US Stock MarketDetailed Quotes

PAPL Pineapple Financial

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  • 0.1111
  • -0.0132-10.59%
Close May 7 16:00 ET
  • 0.1128
  • +0.0018+1.58%
Post 19:53 ET
1.08MMarket Cap-0.28P/E (TTM)

Pineapple Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Feb 28, 2025
(Q1)Nov 30, 2024
(FY)Aug 31, 2024
(Q4)Aug 31, 2024
(Q3)May 31, 2024
(Q2)Feb 29, 2024
(Q1)Nov 30, 2023
(FY)Aug 31, 2023
(Q4)Aug 31, 2023
(Q3)May 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-63.15%493.61K
-73.54%619.58K
-19.44%580.36K
-19.44%580.36K
-12.56%748.77K
13.53%1.34M
--2.34M
-81.51%720.37K
-81.51%720.37K
--856.3K
-Cash and cash equivalents
-63.15%493.61K
-73.54%619.58K
-19.44%580.36K
-19.44%580.36K
-12.56%748.77K
13.53%1.34M
--2.34M
-81.51%720.37K
-81.51%720.37K
--856.3K
Receivables
-74.25%177.78K
-79.05%182.53K
-79.55%155.22K
-79.55%155.22K
-77.40%151.26K
-6.31%690.37K
--871.28K
628.42%758.99K
628.42%758.99K
--669.43K
-Accounts receivable
-74.25%177.78K
-79.05%182.53K
-79.55%155.22K
-79.55%155.22K
-77.40%151.26K
-6.31%690.37K
--871.28K
2,191.70%758.99K
2,191.70%758.99K
--669.43K
-Taxes receivable
----
----
----
----
----
----
----
----
----
--0
Prepaid assets
-48.49%199.46K
-24.83%154.98K
-27.61%157.91K
-27.61%157.91K
-29.58%152.17K
-24.55%387.26K
--206.18K
-54.90%218.15K
-54.90%218.15K
--216.09K
Total current assets
-63.97%870.85K
-72.01%957.09K
-47.36%893.49K
-47.36%893.49K
-39.59%1.05M
-0.53%2.42M
--3.42M
-62.15%1.7M
-62.15%1.7M
--1.74M
Non current assets
Net PPE
-29.99%760.37K
-22.11%891.31K
-18.39%981.28K
-18.39%981.28K
-4.18%1.03M
-3.68%1.09M
--1.14M
0.06%1.2M
0.06%1.2M
--1.07M
-Gross PPE
-6.19%1.4M
-2.84%1.44M
-2.39%1.49M
-2.39%1.49M
13.77%1.49M
11.02%1.49M
--1.48M
10.53%1.53M
10.53%1.53M
--1.31M
-Accumulated depreciation
-58.12%-635.7K
-62.06%-550.4K
-56.92%-509.28K
-56.92%-509.28K
-95.24%-460.78K
-88.84%-402.03K
---339.63K
-80.53%-324.54K
-80.53%-324.54K
---236.01K
Goodwill and other intangible assets
12.89%2.32M
23.09%2.28M
28.67%2.21M
28.67%2.21M
57.94%2.22M
78.62%2.06M
--1.85M
144.73%1.72M
144.73%1.72M
--1.41M
-Other intangible assets
12.89%2.32M
23.09%2.28M
28.67%2.21M
28.67%2.21M
57.94%2.22M
78.62%2.06M
--1.85M
144.73%1.72M
144.73%1.72M
--1.41M
Investments and advances
-6.20%9.37K
-3.06%9.67K
0.29%10.04K
0.29%10.04K
-73.02%9.94K
-72.88%9.98K
--9.98K
-73.80%10.01K
-73.80%10.01K
--36.83K
Total non current assets
-1.94%3.09M
5.80%3.18M
9.27%3.2M
9.27%3.2M
29.56%3.26M
36.16%3.15M
--3.01M
50.92%2.93M
50.92%2.93M
--2.51M
Total assets
-28.85%3.96M
-35.61%4.14M
-11.50%4.1M
-11.50%4.1M
1.26%4.31M
17.38%5.57M
--6.42M
