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TELI Telescope Innovations Corp

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  • 0.270
  • +0.005+1.89%
15min DelayMarket Closed May 2 15:42 ET
14.50MMarket Cap-9.00P/E (TTM)

Telescope Innovations Corp 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
98.14%963.31K
135.81%1.04M
-5.55%337.01K
-5.55%337.01K
35.64%374.09K
-71.71%486.17K
-73.50%442.65K
-50.41%356.81K
-50.41%356.81K
-45.99%275.8K
-Cash and cash equivalents
98.14%963.31K
135.81%1.04M
-5.55%337.01K
-5.55%337.01K
35.64%374.09K
-71.71%486.17K
-73.50%442.65K
-50.41%356.81K
-50.41%356.81K
-45.99%275.8K
Receivables
-65.95%287.36K
-57.45%532.94K
248.24%1.65M
248.24%1.65M
56.45%1.05M
108.76%843.97K
115.84%1.25M
-34.19%473.19K
-34.19%473.19K
269.66%672.61K
-Accounts receivable
-66.21%272.55K
-52.90%518.68K
590.31%1.55M
590.31%1.55M
165.34%1.01M
442.37%806.64K
219.01%1.1M
-55.43%224.59K
-55.43%224.59K
108.25%378.93K
-Taxes receivable
27.64%14.8K
-88.64%14.26K
-70.72%65.26K
-70.72%65.26K
-92.81%21.13K
-95.46%11.6K
-46.63%125.47K
3.61%222.87K
3.61%222.87K
--293.69K
-Other receivables
----
----
25.21%32.22K
25.21%32.22K
--25.73K
--25.73K
--25.73K
--25.73K
--25.73K
----
Inventory
-36.11%217.33K
219.36%222.74K
22.66%304.92K
22.66%304.92K
--253.14K
--340.14K
--69.74K
--248.6K
--248.6K
----
Prepaid assets
32.38%73.27K
23.71%93.58K
-9.11%116.69K
-9.11%116.69K
-45.48%476.5K
-30.23%55.35K
48.85%75.64K
121.14%128.38K
121.14%128.38K
634.99%874.03K
Total current assets
-10.68%1.54M
2.86%1.89M
99.38%2.41M
99.38%2.41M
18.30%2.16M
-21.65%1.73M
-20.03%1.84M
-19.35%1.21M
-19.35%1.21M
124.57%1.82M
Non current assets
Net PPE
16.03%3.64M
9.04%3.51M
160.91%3.29M
160.91%3.29M
112.71%3.03M
108.28%3.14M
115.20%3.22M
-17.54%1.26M
-17.54%1.26M
4.61%1.42M
-Gross PPE
24.92%4.8M
16.17%4.56M
130.34%4.24M
130.34%4.24M
96.66%3.8M
98.98%3.84M
113.32%3.92M
1.98%1.84M
1.98%1.84M
--1.93M
-Accumulated depreciation
-64.37%-1.16M
-48.69%-1.05M
-63.97%-950.91K
-63.97%-950.91K
-51.80%-772.73K
-66.05%-706.71K
-105.14%-705.64K
-109.86%-579.94K
-109.86%-579.94K
---509.04K
Non current prepaid assets
----
----
--0
--0
--99.4K
--644.73K
--746.54K
--824.41K
--824.41K
----
Total non current assets
-3.75%3.64M
-11.50%3.51M
57.67%3.29M
57.67%3.29M
119.70%3.13M
151.10%3.78M
165.14%3.96M
36.45%2.08M
36.45%2.08M
4.61%1.42M
Total assets
-5.93%5.18M
-6.95%5.4M
72.97%5.69M
72.97%5.69M
62.75%5.28M
48.50%5.51M
52.89%5.8M
8.83%3.29M
8.83%3.29M
49.44%3.24M
Liabilities
Current liabilities
Current debt and capital lease obligation
----
----
----
----
--90.05K
--86.54K
--181.86K
----
----
----
-Current capital lease obligation
----
----
----
----
--90.05K
--86.54K
--181.86K
----
----
----
Payables
51.04%1.11M
98.68%969.88K
61.45%777.93K
61.45%777.93K
190.83%882.64K
61.37%734.83K
58.56%488.17K
-7.28%481.85K
-7.28%481.85K
27.95%303.49K
-accounts payable
97.08%677.61K
196.41%570.02K
121.98%397.05K
121.98%397.05K
339.69%479.41K
34.67%343.82K
-3.07%192.31K
-62.76%178.87K
-62.76%178.87K
-54.03%109.04K
-Due to related parties current
10.55%432.27K
35.15%399.85K
25.71%380.88K
25.71%380.88K
107.36%403.23K
95.45%391.01K
170.22%295.86K
669.46%302.98K
