US Stock MarketDetailed Quotes

AVANT TECHNOLOGIES INC (AVAI)

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  • 0.7770
  • +0.0882+12.80%
15min DelayClose Jan 15 15:59 ET
107.24MMarket Cap-77.70P/E (TTM)

AVANT TECHNOLOGIES INC (AVAI) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 30, 2025
(Q1)Jun 30, 2025
(FY)Mar 31, 2025
(Q4)Mar 31, 2025
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
5,091.59%92K
2,166.22%10.06K
28,744.48%81.05K
28,744.48%81.05K
242.63%3.07K
19.73%1.77K
-14.29%444
-99.74%281
-99.74%281
-95.24%896
-Cash and cash equivalents
5,091.59%92K
2,166.22%10.06K
28,744.48%81.05K
28,744.48%81.05K
242.63%3.07K
19.73%1.77K
-14.29%444
-99.74%281
-99.74%281
-95.24%896
Prepaid assets
68.23%20.8K
-82.51%10.15K
-89.57%12.08K
-89.57%12.08K
-34.22%24.44K
10,745.61%12.36K
49,503.42%58.04K
112,328.16%115.8K
112,328.16%115.8K
2,211.82%37.15K
Total current assets
697.93%112.8K
-65.44%20.21K
-19.77%93.13K
-19.77%93.13K
-27.70%27.51K
786.83%14.14K
9,109.45%58.48K
7.91%116.08K
7.91%116.08K
-74.15%38.05K
Non current assets
Net PPE
----
----
----
----
--0
--0
--0
--0
--0
--0
-Gross PPE
----
----
----
----
0.00%1.5K
0.00%1.5K
0.00%1.5K
0.00%1.5K
0.00%1.5K
0.00%1.5K
-Accumulated depreciation
----
----
----
----
0.00%-1.5K
0.00%-1.5K
-3.45%-1.5K
-9.09%-1.5K
-9.09%-1.5K
-15.38%-1.5K
Goodwill and other intangible assets
-28.95%118.58K
-32.89%125.09K
-36.09%131.61K
-36.09%131.61K
-41.79%147.38K
-36.65%166.9K
-31.90%186.41K
53.96%205.93K
53.96%205.93K
84.13%253.2K
-Other intangible assets
-28.95%118.58K
-32.89%125.09K
-36.09%131.61K
-36.09%131.61K
-41.79%147.38K
-36.65%166.9K
-31.90%186.41K
53.96%205.93K
53.96%205.93K
84.13%253.2K
Total non current assets
-28.95%118.58K
-32.89%125.09K
-36.09%131.61K
-36.09%131.61K
-41.79%147.38K
-36.65%166.9K
-31.91%186.41K
53.81%205.93K
53.81%205.93K
83.86%253.2K
Total assets
27.81%231.37K
-40.67%145.31K
-30.21%224.75K
-30.21%224.75K
-39.95%174.89K
-31.70%181.03K
-10.76%244.89K
33.36%322.01K
33.36%322.01K
2.23%291.25K
Liabilities
Current liabilities
Payables
-3.42%1.21M
-26.08%1.12M
-18.17%885.27K
-18.17%885.27K
4,570.14%1.56M
804.24%1.25M
1,156.64%1.52M
356.65%1.08M
356.65%1.08M
-61.48%33.51K
-accounts payable
-3.42%1.21M
-26.08%1.12M
-18.17%885.27K
-18.17%885.27K
4,570.14%1.56M
804.24%1.25M
1,156.64%1.52M
356.65%1.08M
356.65%1.08M
-61.48%33.51K
Current accrued expenses
----
----
----
----
----
----
----
----
----
325.87%850K
Current debt and capital lease obligation
78.22%1.32M
25.20%1.01M
27.81%903.35K
27.81%903.35K
-7.80%745.52K
4.83%742.04K
17.47%808.89K
10.81%706.78K
10.81%706.78K
59.55%808.62K
-Current debt
78.22%1.32M
25.20%1.01M
27.81%903.35K
27.81%903.35K