-27.98%4.63M
-27.98%4.63M
--4.26M
Liabilities
Current liabilities
Current debt and capital lease obligation
9.69%754.67K
349.45%649.22K
-71.59%161.51K
-71.59%161.51K
73.43%159.21K
936.47%687.98K
--144.45K
27,986.46%568.47K
27,986.46%568.47K
--91.8K
-Current debt
12.43%599.13K
--490.96K
----
----
----
--532.9K
----
--430.1K
--430.1K
----
-Current capital lease obligation
0.30%155.54K
9.56%158.26K
16.72%161.51K
16.72%161.51K
73.43%159.21K
133.63%155.08K
--144.45K
6,736.56%138.37K
6,736.56%138.37K
--91.8K
Current deferred liabilities
--145.52K
-91.17%45.68K
--111.92K
--111.92K
----
----
--517.47K
--0
--0
--163.32K
Other current liabilities
----
----
----
----
----
----
----
----
----
--1
Current liabilities
79.20%2.13M
57.91%1.79M
19.18%1.4M
19.18%1.4M
18.90%689.77K
115.74%1.19M
--1.13M
50.07%1.17M
50.07%1.17M
--580.12K
Non current liabilities
Long term debt and capital lease obligation
-24.09%680.15K
-19.88%743.62K
-15.88%815.6K
-15.88%815.6K
5.32%927.63K
-1.78%896.01K
--928.15K
-4.81%969.59K
-4.81%969.59K
--880.8K
-Long term debt
----
----
----
----
--80.57K
----
----
----
----
----
-Long term capital lease obligation
-24.09%680.15K
-19.88%743.62K
-15.88%815.6K
-15.88%815.6K
-3.83%847.06K
-1.78%896.01K
--928.15K
-4.81%969.59K
-4.81%969.59K
--880.8K
Non current deferred liabilities
-18.32%411.07K
-37.26%446.02K
-29.78%491.25K
-29.78%491.25K
9.51%524.6K
208.22%503.26K
--710.87K
--699.63K
--699.63K
--479.06K
Derivative product liabilities
-88.28%4.21K
-76.46%8.91K
--41.52K
--41.52K
--120.03K
--35.9K
--37.85K
--0
--0
----
Total non current liabilities
-23.67%1.1M
-28.52%1.2M
-19.22%1.35M
-19.22%1.35M
15.62%1.57M
33.44%1.44M
--1.68M
63.88%1.67M
63.88%1.67M
--1.36M
Total liabilities
22.92%3.22M
6.30%2.99M
-3.37%2.75M
-3.37%2.75M
16.60%2.26M
61.31%2.62M
--2.81M
57.88%2.84M
57.88%2.84M
--1.94M
Shareholders'equity
Share capital
19.75%9.11M
14.74%8.73M
74.58%8.56M
74.58%8.56M
55.14%7.61M
55.14%7.61M
--7.61M
0.00%4.9M
0.00%4.9M
--4.9M
-common stock
19.75%9.11M
14.74%8.73M
74.58%8.56M
74.58%8.56M
55.14%7.61M
55.14%7.61M
--7.61M
0.00%4.9M
0.00%4.9M
--4.9M
Retained earnings
-53.24%-11.01M
-58.93%-10.41M
-72.55%-9.76M
-72.55%-9.76M
-58.84%-8.03M
-69.08%-7.19M
---6.55M
-98.69%-5.66M
-98.69%-5.66M
---5.06M
Paid-in capital
6.19%3.14M
19.07%3.52M
0.00%2.96M
0.00%2.96M
0.00%2.96M
0.00%2.96M
--2.96M
1.13%2.96M
1.13%2.96M
--2.96M
Gains losses not affecting retained earnings
-15.86%-496.07K
-73.18%-680.86K
2.21%-408.51K
2.21%-408.51K
0.88%-480.39K
12.31%-428.18K
---393.15K
-18.26%-417.73K
-18.26%-417.73K
---484.64K
Total stockholders'equity
-74.91%739.66K
-68.15%1.15M