669.46%302.98K
--194.46K
Current deferred liabilities
368.43%1.39M
232.38%1.16M
491.07%1.37M
491.07%1.37M
201.67%75.42K
-27.72%295.86K
-43.92%349.68K
-72.17%231.33K
-72.17%231.33K
--25K
Current liabilities
123.39%2.5M
109.09%2.13M
200.80%2.15M
200.80%2.15M
219.06%1.05M
29.21%1.12M
9.48%1.02M
-47.21%713.18K
-47.21%713.18K
38.49%328.49K
Non current liabilities
Long term debt and capital lease obligation
10.10%2.15M
11.17%2.09M
--2.03M
--2.03M
--1.93M
--1.96M
--1.88M
--0
--0
----
-Long term capital lease obligation
10.10%2.15M
11.17%2.09M
--2.03M
--2.03M
--1.93M
--1.96M
--1.88M
--0
--0
----
Total non current liabilities
10.10%2.15M
11.17%2.09M
--2.03M
--2.03M
--1.93M
--1.96M
--1.88M
--0
--0
--0
Total liabilities
51.28%4.65M
45.60%4.22M
485.32%4.17M
485.32%4.17M
807.33%2.98M
255.46%3.07M
211.39%2.9M
-47.21%713.18K
-47.21%713.18K
38.49%328.49K
Shareholders'equity
Share capital
0.04%10.34M
0.04%10.34M
0.00%10.34M
0.00%10.34M
-0.46%10.34M
-0.46%10.34M
-0.77%10.34M
15.44%10.34M
15.44%10.34M
14.18%10.38M
-common stock
0.04%10.34M
0.04%10.34M
0.00%10.34M
0.00%10.34M
-0.46%10.34M
-0.46%10.34M
-0.77%10.34M
15.44%10.34M
15.44%10.34M
14.18%10.38M
Retained earnings
-18.56%-13.12M
-17.88%-12.41M
-12.32%-12.07M
-12.32%-12.07M
-10.31%-11.27M
-7.64%-11.07M
-2.26%-10.53M
-7.16%-10.74M
-7.16%-10.74M
-10.09%-10.22M
Gains losses not affecting retained earnings
4.65%3.31M
4.91%3.25M
8.84%3.25M
8.84%3.25M
17.67%3.23M
15.42%3.17M
12.84%3.09M
8.77%2.98M
8.77%2.98M
29.65%2.75M
Total stockholders'equity
-78.19%530.78K
-59.43%1.18M
-41.13%1.52M
-41.13%1.52M
-21.11%2.3M
-14.43%2.43M
1.36%2.9M
54.10%2.58M
54.10%2.58M
50.79%2.92M
Total equity
-78.19%530.78K
-59.43%1.18M
-41.13%1.52M
-41.13%1.52M
-21.11%2.3M
-14.43%2.43M
1.36%2.9M
54.10%2.58M
54.10%2.58M
50.79%2.92M
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
--
--
--
--
--
--
--
(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 98.14%963.31K135.81%1.04M-5.55%337.01K-5.55%337.01K35.64%374.09K-71.71%486.17K-73.50%442.65K-50.41%356.81K-50.41%356.81K-45.99%275.8K
-Cash and cash equivalents 98.14%963.31K135.81%1.04M-5.55%337.01K-5.55%337.01K35.64%374.09K-71.71%486.17K-73.50%442.65K-50.41%356.81K-50.41%356.81K-45.99%275.8K
Receivables -65.95%287.36K-57.45%532.94K248.24%1.65M248.24%1.65M56.45%1.05M108.76%843.97K115.84%1.25M-34.19%473.19K-34.19%473.19K269.66%672.61K
-Accounts receivable -66.21%272.55K-52.90%518.68K590.31%1.55M590.31%1.55M165.34%1.01M442.37%806.64K219.01%1.1M-55.43%224.59K-55.43%224.59K108.25%378.93K
-Taxes receivable 27.64%14.8K-88.64%14.26K-70.72%65.26K-70.72%65.26K-92.81%21.13K-95.46%11.6K-46.63%125.47K3.61%222.87K3.61%222.87K--293.69K
-Other receivables --------25.21%32.22K25.21%32.22K--25.73K--25.73K--25.73K--25.73K--25.73K----
Inventory -36.11%217.33K219.36%222.74K22.66%304.92K22.66%304.92K--253.14K--340.14K--69.74K--248.6K--248.6K----
Prepaid assets 32.38%73.27K23.71%93.58K-9.11%116.69K-9.11%116.69K-45.48%476.5K-30.23%55.35K48.85%75.64K121.14%128.38K121.14%128.38K634.99%874.03K
Total current assets -10.68%1.54M2.86%1.89M99.38%2.41M99.38%2.41M18.30%2.16M-21.65%1.73M-20.03%1.84M-19.35%1.21M-19.35%1.21M124.57%1.82M
Non current assets
