CA Stock MarketDetailed Quotes

FLOW Flow Beverage Corp

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  • 0.070
  • 0.0000.00%
15min DelayMarket Closed May 2 16:00 ET
5.80MMarket Cap-0.19P/E (TTM)

Flow Beverage Corp 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
-91.76%598.05K
32.53%8.61M
32.53%8.61M
-75.38%1.86M
-87.26%1.7M
-71.84%7.26M
184.67%6.49M
184.67%6.49M
-67.31%7.57M
-47.93%13.31M
-Cash and cash equivalents
-91.76%598.05K
32.53%8.61M
32.53%8.61M
-75.38%1.86M
-87.26%1.7M
-71.84%7.26M
184.67%6.49M
184.67%6.49M
-67.31%7.57M
-47.93%13.31M
Receivables
-25.01%9.38M
-37.42%7.31M
-37.42%7.31M
-38.74%12.14M
-39.54%9.94M
27.14%12.5M
-1.91%11.67M
-1.91%11.67M
95.07%19.81M
14.65%16.44M
-Accounts receivable
-32.70%5.58M
-53.37%3.94M
-53.37%3.94M
-34.90%9.33M
-2.09%7.95M
82.61%8.3M
43.28%8.44M
43.28%8.44M
152.00%14.33M
127.55%8.12M
-Taxes receivable
-77.48%816.1K
-59.49%1.03M
-59.49%1.03M
-91.28%151.02K
-58.29%348.58K
689.52%3.62M
-37.54%2.55M
-37.54%2.55M
-49.26%1.73M
-77.17%835.73K
-Other receivables
413.13%2.97M
241.61%2.34M
241.61%2.34M
-29.14%2.66M
-78.08%1.64M
-88.00%579.68K
-64.57%683.99K
-64.57%683.99K
254.97%3.75M
5.26%7.49M
Inventory
-35.26%6.81M
-47.35%6.56M
-47.35%6.56M
-24.99%8.08M
-1.63%9.32M
1.50%10.53M
23.90%12.46M
23.90%12.46M
28.58%10.77M
14.12%9.48M
Prepaid assets
137.03%5.71M
227.04%11.08M
227.04%11.08M
457.16%8.74M
197.41%5.94M
7.94%2.41M
38.15%3.39M
38.15%3.39M
-54.97%1.57M
-49.68%2M
Restricted cash
----
----
----
----
----
----
----
----
--1M
----
Holding assets for sale
----
--0
--0
--0
--0
--0
-56.20%14.58M
-56.20%14.58M
--14.2M
--13.96M
Total current assets
-31.19%22.5M
-30.97%33.55M
-30.97%33.55M
-43.89%30.82M
-51.25%26.9M
-32.19%32.7M
-18.98%48.61M
-18.98%48.61M
21.54%54.93M
5.76%55.18M
Non current assets
Net PPE
105.15%49.62M
632.45%42.73M
632.45%42.73M
439.82%29.05M
408.22%30.12M
17.43%24.19M
-73.04%5.83M
-73.04%5.83M
-90.38%5.38M
-89.67%5.93M
-Gross PPE
74.08%63.87M
725.04%55.7M
725.04%55.7M
517.32%41.22M
459.11%42.13M
16.77%36.69M
-78.75%6.75M
-78.75%6.75M
-90.71%6.68M
-89.48%7.53M
-Accumulated depreciation
-13.99%-14.25M
-1,313.69%-12.97M
-1,313.69%-12.97M
-839.10%-12.17M
-646.50%-12.01M
-15.51%-12.5M
90.94%-917.49K
90.94%-917.49K
91.87%-1.3M
88.71%-1.61M
Non current accounts receivable
--602.33K
--903.5K
--903.5K
----
----
----
----
----
----
----
Non current prepaid assets
----
----
----
----
----
----
----
----
43.47%158.11K
8.92%158.27K
Goodwill and other intangible assets
-1.65%452.28K
-9.76%447.95K
-9.76%447.95K
-7.75%457.63K
-14.43%458.54K