-24.45%1.35M
-24.45%1.35M
-11.59%2.05M
-5.52%2.95M
--3.62M
-61.40%1.79M
-61.40%1.79M
--2.32M
Total equity
-74.91%739.66K
-68.15%1.15M
-24.45%1.35M
-24.45%1.35M
-11.59%2.05M
-5.52%2.95M
--3.62M
-61.40%1.79M
-61.40%1.79M
--2.32M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
(Q2)Feb 28, 2025(Q1)Nov 30, 2024(FY)Aug 31, 2024(Q4)Aug 31, 2024(Q3)May 31, 2024(Q2)Feb 29, 2024(Q1)Nov 30, 2023(FY)Aug 31, 2023(Q4)Aug 31, 2023(Q3)May 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -63.15%493.61K-73.54%619.58K-19.44%580.36K-19.44%580.36K-12.56%748.77K13.53%1.34M--2.34M-81.51%720.37K-81.51%720.37K--856.3K
-Cash and cash equivalents -63.15%493.61K-73.54%619.58K-19.44%580.36K-19.44%580.36K-12.56%748.77K13.53%1.34M--2.34M-81.51%720.37K-81.51%720.37K--856.3K
Receivables -74.25%177.78K-79.05%182.53K-79.55%155.22K-79.55%155.22K-77.40%151.26K-6.31%690.37K--871.28K628.42%758.99K628.42%758.99K--669.43K
-Accounts receivable -74.25%177.78K-79.05%182.53K-79.55%155.22K-79.55%155.22K-77.40%151.26K-6.31%690.37K--871.28K2,191.70%758.99K2,191.70%758.99K--669.43K
-Taxes receivable --------------------------------------0
Prepaid assets -48.49%199.46K-24.83%154.98K-27.61%157.91K-27.61%157.91K-29.58%152.17K-24.55%387.26K--206.18K-54.90%218.15K-54.90%218.15K--216.09K
Total current assets -63.97%870.85K-72.01%957.09K-47.36%893.49K-47.36%893.49K-39.59%1.05M-0.53%2.42M--3.42M-62.15%1.7M-62.15%1.7M--1.74M
Non current assets
Net PPE -29.99%760.37K-22.11%891.31K-18.39%981.28K-18.39%981.28K-4.18%1.03M-3.68%1.09M--1.14M0.06%1.2M0.06%1.2M--1.07M
-Gross PPE -6.19%1.4M-2.84%1.44M-2.39%1.49M-2.39%1.49M13.77%1.49M11.02%1.49M--1.48M10.53%1.53M10.53%1.53M--1.31M
-Accumulated depreciation -58.12%-635.7K-62.06%-550.4K-56.92%-509.28K-56.92%-509.28K-95.24%-460.78K-88.84%-402.03K---339.63K-80.53%-324.54K-80.53%-324.54K---236.01K
Goodwill and other intangible assets 12.89%2.32M23.09%2.28M28.67%2.21M28.67%2.21M57.94%2.22M78.62%2.06M--1.85M144.73%1.72M144.73%1.72M--1.41M
-Other intangible assets 12.89%2.32M23.09%2.28M28.67%2.21M28.67%2.21M57.94%2.22M78.62%2.06M--1.85M144.73%1.72M144.73%1.72M--1.41M
Investments and advances -6.20%9.37K-3.06%9.67K0.29%10.04K0.29%10.04K-73.02%9.94K-72.88%9.98K--9.98K-73.80%10.01K-73.80%10.01K--36.83K
Total non current assets -1.94%3.09M5.80%3.18M9.27%3.2M9.27%3.2M29.56%3.26M36.16%3.15M--3.01M50.92%2.93M50.92%2.93M--2.51M
Total assets -28.85%3.96M-35.61%4.14M-11.50%4.1M-11.50%4.1M1.26%4.31M17.38%5.57M--6.42M-27.98%4.63M-27.98%4.63M--4.26M
Liabilities
Current liabilities
Current debt and capital lease obligation 9.69%754.67K349.45%649.22K-71.59%161.51K-71.59%161.51K73.43%159.21K936.47%687.98K--144.45K27,986.46%568.47K27,986.46%568.47K--91.8K