-7.80%745.52K
4.83%742.04K
17.47%808.89K
10.81%706.78K
10.81%706.78K
59.55%808.62K
Current liabilities
26.96%2.53M
-8.28%2.14M
0.00%1.79M
0.00%1.79M
36.54%2.31M
58.75%1.99M
83.69%2.33M
104.47%1.79M
104.47%1.79M
105.26%1.69M
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
26.96%2.53M
-8.28%2.14M
0.00%1.79M
0.00%1.79M
36.54%2.31M
58.75%1.99M
83.69%2.33M
104.47%1.79M
104.47%1.79M
105.26%1.69M
Shareholders'equity
Share capital
3.76%164.38K
15.32%164.06K
15.09%163.91K
15.09%163.91K
36.64%163.68K
51.94%158.42K
50.54%142.27K
235.46%142.42K
235.46%142.42K
231.10%119.8K
-common stock
4.52%137.83K
17.51%137.51K
17.24%137.36K
17.24%137.36K
1,271.32%137.13K
77.57%131.87K
81.41%117.02K
204.30%117.17K
204.30%117.17K
-68.97%10K
-Preferred stock
0.00%26.55K
5.15%26.55K
5.15%26.55K
5.15%26.55K
-75.82%26.55K
-11.50%26.55K
-15.83%25.25K
539.24%25.25K
539.24%25.25K
2,679.62%109.8K
Retained earnings
-22.55%-5.06M
-31.41%-4.61M
-38.37%-4.12M
-38.37%-4.12M
-71.44%-4.58M
-148.83%-4.13M
-178.32%-3.51M
-251.02%-2.98M
-251.02%-2.98M
-271.32%-2.67M
Paid-in capital
20.29%2.59M
91.70%2.45M
74.84%2.39M
74.84%2.39M
98.15%2.28M
282.68%2.16M
646.86%1.28M
694.05%1.37M
694.05%1.37M
682.18%1.15M
Total stockholders'equity
-26.87%-2.3M
4.47%-1.99M
-6.63%-1.56M
-6.63%-1.56M
-52.45%-2.14M
-82.94%-1.81M
-109.77%-2.08M
-131.59%-1.47M
-131.59%-1.47M
-159.67%-1.4M
Total equity
-26.87%-2.3M
4.47%-1.99M
-6.63%-1.56M
-6.63%-1.56M
-52.45%-2.14M
-82.94%-1.81M
-109.77%-2.08M
-131.59%-1.47M
-131.59%-1.47M
-159.67%-1.4M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(Q2)Sep 30, 2025(Q1)Jun 30, 2025(FY)Mar 31, 2025(Q4)Mar 31, 2025(Q3)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 5,091.59%92K2,166.22%10.06K28,744.48%81.05K28,744.48%81.05K242.63%3.07K19.73%1.77K-14.29%444-99.74%281-99.74%281-95.24%896
-Cash and cash equivalents 5,091.59%92K2,166.22%10.06K28,744.48%81.05K28,744.48%81.05K242.63%3.07K19.73%1.77K-14.29%444-99.74%281-99.74%281-95.24%896
Prepaid assets 68.23%20.8K-82.51%10.15K-89.57%12.08K-89.57%12.08K-34.22%24.44K10,745.61%12.36K49,503.42%58.04K112,328.16%115.8K112,328.16%115.8K2,211.82%37.15K
Total current assets 697.93%112.8K-65.44%20.21K-19.77%93.13K-19.77%93.13K-27.70%27.51K786.83%14.14K9,109.45%58.48K7.91%116.08K7.91%116.08K-74.15%38.05K
Non current assets
Net PPE ------------------0--0--0--0--0--0
-Gross PPE ----------------0.00%1.5K0.00%1.5K0.00%1.5K0.00%1.5K0.00%1.5K0.00%1.5K
-Accumulated depreciation ----------------0.00%-1.5K0.00%-1.5K-3.45%-1.5K-9.09%-1.5K-9.09%-1.5K-15.38%-1.5K
Goodwill and other intangible assets -28.95%118.58K-32.89%125.09K-36.09%131.61K-36.09%131.61K-41.79%147.38K-36.65%166.9K-31.90%186.41K53.96%205.93K53.96%205.93K84.13%253.2K