Net PPE 16.03%3.64M9.04%3.51M160.91%3.29M160.91%3.29M112.71%3.03M108.28%3.14M115.20%3.22M-17.54%1.26M-17.54%1.26M4.61%1.42M
-Gross PPE 24.92%4.8M16.17%4.56M130.34%4.24M130.34%4.24M96.66%3.8M98.98%3.84M113.32%3.92M1.98%1.84M1.98%1.84M--1.93M
-Accumulated depreciation -64.37%-1.16M-48.69%-1.05M-63.97%-950.91K-63.97%-950.91K-51.80%-772.73K-66.05%-706.71K-105.14%-705.64K-109.86%-579.94K-109.86%-579.94K---509.04K
Non current prepaid assets ----------0--0--99.4K--644.73K--746.54K--824.41K--824.41K----
Total non current assets -3.75%3.64M-11.50%3.51M57.67%3.29M57.67%3.29M119.70%3.13M151.10%3.78M165.14%3.96M36.45%2.08M36.45%2.08M4.61%1.42M
Total assets -5.93%5.18M-6.95%5.4M72.97%5.69M72.97%5.69M62.75%5.28M48.50%5.51M52.89%5.8M8.83%3.29M8.83%3.29M49.44%3.24M
Liabilities
Current liabilities
Current debt and capital lease obligation ------------------90.05K--86.54K--181.86K------------
-Current capital lease obligation ------------------90.05K--86.54K--181.86K------------
Payables 51.04%1.11M98.68%969.88K61.45%777.93K61.45%777.93K190.83%882.64K61.37%734.83K58.56%488.17K-7.28%481.85K-7.28%481.85K27.95%303.49K
-accounts payable 97.08%677.61K196.41%570.02K121.98%397.05K121.98%397.05K339.69%479.41K34.67%343.82K-3.07%192.31K-62.76%178.87K-62.76%178.87K-54.03%109.04K
-Due to related parties current 10.55%432.27K35.15%399.85K25.71%380.88K25.71%380.88K107.36%403.23K95.45%391.01K170.22%295.86K669.46%302.98K669.46%302.98K--194.46K
Current deferred liabilities 368.43%1.39M232.38%1.16M491.07%1.37M491.07%1.37M201.67%75.42K-27.72%295.86K-43.92%349.68K-72.17%231.33K-72.17%231.33K--25K
Current liabilities 123.39%2.5M109.09%2.13M200.80%2.15M200.80%2.15M219.06%1.05M29.21%1.12M9.48%1.02M-47.21%713.18K-47.21%713.18K38.49%328.49K
Non current liabilities
Long term debt and capital lease obligation 10.10%2.15M11.17%2.09M--2.03M--2.03M--1.93M--1.96M--1.88M--0--0----
-Long term capital lease obligation 10.10%2.15M11.17%2.09M--2.03M--2.03M--1.93M--1.96M--1.88M--0--0----
Total non current liabilities 10.10%2.15M11.17%2.09M--2.03M--2.03M--1.93M--1.96M--1.88M--0--0--0
Total liabilities 51.28%4.65M45.60%4.22M485.32%4.17M485.32%4.17M807.33%2.98M255.46%3.07M211.39%2.9M-47.21%713.18K-47.21%713.18K38.49%328.49K
Shareholders'equity
Share capital 0.04%10.34M0.04%10.34M0.00%10.34M0.00%10.34M-0.46%10.34M-0.46%10.34M-0.77%10.34M15.44%10.34M15.44%10.34M14.18%10.38M
-common stock 0.04%10.34M0.04%10.34M0.00%10.34M0.00%10.34M-0.46%10.34M-0.46%10.34M-0.77%10.34M15.44%10.34M15.44%10.34M14.18%10.38M
Retained earnings -18.56%-13.12M-17.88%-12.41M-12.32%-12.07M-12.32%-12.07M-10.31%-11.27M-7.64%-11.07M-2.26%-10.53M-7.16%-10.74M-7.16%-10.74M-10.09%-10.22M
Gains losses not affecting retained earnings 4.65%3.31M4.91%3.25M8.84%3.25M8.84%3.25M17.67%3.23M15.42%3.17M12.84%3.09M8.77%2.98M8.77%2.98M29.65%2.75M
Total stockholders'equity -78.19%530.78K-59.43%1.18M-41.13%1.52M-41.13%1.52M-21.11%2.3M-14.43%2.43M1.36%2.9M54.10%2.58M54.10%2.58M50.79%2.92M
Total equity -78.19%530.78K-59.43%1.18M-41.13%1.52M-41.13%1.52M-21.11%2.3M-14.43%2.43M1.36%2.9M54.10%2.58M54.10%2.58M50.79%2.92M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------------

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.