-20.15%459.88K
-15.68%496.42K
-15.68%496.42K
-65.79%496.05K
-64.31%535.83K
-Other intangible assets
----
-9.76%447.95K
-9.76%447.95K
----
----
----
-15.68%496.42K
-15.68%496.42K
----
----
Total non current assets
105.60%50.67M
596.36%44.08M
596.36%44.08M
388.89%29.51M
361.86%30.57M
15.78%24.65M
-71.67%6.33M
-71.67%6.33M
-89.50%6.04M
-88.78%6.62M
Total assets
27.60%73.17M
41.31%77.63M
41.31%77.63M
-1.04%60.33M
-7.00%57.47M
-17.49%57.34M
-33.28%54.94M
-33.28%54.94M
-40.62%60.96M
-44.41%61.8M
Liabilities
Current liabilities
Current debt and capital lease obligation
438.17%34.84M
1,319.68%27.5M
1,319.68%27.5M
33.31%16.17M
14.89%12.98M
62.07%6.47M
-51.97%1.94M
-51.97%1.94M
-2.32%12.13M
-8.85%11.29M
-Current debt
890.16%31.17M
1,235.04%24.04M
1,235.04%24.04M
14.24%13.73M
-3.03%10.79M
43.33%3.15M
-10.42%1.8M
-10.42%1.8M
34.03%12.02M
22.94%11.12M
-Current capital lease obligation
10.37%3.67M
2,433.80%3.47M
2,433.80%3.47M
2,181.10%2.43M
1,184.43%2.19M
84.95%3.33M
-93.24%136.78K
-93.24%136.78K
-96.90%106.75K
-94.90%170.5K
Payables
0.68%26.45M
15.35%27.39M
15.35%27.39M
78.86%25.45M
95.16%21.41M
162.92%26.27M
83.40%23.75M
83.40%23.75M
31.33%14.23M
-1.12%10.97M
-accounts payable
0.68%26.45M
15.35%27.39M
15.35%27.39M
78.86%25.45M
95.16%21.41M
162.92%26.27M
83.40%23.75M
83.40%23.75M
31.33%14.23M
-1.12%10.97M
Current deferred liabilities
815.73%3.99M
1,046.29%4.21M
1,046.29%4.21M
3,543.67%5.89M
--3.47M
--435.84K
--367.19K
--367.19K
-88.59%161.63K
----
Other current liabilities
----
----
----
----
----
----
-54.08%7.02M
-54.08%7.02M
--10.98M
--10.12M
Current liabilities
96.74%65.29M
78.73%59.1M
78.73%59.1M
26.69%47.51M
16.91%37.86M
137.24%33.18M
2.50%33.07M
2.50%33.07M
52.02%37.5M
37.82%32.39M
Non current liabilities
Long term debt and capital lease obligation
30.16%50.02M
94.06%53.33M
94.06%53.33M
129.11%39.7M
206.57%40.01M
36.31%38.43M
81.53%27.48M
81.53%27.48M
-44.72%17.33M
-59.60%13.05M
-Long term debt
-50.55%15.33M
-7.34%25.46M
-7.34%25.46M
41.46%24.4M
99.64%25.9M
43.80%31M
234.70%27.48M
234.70%27.48M
38.41%17.25M
3.16%12.97M
-Long term capital lease obligation
366.84%34.69M
--27.87M
--27.87M
19,429.07%15.3M
17,911.70%14.11M
11.98%7.43M
--0
--0
-99.59%78.34K
-99.60%78.34K
Derivative product liabilities
----
----
----
----
----
----
----
----
--0
--0
Other non current liabilities
-88.26%14.25K
-73.37%25.59K
-73.37%25.59K
--32.05K
--38.32K
--121.34K
--96.09K
--96.09K
----
----
Total non current liabilities
29.79%50.03M
93.48%53.36M
93.48%53.36M
129.30%39.73M
206.86%40.05M
30.72%38.55M
62.41%27.58M
62.41%27.58M
