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NANO Nano One Materials Corp

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  • 1.000
  • -0.030-2.91%
15min DelayMarket Closed Nov 11 16:00 ET
111.29MMarket Cap-3125P/E (TTM)

Nano One Materials Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-55.98%15.14M
-42.37%23.09M
-19.21%31.87M
-19.21%31.87M
-43.40%26M
-28.22%34.4M
-17.80%40.07M
-25.08%39.45M
-25.08%39.45M
-15.91%45.94M
-Cash and cash equivalents
-55.98%15.14M
-42.37%23.09M
-19.21%31.87M
-19.21%31.87M
-43.40%26M
-28.22%34.4M
-17.80%40.07M
-25.08%39.45M
-25.08%39.45M
-15.91%45.94M
Receivables
-33.31%672.69K
-52.86%378.38K
-73.65%391.71K
-73.65%391.71K
102.47%697.22K
930.61%1.01M
89.04%802.64K
261.23%1.49M
261.23%1.49M
-25.92%344.35K
-Accounts receivable
----
----
--0
--0
--0
--0
--0
--807.33K
--807.33K
----
-Taxes receivable
-15.30%657.69K
-19.99%373.15K
-41.50%380.88K
-41.50%380.88K
100.78%691.39K
693.32%776.46K
319.30%466.39K
1,071.64%651.04K
1,071.64%651.04K
44.76%344.35K
-Other receivables
-93.54%15K
-98.44%5.23K
-61.35%10.83K
-61.35%10.83K
--5.83K
--232.26K
7.30%336.25K
-92.13%28.03K
-92.13%28.03K
----
Inventory
-42.27%410.44K
-46.03%526.94K
122.29%705.28K
122.29%705.28K
--776.87K
--710.98K
--976.27K
--317.28K
--317.28K
----
Prepaid assets
29.97%833.86K
39.67%754.42K
-46.45%738.33K
-46.45%738.33K
138.71%541.14K
198.54%641.55K
91.73%540.15K
382.64%1.38M
382.64%1.38M
172.56%226.7K
Restricted cash
--575K
--575K
--575K
--575K
----
----
----
--0
--0
----
Total current assets
-52.03%17.63M
-40.25%25.33M
-19.59%34.28M
-19.59%34.28M
-39.76%28.02M
-23.79%36.76M
-14.28%42.39M
-20.10%42.63M
-20.10%42.63M
-15.71%46.51M
Non current assets
Net PPE
18.10%18.41M
29.31%18.51M
39.06%18.66M
39.06%18.66M
831.54%17.78M
744.04%15.59M
671.95%14.31M
599.86%13.42M
599.86%13.42M
3.01%1.91M
-Gross PPE
21.01%25.14M
29.72%24.85M
37.51%24.64M
37.51%24.64M
283.61%23.34M
260.17%20.78M
245.80%19.16M
233.56%17.92M
233.56%17.92M
18.97%6.08M
-Accumulated depreciation
-29.77%-6.73M
-30.94%-6.34M
-32.87%-5.99M
-32.87%-5.99M
-33.10%-5.56M
-32.23%-5.19M
-31.45%-4.85M
-30.36%-4.5M
-30.36%-4.5M
-28.04%-4.17M
Non current prepaid assets
9.63%192.57K
9.63%192.57K
----
----
-60.00%175.66K
-42.19%175.66K
52.66%175.66K
----
----
63.79%439.12K
Goodwill and other intangible assets
24.42%43.13K
24.91%41.21K
19.42%37.9K
19.42%37.9K
31.33%36.63K
21.69%34.67K
23.40%32.99K
23.45%31.74K
23.45%31.74K
6.55%27.89K
-Other intangible assets
24.42%43.13K
24.91%41.21K
19.42%37.9K
19.42%37.9K
31.33%36.63K
21.69%34.67K
23.40%32.99K
23.45%31.74K
23.45%31.74K
6.55%27.89K
Non current deferred assets
----
----
----
----
----
----
----
----
----
--10.25M
Total non current assets
18.02%18.65M
29.06%18.74M
39.02%18.7M
39.02%18.7M
42.51%17.99M
27.13%15.8M
627.56%14.52M
569.59%13.45M
569.59%13.45M
488.03%12.63M
Total assets
-30.98%36.28M
-22.57%44.07M
-5.53%52.97M
-5.53%52.97M
-22.19%46.01M
-13.36%52.57M
10.62%56.91M
