US Stock MarketDetailed Quotes

QNCCF QUANTUM EMOTION CORP

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  • 0.103000
  • +0.011075+12.05%
15min DelayClose May 8 16:00 ET
13.96MMarket Cap-6866P/E (TTM)

QUANTUM EMOTION CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-55.57%1.67M
72.32%3.51M
72.32%3.51M
88.36%3.76M
204.01%4.22M
239.75%4.78M
10,036.74%2.04M
10,036.74%2.04M
12,451.09%2M
3,752.00%1.39M
-Cash and cash equivalents
-61.07%1.13M
153.93%2.59M
153.93%2.59M
44.78%2.89M
104.10%2.83M
132.75%3.27M
4,984.88%1.02M
4,984.88%1.02M
12,451.09%2M
3,752.00%1.39M
-Short-term investments
-37.30%545.7K
-9.83%915.14K
-9.83%915.14K
--870.33K
--1.39M
--1.51M
--1.01M
--1.01M
----
----
Receivables
-33.82%58.41K
108.47%118.89K
108.47%118.89K
42.09%88.27K
3.55%91.89K
-27.16%42.39K
663.66%57.03K
663.66%57.03K
1,344.70%62.12K
1,331.75%88.74K
-Taxes receivable
-33.82%58.41K
108.47%118.89K
108.47%118.89K
42.09%88.27K
3.55%91.89K
-27.16%42.39K
663.66%57.03K
663.66%57.03K
1,344.70%62.12K
1,331.75%88.74K
Other current assets
96.89%78.35K
-28.57%35.85K
-28.57%35.85K
-27.96%39.79K
310.39%67.74K
1,818.58%66.59K
804.78%50.19K
804.78%50.19K
536.21%55.24K
-69.61%16.51K
Total current assets
-53.52%1.81M
70.92%3.66M
70.92%3.66M
83.96%3.89M
193.27%4.38M
232.91%4.89M
6,375.42%2.14M
6,375.42%2.14M
7,218.03%2.11M
1,446.66%1.49M
Non current assets
Goodwill and other intangible assets
-25.40%707.32K
-60.93%374K
-60.93%374K
52.22%948.2K
51.76%953.83K
51.30%959.39K
49.65%957.16K
49.65%957.16K
-0.21%622.9K
-0.20%628.52K
-Other intangible assets
-25.40%707.32K
-60.93%374K
-60.93%374K
52.22%948.2K
51.76%953.83K
51.30%959.39K
49.65%957.16K
49.65%957.16K
-0.21%622.9K
-0.20%628.52K
Non current prepaid assets
----
----
----
----
----
----
----
----
-0.49%202
-78.74%202
Total non current assets
-25.40%707.32K
-60.93%374K
-60.93%374K
52.18%948.2K
51.71%953.83K
51.26%959.39K
49.65%957.16K
49.65%957.16K
-0.21%623.1K
-0.32%628.72K
Total assets
-48.01%2.52M
30.22%4.04M
30.22%4.04M
76.73%4.84M
151.32%5.33M
178.12%5.85M
360.97%3.1M
360.97%3.1M
319.07%2.74M
191.75%2.12M
Liabilities
Current liabilities
Current debt and capital lease obligation
--40K
--40K
--40K
----
----
----
----
----
----
----
-Current debt
--40K
--40K
--40K
----
----
----
----
----
----
----
Current liabilities
80.00%348.4K
13.16%377.75K
13.16%377.75K
488.38%193.55K
161.14%219.32K
227.17%238.57K
-20.33%333.82K
-20.33%333.82K
-74.74%32.9K
17.56%83.99K
Non current liabilities
Long term debt and capital lease obligation
----
----
----
12.00%58.32K
12.01%56.7K
12.00%55.11K
68.00%53.57K
68.00%53.57K
30.19%52.08K
26.54%50.62K
-Long term debt
----
----
----
12.00%58.32K
12.01%56.7K
12.00%55.11K
68.00%53.57K
68.00%53.57K
30.19%52.08K
26.54%50.62K
Non current deferred liabilities
----
--0
--0
-79.88%514
-66.50%1.03K
-57.03%1.54K
--2.04K
--2.04K
--2.56K
--3.07K
Total non current liabilities
--0
--0
--0
7.70%58.84K
7.52%57.72K
7.32%56.65K
74.40%55.61K
74.40%55.61K
36.58%54.63K
34.22%53.69K
Total liabilities
38.04%348.4K
-3.00%377.75K
-3.00%377.75K
188.36%252.39K
101.24%277.05K
134.85%295.22K
-13.63%389.43K
-13.63%389.43K
-48.58%87.53K
23.54%137.67K
Shareholders'equity
Share capital
0.00%13.41M
31.85%13.41M
31.85%13.41M
38.08%13.41M
54.49%13.4M
59.24%13.37M
60.60%10.17M
60.60%10.17M
53.36%9.71M
36.90%8.67M
-common stock