-47.66%17.33M
-61.08%13.05M
Total liabilities
60.76%115.32M
85.44%112.46M
85.44%112.46M
59.12%87.24M
71.47%77.91M
64.99%71.73M
23.16%60.65M
23.16%60.65M
-5.10%54.83M
-20.34%45.44M
Shareholders'equity
Share capital
3.46%107.53M
6.49%106.91M
6.49%106.91M
7.88%105.95M
6.49%104.58M
7.29%103.93M
5.47%100.4M
5.47%100.4M
4.56%98.21M
6.72%98.21M
-common stock
3.46%107.53M
6.49%106.91M
6.49%106.91M
7.88%105.95M
6.49%104.58M
7.29%103.93M
5.47%100.4M
5.47%100.4M
4.56%98.21M
6.72%98.21M
Additional paid-in capital
-0.20%180.31M
0.43%179.9M
0.43%179.9M
0.01%180M
6.72%180.67M
5.97%180.67M
4.26%179.13M
4.26%179.13M
4.90%179.99M
-1.05%169.3M
Retained earnings
-10.34%-333.79M
-13.32%-325.39M
-13.32%-325.39M
-15.78%-316.71M
-18.15%-309.53M
-20.11%-302.5M
-17.60%-287.14M
-17.60%-287.14M
-19.17%-273.54M
-20.14%-261.99M
Gains losses not affecting retained earnings
28.44%1.34M
1,308.10%1.28M
1,308.10%1.28M
187.20%1.38M
228.92%1.38M
174.47%1.05M
108.00%91.13K
108.00%91.13K
53.03%-1.58M
68.06%-1.07M
Other equity interest
0.03%2.47M
36.67%2.47M
36.67%2.47M
-19.28%2.47M
-79.33%2.47M
-79.33%2.46M
-84.17%1.8M
-84.17%1.8M
-75.16%3.05M
-4.13%11.93M
Total stockholders'equity
-192.90%-42.14M
-509.88%-34.83M
-509.88%-34.83M
-538.98%-26.92M
-224.83%-20.43M
-155.29%-14.39M
-117.26%-5.71M
-117.26%-5.71M
-86.34%6.13M
-69.77%16.37M
Total equity
-192.90%-42.14M
-509.88%-34.83M
-509.88%-34.83M
-538.98%-26.92M
-224.83%-20.43M
-155.29%-14.39M
-117.26%-5.71M
-117.26%-5.71M
-86.34%6.13M
-69.77%16.37M
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 with Explanatory Notes
--
--
--
--
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 -91.76%598.05K32.53%8.61M32.53%8.61M-75.38%1.86M-87.26%1.7M-71.84%7.26M184.67%6.49M184.67%6.49M-67.31%7.57M-47.93%13.31M
-Cash and cash equivalents -91.76%598.05K32.53%8.61M32.53%8.61M-75.38%1.86M-87.26%1.7M-71.84%7.26M184.67%6.49M184.67%6.49M-67.31%7.57M-47.93%13.31M
Receivables -25.01%9.38M-37.42%7.31M-37.42%7.31M-38.74%12.14M-39.54%9.94M27.14%12.5M-1.91%11.67M-1.91%11.67M95.07%19.81M14.65%16.44M
-Accounts receivable -32.70%5.58M-53.37%3.94M-53.37%3.94M-34.90%9.33M-2.09%7.95M82.61%8.3M43.28%8.44M43.28%8.44M152.00%14.33M127.55%8.12M
-Taxes receivable -77.48%816.1K-59.49%1.03M-59.49%1.03M-91.28%151.02K-58.29%348.58K689.52%3.62M-37.54%2.55M-37.54%2.55M-49.26%1.73M-77.17%835.73K
-Other receivables 413.13%2.97M241.61%2.34M241.61%2.34M-29.14%2.66M-78.08%1.64M-88.00%579.68K-64.57%683.99K-64.57%683.99K254.97%3.75M5.26%7.49M
Inventory -35.26%6.81M-47.35%6.56M-47.35%6.56M-24.99%8.08M-1.63%9.32M1.50%10.53M23.90%12.46M23.90%12.46M28.58%10.77M14.12%9.48M