-Current debt 12.43%599.13K--490.96K--------------532.9K------430.1K--430.1K----
-Current capital lease obligation 0.30%155.54K9.56%158.26K16.72%161.51K16.72%161.51K73.43%159.21K133.63%155.08K--144.45K6,736.56%138.37K6,736.56%138.37K--91.8K
Current deferred liabilities --145.52K-91.17%45.68K--111.92K--111.92K----------517.47K--0--0--163.32K
Other current liabilities --------------------------------------1
Current liabilities 79.20%2.13M57.91%1.79M19.18%1.4M19.18%1.4M18.90%689.77K115.74%1.19M--1.13M50.07%1.17M50.07%1.17M--580.12K
Non current liabilities
Long term debt and capital lease obligation -24.09%680.15K-19.88%743.62K-15.88%815.6K-15.88%815.6K5.32%927.63K-1.78%896.01K--928.15K-4.81%969.59K-4.81%969.59K--880.8K
-Long term debt ------------------80.57K--------------------
-Long term capital lease obligation -24.09%680.15K-19.88%743.62K-15.88%815.6K-15.88%815.6K-3.83%847.06K-1.78%896.01K--928.15K-4.81%969.59K-4.81%969.59K--880.8K
Non current deferred liabilities -18.32%411.07K-37.26%446.02K-29.78%491.25K-29.78%491.25K9.51%524.6K208.22%503.26K--710.87K--699.63K--699.63K--479.06K
Derivative product liabilities -88.28%4.21K-76.46%8.91K--41.52K--41.52K--120.03K--35.9K--37.85K--0--0----
Total non current liabilities -23.67%1.1M-28.52%1.2M-19.22%1.35M-19.22%1.35M15.62%1.57M33.44%1.44M--1.68M63.88%1.67M63.88%1.67M--1.36M
Total liabilities 22.92%3.22M6.30%2.99M-3.37%2.75M-3.37%2.75M16.60%2.26M61.31%2.62M--2.81M57.88%2.84M57.88%2.84M--1.94M
Shareholders'equity
Share capital 19.75%9.11M14.74%8.73M74.58%8.56M74.58%8.56M55.14%7.61M55.14%7.61M--7.61M0.00%4.9M0.00%4.9M--4.9M
-common stock 19.75%9.11M14.74%8.73M74.58%8.56M74.58%8.56M55.14%7.61M55.14%7.61M--7.61M0.00%4.9M0.00%4.9M--4.9M
Retained earnings -53.24%-11.01M-58.93%-10.41M-72.55%-9.76M-72.55%-9.76M-58.84%-8.03M-69.08%-7.19M---6.55M-98.69%-5.66M-98.69%-5.66M---5.06M
Paid-in capital 6.19%3.14M19.07%3.52M0.00%2.96M0.00%2.96M0.00%2.96M0.00%2.96M--2.96M1.13%2.96M1.13%2.96M--2.96M
Gains losses not affecting retained earnings -15.86%-496.07K-73.18%-680.86K2.21%-408.51K2.21%-408.51K0.88%-480.39K12.31%-428.18K---393.15K-18.26%-417.73K-18.26%-417.73K---484.64K
Total stockholders'equity -74.91%739.66K-68.15%1.15M-24.45%1.35M-24.45%1.35M-11.59%2.05M-5.52%2.95M--3.62M-61.40%1.79M-61.40%1.79M--2.32M
Total equity -74.91%739.66K-68.15%1.15M-24.45%1.35M-24.45%1.35M-11.59%2.05M-5.52%2.95M--3.62M-61.40%1.79M-61.40%1.79M--2.32M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion----

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