US Stock MarketDetailed Quotes

CLABF CORE ONE LABS INC

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  • 0.039100
  • -0.022850-36.88%
15min DelayClose Jan 23 16:00 ET
1.84MMarket Cap-0.51P/E (TTM)

CORE ONE LABS INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(FY)Mar 31, 2023
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-39.48%154.82K
-22.50%251.26K
--736.48K
-63.30%255.81K
-44.12%324.2K
-89.24%281.58K
-53.99%873.35K
-53.99%873.35K
-70.23%697.04K
-74.18%580.18K
-Cash and cash equivalents
-69.26%44.82K
-34.05%141.26K
--626.48K
-75.16%145.81K
-54.44%214.2K
-86.23%171.58K
44.47%763.35K
44.47%763.35K
-47.24%587.04K
-53.13%470.18K
-Short-term investments
0.00%110K
0.00%110K
--110K
0.00%110K
0.00%110K
-91.97%110K
-91.97%110K
-91.97%110K
-91.04%110K
-91.16%110K
Receivables
50.60%224.73K
49.54%208.69K
--183.75K
-93.83%149.22K
-94.17%139.56K
-91.39%240.46K
-92.84%214.47K
-92.84%214.47K
222.28%2.42M
197.75%2.39M
-Accounts receivable
-23.82%21.26K
-48.25%20.08K
--26.59K
-98.73%27.91K
-98.22%38.8K
-98.14%48.04K
--46.2K
--46.2K
230.93%2.2M
173.13%2.18M
-Loans receivable
----
----
----
----
----
----
----
----
--187.75K
--182.66K
-Notes receivable
0.00%939.46K
0.00%939.46K
--939.46K
--939.46K
--939.46K
--939.46K
3.62%939.46K
3.62%939.46K
----
----
-Taxes receivable
94.92%179.92K
131.38%165.07K
--133.61K
--92.31K
--71.34K
--163.41K
121.71%138.85K
121.71%138.85K
----
----
-Related party accounts receivable
-0.28%1.95M
-0.30%1.95M
--1.95M
6,652.53%1.95M
6,757.78%1.95M
6,592.85%1.95M
-33.38%1.95M
-33.38%1.95M
-18.49%28.93K
-21.39%28.49K
-Recievables adjustments allowances
0.00%-2.86M
0.00%-2.86M
---2.86M
---2.86M
---2.86M
---2.86M
-215.90%-2.86M
-215.90%-2.86M
----
----
Inventory
-34.05%1.38K
-34.05%1.38K
--3.34K
48.72%2.1K
52.84%2.1K
107.11%2.88K
--2.9K
--2.9K
-99.95%1.41K
-99.95%1.37K
Prepaid assets
-38.48%64.83K
-25.51%67.99K
--209.55K
-28.25%105.38K
-76.81%91.28K
-30.12%91.28K
-23.25%71.68K
-23.25%71.68K
-77.10%146.88K
-42.62%393.67K
Other current assets
----
----
---180
----
---411
----
----
----
----
----
Total current assets
-13.02%445.76K
-4.92%529.33K
--1.13M
-84.29%512.51K
-83.47%556.73K
-88.88%616.21K
-76.69%1.16M
-76.69%1.16M
-48.89%3.26M
-48.20%3.37M
Non current assets
Net PPE
431.91%659.25K
393.19%666.81K
--685.46K
-71.97%123.94K
-69.49%135.2K
-66.93%147.26K
-65.45%154.56K
-65.45%154.56K
-96.54%442.21K
-96.72%443.1K
-Gross PPE
8.58%799.11K
10.21%799.11K
--799.11K
-82.92%735.93K
-83.17%725.06K
-82.91%735.93K
-5.56%4.32M
-5.56%4.32M
-79.35%4.31M
-79.66%4.31M
-Accumulated depreciation
77.15%-139.87K
77.57%-132.31K
---113.65K
84.17%-612K
84.73%-589.86K
84.75%-588.67K
-0.94%-4.16M
-0.94%-4.16M
52.30%-3.87M
49.55%-3.86M
Goodwill and other intangible assets
0.00%6.29M
0.00%6.29M
--6.29M
48.32%6.29M
50.99%6.29M
53.95%6.29M
53.91%6.29M
53.91%6.29M
--4.24M
--4.17M
-Goodwill
0.00%591.59K
0.00%591.59K
--591.59K
--591.59K
--591.59K
--591.59K
--591.59K
--591.59K
----
----
-Other intangible assets
0.00%5.7M
0.00%5.7M
--5.7M
34.38%5.7M
36.80%5.7M
39.48%5.7M
39.44%5.7M
39.44%5.7M
--4.24M
--4.17M
Related parties assets
-0.28%1.95M
-0.30%1.95M