-Other intangible assets -28.95%118.58K-32.89%125.09K-36.09%131.61K-36.09%131.61K-41.79%147.38K-36.65%166.9K-31.90%186.41K53.96%205.93K53.96%205.93K84.13%253.2K
Total non current assets -28.95%118.58K-32.89%125.09K-36.09%131.61K-36.09%131.61K-41.79%147.38K-36.65%166.9K-31.91%186.41K53.81%205.93K53.81%205.93K83.86%253.2K
Total assets 27.81%231.37K-40.67%145.31K-30.21%224.75K-30.21%224.75K-39.95%174.89K-31.70%181.03K-10.76%244.89K33.36%322.01K33.36%322.01K2.23%291.25K
Liabilities
Current liabilities
Payables -3.42%1.21M-26.08%1.12M-18.17%885.27K-18.17%885.27K4,570.14%1.56M804.24%1.25M1,156.64%1.52M356.65%1.08M356.65%1.08M-61.48%33.51K
-accounts payable -3.42%1.21M-26.08%1.12M-18.17%885.27K-18.17%885.27K4,570.14%1.56M804.24%1.25M1,156.64%1.52M356.65%1.08M356.65%1.08M-61.48%33.51K
Current accrued expenses ------------------------------------325.87%850K
Current debt and capital lease obligation 78.22%1.32M25.20%1.01M27.81%903.35K27.81%903.35K-7.80%745.52K4.83%742.04K17.47%808.89K10.81%706.78K10.81%706.78K59.55%808.62K
-Current debt 78.22%1.32M25.20%1.01M27.81%903.35K27.81%903.35K-7.80%745.52K4.83%742.04K17.47%808.89K10.81%706.78K10.81%706.78K59.55%808.62K
Current liabilities 26.96%2.53M-8.28%2.14M0.00%1.79M0.00%1.79M36.54%2.31M58.75%1.99M83.69%2.33M104.47%1.79M104.47%1.79M105.26%1.69M
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities 26.96%2.53M-8.28%2.14M0.00%1.79M0.00%1.79M36.54%2.31M58.75%1.99M83.69%2.33M104.47%1.79M104.47%1.79M105.26%1.69M
Shareholders'equity
Share capital 3.76%164.38K15.32%164.06K15.09%163.91K15.09%163.91K36.64%163.68K51.94%158.42K50.54%142.27K235.46%142.42K235.46%142.42K231.10%119.8K
-common stock 4.52%137.83K17.51%137.51K17.24%137.36K17.24%137.36K1,271.32%137.13K77.57%131.87K81.41%117.02K204.30%117.17K204.30%117.17K-68.97%10K
-Preferred stock 0.00%26.55K5.15%26.55K5.15%26.55K5.15%26.55K-75.82%26.55K-11.50%26.55K-15.83%25.25K539.24%25.25K539.24%25.25K2,679.62%109.8K
Retained earnings -22.55%-5.06M-31.41%-4.61M-38.37%-4.12M-38.37%-4.12M-71.44%-4.58M-148.83%-4.13M-178.32%-3.51M-251.02%-2.98M-251.02%-2.98M-271.32%-2.67M
Paid-in capital 20.29%2.59M91.70%2.45M74.84%2.39M74.84%2.39M98.15%2.28M282.68%2.16M646.86%1.28M694.05%1.37M694.05%1.37M682.18%1.15M
Total stockholders'equity -26.87%-2.3M4.47%-1.99M-6.63%-1.56M-6.63%-1.56M-52.45%-2.14M-82.94%-1.81M-109.77%-2.08M-131.59%-1.47M-131.59%-1.47M-159.67%-1.4M
Total equity -26.87%-2.3M4.47%-1.99M-6.63%-1.56M-6.63%-1.56M-52.45%-2.14M-82.94%-1.81M-109.77%-2.08M-131.59%-1.47M-131.59%-1.47M-159.67%-1.4M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----
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