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GRYN GREEN HYGIENICS HLDGS INC

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  • 0.000600
  • 0.0000000.00%
15min DelayClose Mar 28 16:00 ET
26.69KMarket Cap-3P/E (TTM)

GREEN HYGIENICS HLDGS INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jan 31, 2022
(Q1)Oct 31, 2021
(FY)Jul 31, 2021
(Q4)Jul 31, 2021
(Q3)Apr 30, 2021
(Q2)Jan 31, 2021
(Q1)Oct 31, 2020
(FY)Jul 31, 2020
(Q4)Jul 31, 2020
(Q3)Apr 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-99.27%1.33K
-56.93%34.85K
1,151.94%507.51K
1,151.94%507.51K
-65.12%79.61K
244.16%182.21K
75.07%80.91K
5,185.27%40.54K
5,185.27%40.54K
121,302.66%228.24K
-Cash and cash equivalents
-99.27%1.33K
-56.93%34.85K
1,151.94%507.51K
1,151.94%507.51K
-65.12%79.61K
244.16%182.21K
75.07%80.91K
5,185.27%40.54K
5,185.27%40.54K
121,302.66%228.24K
Receivables
----
----
----
----
--80.51K
----
----
----
----
----
-Accounts receivable
----
----
----
----
--80.51K
----
----
----
----
----
Inventory
-47.42%267.9K
-39.73%175.96K
----
----
--1.01M
66.25%509.48K
-4.74%291.93K
----
----
--0
Prepaid assets
----
-93.56%10K
----
----
--155.38K
935.89%155.38K
3,007.66%155.38K
----
----
----
Total current assets
-68.22%269.24K
-58.20%220.8K
1,151.94%507.51K
1,151.94%507.51K
482.61%1.33M
126.25%847.07K
47.69%528.22K
-86.91%40.54K
-86.91%40.54K
35,121.76%228.24K
Non current assets
Net PPE
5.49%5.33M
11.83%5.5M
16.81%5.52M
16.81%5.52M
9.26%5.19M
7.04%5.06M
3.55%4.91M
3,157.22%4.73M
3,157.22%4.73M
--4.75M
-Gross PPE
4.26%5.42M
9.42%5.5M
14.92%5.52M
14.92%5.52M
11.66%5.37M
10.04%5.2M
5.83%5.02M
3,211.01%4.81M
3,211.01%4.81M
--4.81M
-Accumulated depreciation
39.60%-85.49K
----
----
----
-215.80%-176.61K
---141.54K
---108.25K
---78.08K
---78.08K
---55.92K
Goodwill and other intangible assets
--35K
--25K
--25K
--25K
--60K
----
----
--0
--0
----
-Other intangible assets
----
----
--25K
--25K
--60K
----
----
----
----
----
Non current prepaid assets
----
----
----
----
----
----
----
----
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--0
Total non current assets
6.18%5.37M
12.34%5.52M
17.34%5.55M
17.34%5.55M
10.52%5.25M
7.04%5.06M
3.55%4.91M
1,828.49%4.73M
1,828.49%4.73M
--4.75M
Total assets
-4.50%5.64M
5.48%5.74M
26.99%6.05M
26.99%6.05M
32.17%6.58M
15.79%5.9M
6.64%5.44M
759.35%4.77M
759.35%4.77M
768,087.35%4.98M
Liabilities
Current liabilities
Payables
54.98%5.01M
-6.21%4.52M
26.29%4.71M
26.29%4.71M
321.82%4.12M
37.60%3.23M
164.08%4.82M
258.63%3.73M
258.63%3.73M
114.55%977.66K
-accounts payable
-21.77%692.1K
-65.09%396.16K
3.43%1.05M
3.43%1.05M
38.25%944.32K
179.71%884.69K
337.47%1.13M
406.53%1.02M
406.53%1.02M
245.85%683.07K
-Due to related parties current
83.89%4.32M
11.93%4.12M
34.90%3.65M
34.90%3.65M
979.35%3.18M
15.49%2.35M
135.34%3.68M
223.12%2.71M
223.12%2.71M
14.10%294.58K
Current accrued expenses
653.41%515.16K
1,048.78%468.44K
-62.79%58.95K
-62.79%58.95K
80.32%39.22K
129.57%68.38K
57.61%40.78K
30,961.96%158.42K
30,961.96%158.42K
--21.75K
Current debt and capital lease obligation
639.04%3.62M
592.29%3.56M
422.01%3.56M
422.01%3.56M
-65.45%896.97K
140.97%490.17K
231.42%514.53K
338.98%681.52K
338.98%681.52K
--2.6M
-Current debt
639.04%3.62M
592.29%3.56M
422.01%3.56M
422.01%3.56M
-65.45%896.97K
140.97%490.17K
231.42%514.53K
338.98%681.52K
338.98%681.52K
--2.6M
Current deferred liabilities
----
----
----
----
--0
--0
--0
--15.97K
--15.97K
--15.97K
Other current liabilities
--186.48K
----
----
----
