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ONE 01 Communique Laboratory Inc

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  • 0.225
  • 0.0000.00%
15min DelayMarket Closed Apr 25 16:00 ET
22.64MMarket Cap0.00P/E (TTM)

01 Communique Laboratory Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jan 31, 2025
(FY)Oct 31, 2024
(Q4)Oct 31, 2024
(Q3)Jul 31, 2024
(Q2)Apr 30, 2024
(Q1)Jan 31, 2024
(FY)Oct 31, 2023
(Q4)Oct 31, 2023
(Q3)Jul 31, 2023
(Q2)Apr 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
360.70%1.01M
-60.54%139.13K
-60.54%139.13K
-66.06%125.72K
-59.69%175.83K
-62.40%219.46K
-44.67%352.54K
-44.67%352.54K
-56.86%370.36K
-48.65%436.19K
-Cash and cash equivalents
5.82%211.07K
-48.95%139.13K
-48.95%139.13K
-56.70%125.72K
-44.39%175.83K
-56.99%199.46K
-44.06%272.54K
-44.06%272.54K
-66.18%290.36K
-62.77%316.19K
-Short term investments
3,900.00%800K
--0
--0
--0
--0
-83.33%20K
-46.67%80K
-46.67%80K
--80K
--120K
Receivables
-15.91%78.24K
-28.49%62.9K
-28.49%62.9K
12.97%101.03K
-61.07%59.6K
-29.57%93.04K
-72.19%87.97K
-72.19%87.97K
-30.38%89.43K
4.47%153.11K
-Accounts receivable
1.50%57.73K
-8.93%50.87K
-8.93%50.87K
27.81%96.82K
-46.87%51.07K
-12.60%56.88K
-76.71%55.86K
-76.71%55.86K
-27.25%75.75K
-17.18%96.12K
-Taxes receivable
-43.27%20.52K
-62.53%12.03K
-62.53%12.03K
-69.23%4.21K
-85.03%8.53K
-46.05%36.17K
-57.98%32.11K
-57.98%32.11K
--13.68K
--56.99K
Other current assets
-12.45%3.87K
-0.38%6.04K
-0.38%6.04K
-81.95%7.65K
-81.58%9.27K
-91.82%4.42K
-90.55%6.06K
-90.55%6.06K
36.13%42.39K
-1.56%50.29K
Total current assets
244.93%1.09M
-53.41%208.07K
-53.41%208.07K
-53.32%234.39K
-61.74%244.7K
-58.84%316.93K
-56.11%446.57K
-56.11%446.57K
-50.68%502.18K
-38.91%639.59K
Non current assets
Net PPE
512.62%148.43K
-13.26%32.42K
-13.26%32.42K
-9.93%46.07K
-6.48%59.73K
-68.60%24.23K
-58.89%37.38K
-58.89%37.38K
-50.52%51.16K
-44.36%63.87K
-Gross PPE
5.45%859.05K
-10.42%729.34K
-10.42%729.34K
-10.42%729.34K
-10.32%729.34K
0.21%814.69K
0.15%814.14K
0.15%814.14K
0.15%814.14K
0.18%813.3K
-Accumulated depreciation
10.10%-710.62K
10.28%-696.93K
10.28%-696.93K
10.45%-683.27K
10.65%-669.61K
-7.43%-790.46K
-7.58%-776.77K
-7.58%-776.77K
-7.53%-762.99K
-7.51%-749.42K
Investments and advances
----
----
----
----
----
----
----
----
-95.24%1.5K
-95.24%1.5K
-Financial asset investment
----
----
----
----
----
----
----
----
-95.24%1.5K
-95.24%1.5K
-Including:Financial assets designated as fair value through profit or loss, Total
----
----
----
----
----
----
----
----
-95.24%1.5K
-95.24%1.5K
Total non current assets
512.62%148.43K
-13.26%32.42K
-13.26%32.42K
-12.50%46.07K
-8.63%59.73K
-69.20%24.23K
-59.56%37.38K
-59.56%37.38K
-60.97%52.66K
-55.32%65.37K
Total assets
263.94%1.24M
-50.31%240.48K
-50.31%240.48K
-49.45%280.47K
-56.82%304.43K
-59.80%341.16K
-56.40%483.94K
-56.40%483.94K
-51.88%554.83K
-40.92%704.96K
Liabilities
Current liabilities
Current debt and capital lease obligation
421.18%41.61K
-64.81%21.07K
-64.81%21.07K
-53.82%33.36K
-46.13%44.9K
-90.81%7.98K
29.19%59.88K
29.19%59.88K
55.37%72.23K
84.97%83.33K
-Current debt
----
----
----
----
----
----
--40K
--40K
--40K
--40K
-Current capital lease obligation
421.18%41.61K
6.00%21.07K
6.00%21.07K
3.49%33.36K
3.61%44.9K
-82.97%7.98K
-57.11%19.88K
-57.11%19.88K
-30.67%32.23K
