COM:BRIGHTMINDSBIO
Bright Minds
- Stock
Last Close
45.18
22/11 20:59
Market Cap
6.12M
Beta: -
Volume Today
2.35K
Avg: -
Preview
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Sep '19 | Sep '20 | Sep '21 | Sep '22 | Sep '23 | ||
---|---|---|---|---|---|---|
average inventory | ||||||
average payables | 367.50K - | 921.48K 150.74% | 714.35K 22.48% | |||
average receivables | 55.07K - | 132.96K 141.43% | 96.38K 27.51% | |||
book value per share | 0.10 - | 0.63 533.97% | 10.81 1,615.95% | 0.85 92.10% | ||
capex per share | ||||||
capex to depreciation | ||||||
capex to operating cash flow | ||||||
capex to revenue | ||||||
cash per share | 0.06 - | 0.69 1,006.30% | 11.01 1,493.31% | 0.94 91.45% | ||
days of inventory on hand | ||||||
days payables outstanding | ||||||
days sales outstanding | ||||||
debt to assets | 0.01 - | 0.01 7.63% | ||||
debt to equity | 0.01 - | 0.01 16.01% | ||||
dividend yield | ||||||
earnings yield | -0.00 - | -0.01 582.94% | -0.10 969.00% | -0.14 37.81% | ||
enterprise value | 54.67M - | 48.69M 10.94% | 61.37M 26.03% | 93.50M 52.37% | -6.67M 107.14% | |
enterprise value over ebitda | -694.48 - | -103.74 85.06% | -7.01 93.25% | -6.35 9.44% | 0.91 114.35% | |
ev to operating cash flow | -1.30K - | -168.83 87.03% | -8.38 95.03% | -6.88 17.92% | 0.95 113.81% | |
ev to sales | ||||||
free cash flow per share | -0.03 - | -0.25 659.46% | -4.08 1,537.01% | -1.10 73.03% | ||
free cash flow yield | -0.00 - | -0.01 659.46% | -0.09 1,448.28% | -0.13 43.44% | ||
graham net net | 0.03 - | 0.56 1,558.80% | 10.70 1,808.57% | 0.83 92.28% | ||
graham number | 0.37 - | 2.44 558.00% | 33.97 1,292.65% | 4.86 85.70% | ||
income quality | 0.53 - | 0.60 12.49% | 0.85 40.93% | 0.91 7.31% | 0.95 4.94% | |
intangibles to total assets | 0.00 - | 0.00 18,528.50% | 0.00 95.61% | 0 100% | 0 | |
interest coverage | -66.17 - | |||||
interest debt per share | 0.03 - | |||||
inventory turnover | ||||||
invested capital | 0.01 - | 0.01 16.01% | ||||
market cap | 54.75M - | 49.49M 9.61% | 81.13M 63.92% | 104.99M 29.42% | ||
net current asset value | 43.28K - | 727.29K 1,580.32% | 19.40M 2,567.40% | 10.40M 46.37% | 6.53M 37.22% | |
net debt to ebitda | 1.02 - | 1.70 67.72% | 2.26 32.38% | 0.78 65.45% | 0.91 16.83% | |
net income per share | -0.06 - | -0.42 582.94% | -4.74 1,030.26% | -1.23 74.08% | ||
operating cash flow per share | -0.03 - | -0.25 659.46% | -4.08 1,537.01% | -1.10 73.03% | ||
payables turnover | ||||||
receivables turnover | ||||||
research and ddevelopement to revenue | ||||||
return on tangible assets | -0.48 - | -0.55 15.26% | -0.42 23.20% | -1.26 195.69% | -1.07 14.71% | |
revenue per share | ||||||
roe | -0.62 - | -0.67 7.72% | -0.44 34.13% | -1.44 228.24% | -1.12 22.44% | |
roic | -0.62 - | -0.65 5.57% | -0.44 31.75% | -1.38 211.11% | -1.10 20.79% | |
sales general and administrative to revenue | ||||||
shareholders equity per share | 0.10 - | 0.63 533.97% | 10.81 1,615.95% | 0.85 92.10% | ||
stock based compensation to revenue | ||||||
tangible asset value | 127.26K - | 727.29K 471.50% | 19.40M 2,567.40% | 10.54M 45.66% | 6.60M 37.41% | |
tangible book value per share | 0.10 - | 0.63 533.97% | 10.81 1,615.95% | 0.85 92.10% | ||
working capital | 43.28K - | 727.29K 1,580.32% | 19.40M 2,567.40% | 10.48M 46.00% | 6.53M 37.65% |
All numbers in CAD (except ratios and percentages)