Prepaid assets 137.03%5.71M227.04%11.08M227.04%11.08M457.16%8.74M197.41%5.94M7.94%2.41M38.15%3.39M38.15%3.39M-54.97%1.57M-49.68%2M
Restricted cash ----------------------------------1M----
Holding assets for sale ------0--0--0--0--0-56.20%14.58M-56.20%14.58M--14.2M--13.96M
Total current assets -31.19%22.5M-30.97%33.55M-30.97%33.55M-43.89%30.82M-51.25%26.9M-32.19%32.7M-18.98%48.61M-18.98%48.61M21.54%54.93M5.76%55.18M
Non current assets
Net PPE 105.15%49.62M632.45%42.73M632.45%42.73M439.82%29.05M408.22%30.12M17.43%24.19M-73.04%5.83M-73.04%5.83M-90.38%5.38M-89.67%5.93M
-Gross PPE 74.08%63.87M725.04%55.7M725.04%55.7M517.32%41.22M459.11%42.13M16.77%36.69M-78.75%6.75M-78.75%6.75M-90.71%6.68M-89.48%7.53M
-Accumulated depreciation -13.99%-14.25M-1,313.69%-12.97M-1,313.69%-12.97M-839.10%-12.17M-646.50%-12.01M-15.51%-12.5M90.94%-917.49K90.94%-917.49K91.87%-1.3M88.71%-1.61M
Non current accounts receivable --602.33K--903.5K--903.5K----------------------------
Non current prepaid assets --------------------------------43.47%158.11K8.92%158.27K
Goodwill and other intangible assets -1.65%452.28K-9.76%447.95K-9.76%447.95K-7.75%457.63K-14.43%458.54K-20.15%459.88K-15.68%496.42K-15.68%496.42K-65.79%496.05K-64.31%535.83K
-Other intangible assets -----9.76%447.95K-9.76%447.95K-------------15.68%496.42K-15.68%496.42K--------
Total non current assets 105.60%50.67M596.36%44.08M596.36%44.08M388.89%29.51M361.86%30.57M15.78%24.65M-71.67%6.33M-71.67%6.33M-89.50%6.04M-88.78%6.62M
Total assets 27.60%73.17M41.31%77.63M41.31%77.63M-1.04%60.33M-7.00%57.47M-17.49%57.34M-33.28%54.94M-33.28%54.94M-40.62%60.96M-44.41%61.8M
Liabilities
Current liabilities
Current debt and capital lease obligation 438.17%34.84M1,319.68%27.5M1,319.68%27.5M33.31%16.17M14.89%12.98M62.07%6.47M-51.97%1.94M-51.97%1.94M-2.32%12.13M-8.85%11.29M
-Current debt 890.16%31.17M1,235.04%24.04M1,235.04%24.04M14.24%13.73M-3.03%10.79M43.33%3.15M-10.42%1.8M-10.42%1.8M34.03%12.02M22.94%11.12M
-Current capital lease obligation 10.37%3.67M2,433.80%3.47M2,433.80%3.47M2,181.10%2.43M1,184.43%2.19M84.95%3.33M-93.24%136.78K-93.24%136.78K-96.90%106.75K-94.90%170.5K
Payables 0.68%26.45M15.35%27.39M15.35%27.39M78.86%25.45M95.16%21.41M162.92%26.27M83.40%23.75M83.40%23.75M31.33%14.23M-1.12%10.97M
-accounts payable 0.68%26.45M15.35%27.39M15.35%27.39M78.86%25.45M95.16%21.41M162.92%26.27M83.40%23.75M83.40%23.75M31.33%14.23M-1.12%10.97M
Current deferred liabilities 815.73%3.99M1,046.29%4.21M1,046.29%4.21M3,543.67%5.89M--3.47M--435.84K--367.19K--367.19K-88.59%161.63K----