--1.95M
6,652.53%1.95M
6,757.78%1.95M
6,592.85%1.95M
-33.38%1.95M
-33.38%1.95M
-18.49%28.93K
-21.39%28.49K
Total non current assets
8.34%6.95M
8.27%6.96M
--6.98M
36.97%6.42M
39.42%6.43M
42.07%6.44M
42.14%6.45M
42.14%6.45M
-73.52%4.69M
-65.88%4.61M
Total assets
6.76%7.4M
7.22%7.49M
--8.11M
-12.80%6.93M
-12.45%6.99M
-29.95%7.06M
-20.09%7.61M
-20.09%7.61M
-66.99%7.95M
-60.14%7.98M
Liabilities
Current liabilities
Payables
-12.85%935.28K
-47.66%737.81K
--780.39K
-61.87%1.07M
-51.62%1.41M
5.91%2.59M
4.68%2.62M
4.68%2.62M
-65.35%2.81M
-64.94%2.91M
-accounts payable
-9.44%826.96K
-38.85%629.49K
--672.07K
-60.00%913.13K
-56.81%1.03M
10.72%2.27M
10.57%2.3M
10.57%2.3M
-59.51%2.28M
-57.81%2.38M
-Due to related parties current
----
----
--0
-87.79%51.69K
-35.55%272.08K
-26.52%209.08K
-8.40%209.08K
-8.40%209.08K
-65.58%423.29K
-66.50%422.13K
-Other payable
0.00%108.32K
0.00%108.32K
--108.32K
-0.27%108.32K
-0.27%108.32K
-0.08%108.32K
-43.47%108.53K
-43.47%108.53K
-91.35%108.62K
-92.26%108.62K
Current accrued expenses
174.62%573.8K
114.05%433.45K
--337.86K
-17.60%208.94K
-20.14%202.5K
-29.71%200K
-67.18%219.23K
-67.18%219.23K
-46.37%253.58K
-56.00%253.58K
Current debt and capital lease obligation
-10.71%250K
-26.32%280K
--280K
--280K
--380K
--30K
--30K
--30K
----
----
-Current debt
-10.71%250K
-26.32%280K
--280K
--280K
--380K
--30K
--30K
--30K
----
----
Other current liabilities
----
----
----
----
-64.01%193.29K
-47.64%281.16K
-18.62%437K
-18.62%437K
1,536.50%537K
1,501.79%537K
Current liabilities
12.61%1.76M
-33.60%1.45M
--1.4M
-56.67%1.56M
-41.01%2.19M
-5.07%3.1M
-10.85%3.3M
-10.85%3.3M
-62.19%3.61M
-62.29%3.7M
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
12.61%1.76M
-33.60%1.45M
--1.4M
-56.67%1.56M
-41.01%2.19M
-16.49%3.1M
-20.08%3.3M
-20.08%3.3M
-72.41%3.61M
-72.39%3.7M
Shareholders'equity
Share capital
8.01%151.58M
9.74%151.53M
--150.83M
12.58%140.34M
19.81%138.08M
23.30%136.78M
31.24%127.54M
31.24%127.54M
52.25%124.65M
117.83%115.24M
-common stock
8.01%151.58M
9.74%151.53M
--150.83M
12.58%140.34M
19.81%138.08M
23.30%136.78M
31.24%127.54M
31.24%127.54M
52.25%124.65M
117.83%115.24M
Retained earnings
-5.60%-166.7M
-6.13%-166.27M
---164.64M
-11.01%-157.86M
-14.64%-156.67M
-19.78%-156.63M
-35.83%-144.67M
-35.83%-144.67M
-81.99%-142.19M
-152.97%-136.66M
Paid-in capital
-9.37%20.95M
-11.22%20.97M
--20.72M
5.78%23.11M
-6.75%23.62M
-4.89%24.03M
57.47%21.72M
57.47%21.72M
154.40%21.85M
226.57%25.33M
Gains losses not affecting retained earnings
15.36%-188.67K
15.36%-188.67K
---188.67K
26.98%-222.9K
-889.26%-222.9K
-202.57%-222.9K
-274.95%-294.1K
-274.95%-294.1K
-157.08%-305.27K
-96.14%28.24K
Other equity interest
----
----
----
----
----
----
----
----
--343.61K
-61.97%334.86K
Total stockholders'equity
5.06%5.64M
25.80%6.04M
--6.72M
23.62%5.37M
12.29%4.8M
-37.81%3.96M
-20.10%4.31M
-20.10%4.31M
-66.24%4.34M
-48.17%4.28M
Noncontrolling interests
----
----
----
----
----
--0
----
----
----
----
Total equity
5.06%5.64M
25.80%6.04M
--6.72M
23.62%5.37M
12.29%4.8M
-37.81%3.96M
-20.10%4.31M
-20.10%4.31M
-60.56%4.34M
-35.23%4.28M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
