%16.32M55.35%14.09M55.35%14.09M808.84%14.71M620.61%13.71M250.31%8.35M128.87%9.07M128.87%9.07M
Total liabilities 35.17%28.87M12.20%23.58M65.93%22.74M8.98%20.01M8.98%20.01M143.80%21.36M122.87%21.01M52.27%13.7M82.98%18.36M82.98%18.36M
Shareholders'equity
Share capital 0.96%118.35M0.36%117.47M1.11%117.47M2.54%117.47M2.54%117.47M43.32%117.22M43.65%117.05M43.66%116.18M43.02%114.56M43.02%114.56M
-common stock 0.96%118.35M0.36%117.47M1.11%117.47M2.54%117.47M2.54%117.47M43.32%117.22M43.65%117.05M43.66%116.18M43.02%114.56M43.02%114.56M
Retained earnings -20.98%-82.22M-25.33%-79.28M-37.10%-76.65M-57.08%-73.09M-57.08%-73.09M-62.26%-67.96M-66.22%-63.26M-69.17%-55.91M-56.03%-46.53M-56.03%-46.53M
Paid-in capital 16.78%12.15M15.86%11.92M12.77%11.62M12.11%10.8M12.11%10.8M13.53%10.41M16.99%10.29M24.10%10.3M33.73%9.63M33.73%9.63M
Gains losses not affecting retained earnings 9.07%1.54M182.46%1.93M132.50%1.41M205.89%2.63M205.89%2.63M195.02%1.41M-64.46%-2.34M-441.32%-4.34M-260.84%-2.48M-260.84%-2.48M
Other equity interest ---------------------------------18.90%103K-18.90%103K
Total stockholders'equity -18.44%49.82M-15.73%52.03M-18.71%53.85M-23.22%57.8M-23.22%57.8M28.08%61.08M21.30%61.74M19.49%66.24M32.26%75.29M32.26%75.29M
Total equity -18.44%49.82M-15.73%52.03M-18.71%53.85M-23.22%57.8M-23.22%57.8M28.08%61.08M21.30%61.74M19.49%66.24M32.26%75.29M32.26%75.29M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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Symbol
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