1.30%56.08M
1.30%56.08M
3.16%59.13M
Liabilities
Current liabilities
Current debt and capital lease obligation
34.07%435.84K
28.85%404.78K
100.35%374.24K
100.35%374.24K
88.60%343.84K
88.28%325.08K
118.21%314.16K
29.95%186.8K
29.95%186.8K
27.03%182.31K
-Current capital lease obligation
34.07%435.84K
28.85%404.78K
100.35%374.24K
100.35%374.24K
88.60%343.84K
88.28%325.08K
118.21%314.16K
29.95%186.8K
29.95%186.8K
27.03%182.31K
Payables
-18.07%3.97M
9.03%3.7M
103.43%3.77M
103.43%3.77M
893.45%4.87M
689.34%4.84M
404.53%3.4M
136.35%1.85M
136.35%1.85M
27.72%490.41K
-accounts payable
-17.97%3.95M
10.51%3.66M
103.52%3.72M
103.52%3.72M
972.27%4.82M
719.76%4.81M
402.59%3.31M
141.03%1.83M
141.03%1.83M
25.71%449.63K
-Due to related parties current
-33.61%20.85K
-47.36%45.78K
96.54%46.46K
96.54%46.46K
24.38%50.72K
18.04%31.41K
491.53%86.96K
-5.53%23.64K
-5.53%23.64K
55.08%40.78K
Current deferred liabilities
----
----
----
----
2,153.06%733.44K
--1.55M
--2.95M
----
----
-94.63%32.55K
Current liabilities
-34.40%4.4M
-38.33%4.11M
103.15%4.14M
103.15%4.14M
743.54%5.95M
753.88%6.71M
715.15%6.66M
115.46%2.04M
115.46%2.04M
-37.80%705.28K
Non current liabilities
Long term debt and capital lease obligation
55.12%1.12M
52.71%1.23M
128.94%1.34M
128.94%1.34M
132.34%1.48M
5.70%721.4K
30.12%807.55K
-10.53%587.12K
-10.53%587.12K
-8.01%635.66K
-Long term capital lease obligation
55.12%1.12M
52.71%1.23M
128.94%1.34M
128.94%1.34M
132.34%1.48M
5.70%721.4K
30.12%807.55K
-10.53%587.12K
-10.53%587.12K
-8.01%635.66K
Total non current liabilities
55.12%1.12M
52.71%1.23M
128.94%1.34M
128.94%1.34M
132.34%1.48M
5.70%721.4K
30.12%807.55K
-10.53%587.12K
-10.53%587.12K
-8.01%635.66K
Total liabilities
-25.72%5.52M
-28.48%5.34M
108.91%5.49M
108.91%5.49M
453.81%7.43M
406.26%7.44M
419.51%7.47M
63.89%2.63M
63.89%2.63M
-26.52%1.34M
Shareholders'equity
Share capital
18.39%125.12M
23.49%125.04M
29.30%125.04M
29.30%125.04M
10.26%106.11M
10.24%105.69M
22.47%101.26M
17.07%96.7M
17.07%96.7M
16.88%96.24M
-common stock
18.39%125.12M
23.49%125.04M
29.30%125.04M
29.30%125.04M
10.26%106.11M
10.24%105.69M
22.47%101.26M
17.07%96.7M
17.07%96.7M
16.88%96.24M
Retained earnings
-44.94%-99.64M
-48.18%-91.38M
-57.97%-84.73M
-57.97%-84.73M
-56.55%-76M
-47.65%-68.74M
-46.33%-61.67M
-41.78%-53.64M
-41.78%-53.64M
-37.27%-48.55M
Gains losses not affecting retained earnings
-35.57%5.27M
-48.62%5.06M
-29.76%7.17M
-29.76%7.17M
-17.13%8.37M
-17.23%8.19M
3.98%9.85M
13.73%10.21M
13.73%10.21M
18.43%10.1M
Other equity interest
----
----
----
----
--102.4K
----
----
--171K
--171K
----
Total stockholders'equity
-31.84%30.76M
-21.67%38.73M
-11.16%47.49M
-11.16%47.49M
-33.24%38.58M
-23.77%45.13M
-1.14%49.44M
-0.57%53.45M
-0.57%53.45M
4.13%57.79M
Total equity
-31.84%30.76M
-21.67%38.73M
-11.16%47.49M
-11.16%47.49M
-33.24%38.58M
-23.77%45.13M
-1.14%49.44M
-0.57%53.45M
-0.57%53.45M
4.13%57.79M
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
--
--