-3.82%43.33K
Current deferred liabilities
-5.97%3.26K
-3.49%3.87K
-3.49%3.87K
-15.66%4.49K
-22.77%4.84K
-31.85%3.47K
-26.94%4.01K
-26.94%4.01K
-20.71%5.32K
-4.80%6.26K
Current liabilities
1.25%127.29K
-38.51%129.06K
-38.51%129.06K
-32.13%103.68K
-47.17%119.68K
-46.80%125.71K
-35.35%209.88K
-35.35%209.88K
-49.22%152.75K
-22.88%226.52K
Non current liabilities
Long term debt and capital lease obligation
--95.7K
----
----
----
----
----
----
----
--0
--0
-Long term capital lease obligation
--95.7K
----
----
----
----
----
----
----
--0
--0
Total non current liabilities
--95.7K
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
77.38%222.99K
-38.51%129.06K
-38.51%129.06K
-32.13%103.68K
-47.17%119.68K
-48.62%125.71K
-45.51%209.88K
-45.51%209.88K
-58.93%152.75K
-39.84%226.52K
Shareholders'equity
Share capital
0.86%44.66M
0.00%44.28M
0.00%44.28M
0.00%44.28M
0.00%44.28M
0.00%44.28M
0.15%44.28M
0.15%44.28M
0.26%44.28M
0.72%44.28M
-common stock
0.86%44.66M
0.00%44.28M
0.00%44.28M
0.00%44.28M
0.00%44.28M
0.00%44.28M
0.15%44.28M
0.15%44.28M
0.26%44.28M
0.72%44.28M
Additional paid-in capital
2.24%6.48M
2.75%6.46M
2.75%6.46M
2.62%6.41M
2.81%6.38M
3.23%6.34M
3.35%6.29M
3.35%6.29M
4.19%6.25M
3.78%6.2M
Retained earnings
-0.68%-50.77M
-0.63%-50.63M
-0.63%-50.63M
-0.78%-50.53M
-0.94%-50.49M
-1.18%-50.42M
-1.46%-50.31M
-1.46%-50.31M
-1.49%-50.14M
-1.64%-50.02M
Other equity interest
3,692.59%640K
----
----
0.00%16.88K
0.00%16.88K
0.00%16.88K
0.00%16.88K
0.00%16.88K
-35.10%16.88K
-81.96%16.88K
Total stockholders'equity
372.79%1.02M
-59.35%111.42K
-59.35%111.42K
-56.03%176.79K
-61.39%184.74K
-64.33%215.45K
-62.19%274.07K
-62.19%274.07K
-48.53%402.08K
-41.42%478.44K
Total equity
372.79%1.02M
-59.35%111.42K
-59.35%111.42K
-56.03%176.79K
-61.39%184.74K
-64.33%215.45K
-62.19%274.07K
-62.19%274.07K
-48.53%402.08K
-41.42%478.44K
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Jan 31, 2025(FY)Oct 31, 2024(Q4)Oct 31, 2024(Q3)Jul 31, 2024(Q2)Apr 30, 2024(Q1)Jan 31, 2024(FY)Oct 31, 2023(Q4)Oct 31, 2023(Q3)Jul 31, 2023(Q2)Apr 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 360.70%1.01M-60.54%139.13K-60.54%139.13K-66.06%125.72K-59.69%175.83K-62.40%219.46K-44.67%352.54K-44.67%352.54K-56.86%370.36K-48.65%436.19K
-Cash and cash equivalents 5.82%211.07K-48.95%139.13K-48.95%139.13K-56.70%125.72K-44.39%175.83K-56.99%199.46K-44.06%272.54K-44.06%272.54K-66.18%290.36K-62.77%316.19K
-Short term investments 3,900.00%800K--0--0--0--0-83.33%20K-46.67%80K-46.67%80K--80K--120K
Receivables -15.91%78.24K-28.49%62.9K-28.49%62.9K12.97%101.03K-61.07%59.6K-29.57%93.04K-72.19%87.97K-72.19%87.97K-30.38%89.43K4.47%153.11K
-Accounts receivable 1.50%57.73K-8.93%50.87K-8.93%50.87K27.81%96.82K-46.87%51.07K-12.60%56.88K-76.71%55.86K-76.71%55.86K-27.25%75.75K-17.18%96.12K
-Taxes receivable -43.27%20.52K-62.53%12.03K-62.53%12.03K-69.23%4.21K-85.03%8.53K-46.05%36.17K-57.98%32.11K-57.98%32.11K--13.68K--56.99K
Other current assets -12.45%3.87K-0.38%6.04K-0.38%6.04K-81.95%7.65K-81.58%9.27K-91.82%4.42K-90.55%6.06K-90.55%6.06K36.13%42.39K-1.56%50.29K
Total current assets 244.93%1.09M-53.41%208.07K-53.41%208.07K-53.32%234.39K-61.74%244.7K-58.84%316.93K-56.11%446.57K-56.11%446.57K-50.68%502.18K-38.91%639.59K
Non current assets