Other current liabilities -------------------------54.08%7.02M-54.08%7.02M--10.98M--10.12M
Current liabilities 96.74%65.29M78.73%59.1M78.73%59.1M26.69%47.51M16.91%37.86M137.24%33.18M2.50%33.07M2.50%33.07M52.02%37.5M37.82%32.39M
Non current liabilities
Long term debt and capital lease obligation 30.16%50.02M94.06%53.33M94.06%53.33M129.11%39.7M206.57%40.01M36.31%38.43M81.53%27.48M81.53%27.48M-44.72%17.33M-59.60%13.05M
-Long term debt -50.55%15.33M-7.34%25.46M-7.34%25.46M41.46%24.4M99.64%25.9M43.80%31M234.70%27.48M234.70%27.48M38.41%17.25M3.16%12.97M
-Long term capital lease obligation 366.84%34.69M--27.87M--27.87M19,429.07%15.3M17,911.70%14.11M11.98%7.43M--0--0-99.59%78.34K-99.60%78.34K
Derivative product liabilities ----------------------------------0--0
Other non current liabilities -88.26%14.25K-73.37%25.59K-73.37%25.59K--32.05K--38.32K--121.34K--96.09K--96.09K--------
Total non current liabilities 29.79%50.03M93.48%53.36M93.48%53.36M129.30%39.73M206.86%40.05M30.72%38.55M62.41%27.58M62.41%27.58M-47.66%17.33M-61.08%13.05M
Total liabilities 60.76%115.32M85.44%112.46M85.44%112.46M59.12%87.24M71.47%77.91M64.99%71.73M23.16%60.65M23.16%60.65M-5.10%54.83M-20.34%45.44M
Shareholders'equity
Share capital 3.46%107.53M6.49%106.91M6.49%106.91M7.88%105.95M6.49%104.58M7.29%103.93M5.47%100.4M5.47%100.4M4.56%98.21M6.72%98.21M
-common stock 3.46%107.53M6.49%106.91M6.49%106.91M7.88%105.95M6.49%104.58M7.29%103.93M5.47%100.4M5.47%100.4M4.56%98.21M6.72%98.21M
Additional paid-in capital -0.20%180.31M0.43%179.9M0.43%179.9M0.01%180M6.72%180.67M5.97%180.67M4.26%179.13M4.26%179.13M4.90%179.99M-1.05%169.3M
Retained earnings -10.34%-333.79M-13.32%-325.39M-13.32%-325.39M-15.78%-316.71M-18.15%-309.53M-20.11%-302.5M-17.60%-287.14M-17.60%-287.14M-19.17%-273.54M-20.14%-261.99M
Gains losses not affecting retained earnings 28.44%1.34M1,308.10%1.28M1,308.10%1.28M187.20%1.38M228.92%1.38M174.47%1.05M108.00%91.13K108.00%91.13K53.03%-1.58M68.06%-1.07M
Other equity interest 0.03%2.47M36.67%2.47M36.67%2.47M-19.28%2.47M-79.33%2.47M-79.33%2.46M-84.17%1.8M-84.17%1.8M-75.16%3.05M-4.13%11.93M
Total stockholders'equity -192.90%-42.14M-509.88%-34.83M-509.88%-34.83M-538.98%-26.92M-224.83%-20.43M-155.29%-14.39M-117.26%-5.71M-117.26%-5.71M-86.34%6.13M-69.77%16.37M
Total equity -192.90%-42.14M-509.88%-34.83M-509.88%-34.83M-538.98%-26.92M-224.83%-20.43M-155.29%-14.39M-117.26%-5.71M-117.26%-5.71M-86.34%6.13M-69.77%16.37M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes--------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.