----
----
----
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Current liabilities
146.20%9.33M
59.11%8.55M
81.63%8.32M
81.63%8.32M
40.11%5.06M
45.90%3.79M
167.92%5.37M
283.52%4.58M
283.52%4.58M
692.55%3.61M
Non current liabilities
Long term debt and capital lease obligation
-37.18%4.55M
-1.02%4.56M
-0.92%4.58M
-0.92%4.58M
56.33%7.24M
55.92%7.24M
-1.84%4.61M
--4.62M
--4.62M
--4.63M
-Long term debt
-37.18%4.55M
-1.02%4.56M
-0.92%4.58M
-0.92%4.58M
56.33%7.24M
55.92%7.24M
-1.84%4.61M
--4.62M
--4.62M
--4.63M
Total non current liabilities
-37.18%4.55M
-1.02%4.56M
-0.92%4.58M
-0.92%4.58M
56.33%7.24M
55.92%7.24M
-1.84%4.61M
--4.62M
--4.62M
--4.63M
Total liabilities
25.86%13.88M
31.35%13.11M
40.19%12.9M
40.19%12.9M
49.22%12.3M
52.32%11.03M
48.99%9.98M
670.02%9.2M
670.02%9.2M
1,708.48%8.24M
Shareholders'equity
Share capital
5.17%44.48K
6.11%44.48K
11.49%44.13K
11.49%44.13K
13.68%43.14K
12.84%42.29K
11.83%41.92K
7.97%39.58K
7.97%39.58K
9.34%37.95K
-common stock
5.17%44.48K
6.11%44.48K
11.49%44.13K
11.49%44.13K
13.68%43.14K
12.84%42.29K
11.83%41.92K
7.97%39.58K
7.97%39.58K
9.34%37.95K
Retained earnings
-12.09%-60.45M
-12.41%-59.49M
-16.62%-58.89M
-16.62%-58.89M
-17.07%-56.64M
-15.17%-53.93M
-17.71%-52.92M
-18.07%-50.49M
-18.07%-50.49M
-17.90%-48.38M
Paid-in capital
6.98%52.07M
7.74%51.98M
11.69%51.19M
11.69%51.19M
11.87%49.76M
12.00%48.67M
11.35%48.24M
8.89%45.83M
8.89%45.83M
9.71%44.48M
Other equity interest
0.00%100K
0.00%100K
322.92%812K
322.92%812K
86.56%1.12M
-91.67%100K
--100K
--192K
--192K
--600K
Total stockholders'equity
-60.83%-8.24M
-62.39%-7.37M
-54.39%-6.84M
-54.39%-6.84M
-75.24%-5.72M
-139.29%-5.13M
-184.46%-4.54M
-592.59%-4.43M
-592.59%-4.43M
-617.08%-3.26M
Total equity
-60.83%-8.24M
-62.39%-7.37M
-54.39%-6.84M
-54.39%-6.84M
-75.24%-5.72M
-139.29%-5.13M
-184.46%-4.54M
-592.59%-4.43M
-592.59%-4.43M
-617.08%-3.26M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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--
Unqualified Opinion with Explanatory Notes
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--
--
--
Unqualified Opinion with Explanatory Notes
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--
(Q2)Jan 31, 2022(Q1)Oct 31, 2021(FY)Jul 31, 2021(Q4)Jul 31, 2021(Q3)Apr 30, 2021(Q2)Jan 31, 2021(Q1)Oct 31, 2020(FY)Jul 31, 2020(Q4)Jul 31, 2020(Q3)Apr 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -99.27%1.33K-56.93%34.85K1,151.94%507.51K1,151.94%507.51K-65.12%79.61K244.16%182.21K75.07%80.91K5,185.27%40.54K5,185.27%40.54K121,302.66%228.24K
-Cash and cash equivalents -99.27%1.33K-56.93%34.85K1,151.94%507.51K1,151.94%507.51K-65.12%79.61K244.16%182.21K75.07%80.91K5,185.27%40.54K5,185.27%40.54K121,302.66%228.24K
Receivables ------------------80.51K--------------------
-Accounts receivable ------------------80.51K--------------------
Inventory -47.42%267.9K-39.73%175.96K----------1.01M66.25%509.48K-4.74%291.93K----------0
Prepaid assets -----93.56%10K----------155.38K935.89%155.38K3,007.66%155.38K------------
Total current assets -68.22%269.24K-58.20%220.8K1,151.94%507.51K1,151.94%507.51K482.61%1.33M126.25%847.07K47.69%528.22K-86.91%40.54K-86.91%40.54K35,121.76%228.24K
Non current assets
Net PPE 5.49%5.33M11.83%5.5M16.81%5.52M16.81%5.52M9.26%5.19M7.04%5.06M3.55%4.91M3,157.22%4.73M3,157.22%4.73M--4.75M
-Gross PPE 4.26%5.42M9.42%5.5M14.92%5.52M14.92%5.52M11.66%5.37M10.04%5.2M5.83%5.02M3,211.01%4.81M3,211.01%4.81M--4.81M