Net PPE 512.62%148.43K-13.26%32.42K-13.26%32.42K-9.93%46.07K-6.48%59.73K-68.60%24.23K-58.89%37.38K-58.89%37.38K-50.52%51.16K-44.36%63.87K
-Gross PPE 5.45%859.05K-10.42%729.34K-10.42%729.34K-10.42%729.34K-10.32%729.34K0.21%814.69K0.15%814.14K0.15%814.14K0.15%814.14K0.18%813.3K
-Accumulated depreciation 10.10%-710.62K10.28%-696.93K10.28%-696.93K10.45%-683.27K10.65%-669.61K-7.43%-790.46K-7.58%-776.77K-7.58%-776.77K-7.53%-762.99K-7.51%-749.42K
Investments and advances ---------------------------------95.24%1.5K-95.24%1.5K
-Financial asset investment ---------------------------------95.24%1.5K-95.24%1.5K
-Including:Financial assets designated as fair value through profit or loss, Total ---------------------------------95.24%1.5K-95.24%1.5K
Total non current assets 512.62%148.43K-13.26%32.42K-13.26%32.42K-12.50%46.07K-8.63%59.73K-69.20%24.23K-59.56%37.38K-59.56%37.38K-60.97%52.66K-55.32%65.37K
Total assets 263.94%1.24M-50.31%240.48K-50.31%240.48K-49.45%280.47K-56.82%304.43K-59.80%341.16K-56.40%483.94K-56.40%483.94K-51.88%554.83K-40.92%704.96K
Liabilities
Current liabilities
Current debt and capital lease obligation 421.18%41.61K-64.81%21.07K-64.81%21.07K-53.82%33.36K-46.13%44.9K-90.81%7.98K29.19%59.88K29.19%59.88K55.37%72.23K84.97%83.33K
-Current debt --------------------------40K--40K--40K--40K
-Current capital lease obligation 421.18%41.61K6.00%21.07K6.00%21.07K3.49%33.36K3.61%44.9K-82.97%7.98K-57.11%19.88K-57.11%19.88K-30.67%32.23K-3.82%43.33K
Current deferred liabilities -5.97%3.26K-3.49%3.87K-3.49%3.87K-15.66%4.49K-22.77%4.84K-31.85%3.47K-26.94%4.01K-26.94%4.01K-20.71%5.32K-4.80%6.26K
Current liabilities 1.25%127.29K-38.51%129.06K-38.51%129.06K-32.13%103.68K-47.17%119.68K-46.80%125.71K-35.35%209.88K-35.35%209.88K-49.22%152.75K-22.88%226.52K
Non current liabilities
Long term debt and capital lease obligation --95.7K------------------------------0--0
-Long term capital lease obligation --95.7K------------------------------0--0
Total non current liabilities --95.7K--0--0--0--0--0--0--0--0--0
Total liabilities 77.38%222.99K-38.51%129.06K-38.51%129.06K-32.13%103.68K-47.17%119.68K-48.62%125.71K-45.51%209.88K-45.51%209.88K-58.93%152.75K-39.84%226.52K
Shareholders'equity
Share capital 0.86%44.66M0.00%44.28M0.00%44.28M0.00%44.28M0.00%44.28M0.00%44.28M0.15%44.28M0.15%44.28M0.26%44.28M0.72%44.28M
-common stock 0.86%44.66M0.00%44.28M0.00%44.28M0.00%44.28M0.00%44.28M0.00%44.28M0.15%44.28M0.15%44.28M0.26%44.28M0.72%44.28M
Additional paid-in capital 2.24%6.48M2.75%6.46M2.75%6.46M2.62%6.41M2.81%6.38M3.23%6.34M3.35%6.29M3.35%6.29M4.19%6.25M3.78%6.2M
Retained earnings -0.68%-50.77M-0.63%-50.63M-0.63%-50.63M-0.78%-50.53M-0.94%-50.49M-1.18%-50.42M-1.46%-50.31M-1.46%-50.31M-1.49%-50.14M-1.64%-50.02M
Other equity interest 3,692.59%640K--------0.00%16.88K0.00%16.88K0.00%16.88K0.00%16.88K0.00%16.88K-35.10%16.88K-81.96%16.88K
Total stockholders'equity 372.79%1.02M-59.35%111.42K-59.35%111.42K-56.03%176.79K-61.39%184.74K-64.33%215.45K-62.19%274.07K-62.19%274.07K-48.53%402.08K-41.42%478.44K
Total equity 372.79%1.02M-59.35%111.42K-59.35%111.42K-56.03%176.79K-61.39%184.74K-64.33%215.45K-62.19%274.07K-62.19%274.07K-48.53%402.08K-41.42%478.44K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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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