(Q2)Jun 30, 2024 (Q1)Mar 31, 2024 (FY)Dec 31, 2023 (Q4)Dec 31, 2023 (Q3)Sep 30, 2023 (Q2)Jun 30, 2023 (Q1)Mar 31, 2023 (FY)Dec 31, 2022 (Q4)Dec 31, 2022 (Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -55.98%15.14M -42.37%23.09M -19.21%31.87M -19.21%31.87M -43.40%26M -28.22%34.4M -17.80%40.07M -25.08%39.45M -25.08%39.45M -15.91%45.94M
-Cash and cash equivalents -55.98%15.14M -42.37%23.09M -19.21%31.87M -19.21%31.87M -43.40%26M -28.22%34.4M -17.80%40.07M -25.08%39.45M -25.08%39.45M -15.91%45.94M
Receivables -33.31%672.69K -52.86%378.38K -73.65%391.71K -73.65%391.71K 102.47%697.22K 930.61%1.01M 89.04%802.64K 261.23%1.49M 261.23%1.49M -25.92%344.35K
-Accounts receivable ---- ---- --0 --0 --0 --0 --0 --807.33K --807.33K ----
-Taxes receivable -15.30%657.69K -19.99%373.15K -41.50%380.88K -41.50%380.88K 100.78%691.39K 693.32%776.46K 319.30%466.39K 1,071.64%651.04K 1,071.64%651.04K 44.76%344.35K
-Other receivables -93.54%15K -98.44%5.23K -61.35%10.83K -61.35%10.83K --5.83K --232.26K 7.30%336.25K -92.13%28.03K -92.13%28.03K ----
Inventory -42.27%410.44K -46.03%526.94K 122.29%705.28K 122.29%705.28K --776.87K --710.98K --976.27K --317.28K --317.28K ----
Prepaid assets 29.97%833.86K 39.67%754.42K -46.45%738.33K -46.45%738.33K 138.71%541.14K 198.54%641.55K 91.73%540.15K 382.64%1.38M 382.64%1.38M 172.56%226.7K
Restricted cash --575K --575K --575K --575K ---- ---- ---- --0 --0 ----
Total current assets -52.03%17.63M -40.25%25.33M -19.59%34.28M -19.59%34.28M -39.76%28.02M -23.79%36.76M -14.28%42.39M -20.10%42.63M -20.10%42.63M -15.71%46.51M
Non current assets
Net PPE 18.10%18.41M 29.31%18.51M 39.06%18.66M 39.06%18.66M 831.54%17.78M 744.04%15.59M 671.95%14.31M 599.86%13.42M 599.86%13.42M 3.01%1.91M
-Gross PPE 21.01%25.14M 29.72%24.85M 37.51%24.64M 37.51%24.64M 283.61%23.34M 260.17%20.78M 245.80%19.16M 233.56%17.92M 233.56%17.92M 18.97%6.08M
-Accumulated depreciation -29.77%-6.73M -30.94%-6.34M -32.87%-5.99M -32.87%-5.99M -33.10%-5.56M -32.23%-5.19M -31.45%-4.85M -30.36%-4.5M -30.36%-4.5M -28.04%-4.17M
Non current prepaid assets 9.63%192.57K 9.63%192.57K ---- ---- -60.00%175.66K -42.19%175.66K 52.66%175.66K ---- ---- 63.79%439.12K
Goodwill and other intangible assets 24.42%43.13K 24.91%41.21K 19.42%37.9K 19.42%37.9K 31.33%36.63K 21.69%34.67K 23.40%32.99K 23.45%31.74K 23.45%31.74K 6.55%27.89K
-Other intangible assets 24.42%43.13K 24.91%41.21K 19.42%37.9K 19.42%37.9K 31.33%36.63K 21.69%34.67K 23.40%32.99K 23.45%31.74K 23.45%31.74K 6.55%27.89K
Non current deferred assets ---- ---- ---- ---- ---- ---- ---- ---- ---- --10.25M
Total non current assets 18.02%18.65M 29.06%18.74M 39.02%18.7M 39.02%18.7M 42.51%17.99M 27.13%15.8M 627.56%14.52M 569.59%13.45M 569.59%13.45M 488.03%12.63M
Total assets -30.98%36.28M -22.57%44.07M -5.53%52.97M -5.53%52.97M -22.19%46.01M -13.36%52.57M 10.62%56.91M 1.30%56.08M 1.30%56.08M 3.16%59.13M
Liabilities
Current liabilities