(Q3)Dec 31, 2023 (Q2)Sep 30, 2023 (FY)Mar 31, 2023 (Q3)Sep 30, 2022 (Q2)Jun 30, 2022 (Q1)Mar 31, 2022 (FY)Dec 31, 2021 (Q4)Dec 31, 2021 (Q3)Sep 30, 2021 (Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -39.48%154.82K -22.50%251.26K --736.48K -63.30%255.81K -44.12%324.2K -89.24%281.58K -53.99%873.35K -53.99%873.35K -70.23%697.04K -74.18%580.18K
-Cash and cash equivalents -69.26%44.82K -34.05%141.26K --626.48K -75.16%145.81K -54.44%214.2K -86.23%171.58K 44.47%763.35K 44.47%763.35K -47.24%587.04K -53.13%470.18K
-Short-term investments 0.00%110K 0.00%110K --110K 0.00%110K 0.00%110K -91.97%110K -91.97%110K -91.97%110K -91.04%110K -91.16%110K
Receivables 50.60%224.73K 49.54%208.69K --183.75K -93.83%149.22K -94.17%139.56K -91.39%240.46K -92.84%214.47K -92.84%214.47K 222.28%2.42M 197.75%2.39M
-Accounts receivable -23.82%21.26K -48.25%20.08K --26.59K -98.73%27.91K -98.22%38.8K -98.14%48.04K --46.2K --46.2K 230.93%2.2M 173.13%2.18M
-Loans receivable ---- ---- ---- ---- ---- ---- ---- ---- --187.75K --182.66K
-Notes receivable 0.00%939.46K 0.00%939.46K --939.46K --939.46K --939.46K --939.46K 3.62%939.46K 3.62%939.46K ---- ----
-Taxes receivable 94.92%179.92K 131.38%165.07K --133.61K --92.31K --71.34K --163.41K 121.71%138.85K 121.71%138.85K ---- ----
-Related party accounts receivable -0.28%1.95M -0.30%1.95M --1.95M 6,652.53%1.95M 6,757.78%1.95M 6,592.85%1.95M -33.38%1.95M -33.38%1.95M -18.49%28.93K -21.39%28.49K
-Recievables adjustments allowances 0.00%-2.86M 0.00%-2.86M ---2.86M ---2.86M ---2.86M ---2.86M -215.90%-2.86M -215.90%-2.86M ---- ----
Inventory -34.05%1.38K -34.05%1.38K --3.34K 48.72%2.1K 52.84%2.1K 107.11%2.88K --2.9K --2.9K -99.95%1.41K -99.95%1.37K
Prepaid assets -38.48%64.83K -25.51%67.99K --209.55K -28.25%105.38K -76.81%91.28K -30.12%91.28K -23.25%71.68K -23.25%71.68K -77.10%146.88K -42.62%393.67K
Other current assets ---- ---- ---180 ---- ---411 ---- ---- ---- ---- ----
Total current assets -13.02%445.76K -4.92%529.33K --1.13M -84.29%512.51K -83.47%556.73K -88.88%616.21K -76.69%1.16M -76.69%1.16M -48.89%3.26M -48.20%3.37M
Non current assets
Net PPE 431.91%659.25K 393.19%666.81K --685.46K -71.97%123.94K -69.49%135.2K -66.93%147.26K -65.45%154.56K -65.45%154.56K -96.54%442.21K -96.72%443.1K
-Gross PPE 8.58%799.11K 10.21%799.11K --799.11K -82.92%735.93K -83.17%725.06K -82.91%735.93K -5.56%4.32M -5.56%4.32M -79.35%4.31M -79.66%4.31M
-Accumulated depreciation 77.15%-139.87K 77.57%-132.31K ---113.65K 84.17%-612K 84.73%-589.86K 84.75%-588.67K -0.94%-4.16M -0.94%-4.16M 52.30%-3.87M 49.55%-3.86M
Goodwill and other intangible assets 0.00%6.29M 0.00%6.29M --6.29M 48.32%6.29M 50.99%6.29M 53.95%6.29M 53.91%6.29M 53.91%6.29M --4.24M --4.17M
-Goodwill 0.00%591.59K 0.00%591.59K --591.59K --591.59K --591.59K --591.59K --591.59K --591.59K ---- ----
-Other intangible assets 0.00%5.7M 0.00%5.7M --5.7M 34.38%5.7M 36.80%5.7M 39.48%5.7M 39.44%5.7M 39.44%5.7M --4.24M --4.17M
Related parties assets -0.28%1.95M -0.30%1.95M --1.95M 6,652.53%1.95M 6,757.78%1.95M 6,592.85%1.95M -33.38%1.95M -33.38%1.95M -18.49%28.93K -21.39%28.49K