-Accumulated depreciation 39.60%-85.49K-------------215.80%-176.61K---141.54K---108.25K---78.08K---78.08K---55.92K
Goodwill and other intangible assets --35K--25K--25K--25K--60K----------0--0----
-Other intangible assets ----------25K--25K--60K--------------------
Non current prepaid assets --------------------------------------0
Total non current assets 6.18%5.37M12.34%5.52M17.34%5.55M17.34%5.55M10.52%5.25M7.04%5.06M3.55%4.91M1,828.49%4.73M1,828.49%4.73M--4.75M
Total assets -4.50%5.64M5.48%5.74M26.99%6.05M26.99%6.05M32.17%6.58M15.79%5.9M6.64%5.44M759.35%4.77M759.35%4.77M768,087.35%4.98M
Liabilities
Current liabilities
Payables 54.98%5.01M-6.21%4.52M26.29%4.71M26.29%4.71M321.82%4.12M37.60%3.23M164.08%4.82M258.63%3.73M258.63%3.73M114.55%977.66K
-accounts payable -21.77%692.1K-65.09%396.16K3.43%1.05M3.43%1.05M38.25%944.32K179.71%884.69K337.47%1.13M406.53%1.02M406.53%1.02M245.85%683.07K
-Due to related parties current 83.89%4.32M11.93%4.12M34.90%3.65M34.90%3.65M979.35%3.18M15.49%2.35M135.34%3.68M223.12%2.71M223.12%2.71M14.10%294.58K
Current accrued expenses 653.41%515.16K1,048.78%468.44K-62.79%58.95K-62.79%58.95K80.32%39.22K129.57%68.38K57.61%40.78K30,961.96%158.42K30,961.96%158.42K--21.75K
Current debt and capital lease obligation 639.04%3.62M592.29%3.56M422.01%3.56M422.01%3.56M-65.45%896.97K140.97%490.17K231.42%514.53K338.98%681.52K338.98%681.52K--2.6M
-Current debt 639.04%3.62M592.29%3.56M422.01%3.56M422.01%3.56M-65.45%896.97K140.97%490.17K231.42%514.53K338.98%681.52K338.98%681.52K--2.6M
Current deferred liabilities ------------------0--0--0--15.97K--15.97K--15.97K
Other current liabilities --186.48K------------------------------------
Current liabilities 146.20%9.33M59.11%8.55M81.63%8.32M81.63%8.32M40.11%5.06M45.90%3.79M167.92%5.37M283.52%4.58M283.52%4.58M692.55%3.61M
Non current liabilities
Long term debt and capital lease obligation -37.18%4.55M-1.02%4.56M-0.92%4.58M-0.92%4.58M56.33%7.24M55.92%7.24M-1.84%4.61M--4.62M--4.62M--4.63M
-Long term debt -37.18%4.55M-1.02%4.56M-0.92%4.58M-0.92%4.58M56.33%7.24M55.92%7.24M-1.84%4.61M--4.62M--4.62M--4.63M
Total non current liabilities -37.18%4.55M-1.02%4.56M-0.92%4.58M-0.92%4.58M56.33%7.24M55.92%7.24M-1.84%4.61M--4.62M--4.62M--4.63M
Total liabilities 25.86%13.88M31.35%13.11M40.19%12.9M40.19%12.9M49.22%12.3M52.32%11.03M48.99%9.98M670.02%9.2M670.02%9.2M1,708.48%8.24M
Shareholders'equity
Share capital 5.17%44.48K6.11%44.48K11.49%44.13K11.49%44.13K13.68%43.14K12.84%42.29K11.83%41.92K7.97%39.58K7.97%39.58K9.34%37.95K
-common stock 5.17%44.48K6.11%44.48K11.49%44.13K11.49%44.13K13.68%43.14K12.84%42.29K11.83%41.92K7.97%39.58K7.97%39.58K9.34%37.95K
Retained earnings -12.09%-60.45M-12.41%-59.49M-16.62%-58.89M-16.62%-58.89M-17.07%-56.64M-15.17%-53.93M-17.71%-52.92M-18.07%-50.49M-18.07%-50.49M-17.90%-48.38M
Paid-in capital 6.98%52.07M7.74%51.98M11.69%51.19M11.69%51.19M11.87%49.76M12.00%48.67M11.35%48.24M8.89%45.83M8.89%45.83M9.71%44.48M
Other equity interest 0.00%100K0.00%100K322.92%812K322.92%812K86.56%1.12M-91.67%100K--100K--192K--192K--600K
Total stockholders'equity -60.83%-8.24M-62.39%-7.37M-54.39%-6.84M-54.39%-6.84M-75.24%-5.72M-139.29%-5.13M-184.46%-4.54M-592.59%-4.43M-592.59%-4.43M-617.08%-3.26M
Total equity -60.83%-8.24M-62.39%-7.37M-54.39%-6.84M-54.39%-6.84M-75.24%-5.72M-139.29%-5.13M-184.46%-4.54M-592.59%-4.43M-592.59%-4.43M-617.08%-3.26M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

No Data

Price Target

No Data

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