Current debt and capital lease obligation 34.07%435.84K 28.85%404.78K 100.35%374.24K 100.35%374.24K 88.60%343.84K 88.28%325.08K 118.21%314.16K 29.95%186.8K 29.95%186.8K 27.03%182.31K
-Current capital lease obligation 34.07%435.84K 28.85%404.78K 100.35%374.24K 100.35%374.24K 88.60%343.84K 88.28%325.08K 118.21%314.16K 29.95%186.8K 29.95%186.8K 27.03%182.31K
Payables -18.07%3.97M 9.03%3.7M 103.43%3.77M 103.43%3.77M 893.45%4.87M 689.34%4.84M 404.53%3.4M 136.35%1.85M 136.35%1.85M 27.72%490.41K
-accounts payable -17.97%3.95M 10.51%3.66M 103.52%3.72M 103.52%3.72M 972.27%4.82M 719.76%4.81M 402.59%3.31M 141.03%1.83M 141.03%1.83M 25.71%449.63K
-Due to related parties current -33.61%20.85K -47.36%45.78K 96.54%46.46K 96.54%46.46K 24.38%50.72K 18.04%31.41K 491.53%86.96K -5.53%23.64K -5.53%23.64K 55.08%40.78K
Current deferred liabilities ---- ---- ---- ---- 2,153.06%733.44K --1.55M --2.95M ---- ---- -94.63%32.55K
Current liabilities -34.40%4.4M -38.33%4.11M 103.15%4.14M 103.15%4.14M 743.54%5.95M 753.88%6.71M 715.15%6.66M 115.46%2.04M 115.46%2.04M -37.80%705.28K
Non current liabilities
Long term debt and capital lease obligation 55.12%1.12M 52.71%1.23M 128.94%1.34M 128.94%1.34M 132.34%1.48M 5.70%721.4K 30.12%807.55K -10.53%587.12K -10.53%587.12K -8.01%635.66K
-Long term capital lease obligation 55.12%1.12M 52.71%1.23M 128.94%1.34M 128.94%1.34M 132.34%1.48M 5.70%721.4K 30.12%807.55K -10.53%587.12K -10.53%587.12K -8.01%635.66K
Total non current liabilities 55.12%1.12M 52.71%1.23M 128.94%1.34M 128.94%1.34M 132.34%1.48M 5.70%721.4K 30.12%807.55K -10.53%587.12K -10.53%587.12K -8.01%635.66K
Total liabilities -25.72%5.52M -28.48%5.34M 108.91%5.49M 108.91%5.49M 453.81%7.43M 406.26%7.44M 419.51%7.47M 63.89%2.63M 63.89%2.63M -26.52%1.34M
Shareholders'equity
Share capital 18.39%125.12M 23.49%125.04M 29.30%125.04M 29.30%125.04M 10.26%106.11M 10.24%105.69M 22.47%101.26M 17.07%96.7M 17.07%96.7M 16.88%96.24M
-common stock 18.39%125.12M 23.49%125.04M 29.30%125.04M 29.30%125.04M 10.26%106.11M 10.24%105.69M 22.47%101.26M 17.07%96.7M 17.07%96.7M 16.88%96.24M
Retained earnings -44.94%-99.64M -48.18%-91.38M -57.97%-84.73M -57.97%-84.73M -56.55%-76M -47.65%-68.74M -46.33%-61.67M -41.78%-53.64M -41.78%-53.64M -37.27%-48.55M
Gains losses not affecting retained earnings -35.57%5.27M -48.62%5.06M -29.76%7.17M -29.76%7.17M -17.13%8.37M -17.23%8.19M 3.98%9.85M 13.73%10.21M 13.73%10.21M 18.43%10.1M
Other equity interest ---- ---- ---- ---- --102.4K ---- ---- --171K --171K ----
Total stockholders'equity -31.84%30.76M -21.67%38.73M -11.16%47.49M -11.16%47.49M -33.24%38.58M -23.77%45.13M -1.14%49.44M -0.57%53.45M -0.57%53.45M 4.13%57.79M
Total equity -31.84%30.76M -21.67%38.73M -11.16%47.49M -11.16%47.49M -33.24%38.58M -23.77%45.13M -1.14%49.44M -0.57%53.45M -0.57%53.45M 4.13%57.79M
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 -- --

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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