Total non current assets 8.34%6.95M 8.27%6.96M --6.98M 36.97%6.42M 39.42%6.43M 42.07%6.44M 42.14%6.45M 42.14%6.45M -73.52%4.69M -65.88%4.61M
Total assets 6.76%7.4M 7.22%7.49M --8.11M -12.80%6.93M -12.45%6.99M -29.95%7.06M -20.09%7.61M -20.09%7.61M -66.99%7.95M -60.14%7.98M
Liabilities
Current liabilities
Payables -12.85%935.28K -47.66%737.81K --780.39K -61.87%1.07M -51.62%1.41M 5.91%2.59M 4.68%2.62M 4.68%2.62M -65.35%2.81M -64.94%2.91M
-accounts payable -9.44%826.96K -38.85%629.49K --672.07K -60.00%913.13K -56.81%1.03M 10.72%2.27M 10.57%2.3M 10.57%2.3M -59.51%2.28M -57.81%2.38M
-Due to related parties current ---- ---- --0 -87.79%51.69K -35.55%272.08K -26.52%209.08K -8.40%209.08K -8.40%209.08K -65.58%423.29K -66.50%422.13K
-Other payable 0.00%108.32K 0.00%108.32K --108.32K -0.27%108.32K -0.27%108.32K -0.08%108.32K -43.47%108.53K -43.47%108.53K -91.35%108.62K -92.26%108.62K
Current accrued expenses 174.62%573.8K 114.05%433.45K --337.86K -17.60%208.94K -20.14%202.5K -29.71%200K -67.18%219.23K -67.18%219.23K -46.37%253.58K -56.00%253.58K
Current debt and capital lease obligation -10.71%250K -26.32%280K --280K --280K --380K --30K --30K --30K ---- ----
-Current debt -10.71%250K -26.32%280K --280K --280K --380K --30K --30K --30K ---- ----
Other current liabilities ---- ---- ---- ---- -64.01%193.29K -47.64%281.16K -18.62%437K -18.62%437K 1,536.50%537K 1,501.79%537K
Current liabilities 12.61%1.76M -33.60%1.45M --1.4M -56.67%1.56M -41.01%2.19M -5.07%3.1M -10.85%3.3M -10.85%3.3M -62.19%3.61M -62.29%3.7M
Non current liabilities
Total non current liabilities --0 --0 --0 --0 --0 --0 --0 --0 --0 --0
Total liabilities 12.61%1.76M -33.60%1.45M --1.4M -56.67%1.56M -41.01%2.19M -16.49%3.1M -20.08%3.3M -20.08%3.3M -72.41%3.61M -72.39%3.7M
Shareholders'equity
Share capital 8.01%151.58M 9.74%151.53M --150.83M 12.58%140.34M 19.81%138.08M 23.30%136.78M 31.24%127.54M 31.24%127.54M 52.25%124.65M 117.83%115.24M
-common stock 8.01%151.58M 9.74%151.53M --150.83M 12.58%140.34M 19.81%138.08M 23.30%136.78M 31.24%127.54M 31.24%127.54M 52.25%124.65M 117.83%115.24M
Retained earnings -5.60%-166.7M -6.13%-166.27M ---164.64M -11.01%-157.86M -14.64%-156.67M -19.78%-156.63M -35.83%-144.67M -35.83%-144.67M -81.99%-142.19M -152.97%-136.66M
Paid-in capital -9.37%20.95M -11.22%20.97M --20.72M 5.78%23.11M -6.75%23.62M -4.89%24.03M 57.47%21.72M 57.47%21.72M 154.40%21.85M 226.57%25.33M
Gains losses not affecting retained earnings 15.36%-188.67K 15.36%-188.67K ---188.67K 26.98%-222.9K -889.26%-222.9K -202.57%-222.9K -274.95%-294.1K -274.95%-294.1K -157.08%-305.27K -96.14%28.24K
Other equity interest ---- ---- ---- ---- ---- ---- ---- ---- --343.61K -61.97%334.86K
Total stockholders'equity 5.06%5.64M 25.80%6.04M --6.72M 23.62%5.37M 12.29%4.8M -37.81%3.96M -20.10%4.31M -20.10%4.31M -66.24%4.34M -48.17%4.28M
Noncontrolling interests ---- ---- ---- ---- ---- --0 ---- ---- ---- ----
Total equity 5.06%5.64M 25.80%6.04M --6.72M 23.62%5.37M 12.29%4.8M -37.81%3.96M -20.10%4.31M -20.10%4.31M -60.56%4.34M -35.23%4.28M
Currency Unit CAD CAD CAD CAD CAD CAD CAD CAD CAD CAD
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