0.00%13.41M
31.85%13.41M
31.85%13.41M
38.08%13.41M
54.49%13.4M
59.24%13.37M
60.60%10.17M
60.60%10.17M
53.36%9.71M
36.90%8.67M
Retained earnings
-27.24%-12.37M
-35.20%-10.77M
-35.20%-10.77M
-26.26%-9.72M
-26.82%-9.2M
-26.54%-8.66M
-24.39%-7.97M
-24.39%-7.97M
-27.94%-7.7M
-11.60%-7.26M
Paid-in capital
25.69%1.12M
101.26%1.02M
101.26%1.02M
47.84%891.35K
51.37%859.22K
91.32%815.8K
80.67%506.6K
80.67%506.6K
--602.92K
--567.64K
Other equity interest
----
----
----
----
----
--30K
----
----
-81.81%30K
----
Total stockholders'equity
-52.75%2.17M
34.99%3.66M
34.99%3.66M
73.04%4.59M
154.80%5.06M
180.87%5.55M
1,122.55%2.71M
1,122.55%2.71M
448.63%2.65M
222.19%1.98M
Total equity
-52.75%2.17M
34.99%3.66M
34.99%3.66M
73.04%4.59M
154.80%5.06M
180.87%5.55M
1,122.55%2.71M
1,122.55%2.71M
448.63%2.65M
222.19%1.98M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q3)Sep 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -55.57%1.67M72.32%3.51M72.32%3.51M88.36%3.76M204.01%4.22M239.75%4.78M10,036.74%2.04M10,036.74%2.04M12,451.09%2M3,752.00%1.39M
-Cash and cash equivalents -61.07%1.13M153.93%2.59M153.93%2.59M44.78%2.89M104.10%2.83M132.75%3.27M4,984.88%1.02M4,984.88%1.02M12,451.09%2M3,752.00%1.39M
-Short-term investments -37.30%545.7K-9.83%915.14K-9.83%915.14K--870.33K--1.39M--1.51M--1.01M--1.01M--------
Receivables -33.82%58.41K108.47%118.89K108.47%118.89K42.09%88.27K3.55%91.89K-27.16%42.39K663.66%57.03K663.66%57.03K1,344.70%62.12K1,331.75%88.74K
-Taxes receivable -33.82%58.41K108.47%118.89K108.47%118.89K42.09%88.27K3.55%91.89K-27.16%42.39K663.66%57.03K663.66%57.03K1,344.70%62.12K1,331.75%88.74K
Other current assets 96.89%78.35K-28.57%35.85K-28.57%35.85K-27.96%39.79K310.39%67.74K1,818.58%66.59K804.78%50.19K804.78%50.19K536.21%55.24K-69.61%16.51K
Total current assets -53.52%1.81M70.92%3.66M70.92%3.66M83.96%3.89M193.27%4.38M232.91%4.89M6,375.42%2.14M6,375.42%2.14M7,218.03%2.11M1,446.66%1.49M
Non current assets
Goodwill and other intangible assets -25.40%707.32K-60.93%374K-60.93%374K52.22%948.2K51.76%953.83K51.30%959.39K49.65%957.16K49.65%957.16K-0.21%622.9K-0.20%628.52K
-Other intangible assets -25.40%707.32K-60.93%374K-60.93%374K52.22%948.2K51.76%953.83K51.30%959.39K49.65%957.16K49.65%957.16K-0.21%622.9K-0.20%628.52K
Non current prepaid assets ---------------------------------0.49%202-78.74%202
Total non current assets -25.40%707.32K-60.93%374K-60.93%374K52.18%948.2K51.71%953.83K51.26%959.39K49.65%957.16K49.65%957.16K-0.21%623.1K-0.32%628.72K
Total assets -48.01%2.52M30.22%4.04M30.22%4.04M76.73%4.84M151.32%5.33M178.12%5.85M360.97%3.1M360.97%3.1M319.07%2.74M191.75%2.12M
Liabilities
Current liabilities
Current debt and capital lease obligation --40K--40K--40K----------------------------
-Current debt --40K--40K--40K----------------------------
Current liabilities 80.00%348.4K13.16%377.75K13.16%377.75K488.38%193.55K161.14%219.32K227.17%238.57K-20.33%333.82K-20.33%333.82K-74.74%32.9K17.56%83.99K
Non current liabilities
Long term debt and capital lease obligation ------------12.00%58.32K12.01%56.7K12.00%55.11K68.00%53.57K68.00%53.57K30.19%52.08K26.54%50.62K
-Long term debt ------------12.00%58.32K12.01%56.7K12.00%55.11K68.00%53.57K68.00%53.57K30.19%52.08K26.54%50.62K
Non current deferred liabilities ------0--0-79.88%514-66.50%1.03K-57.03%1.54K--2.04K--2.04K--2.56K--3.07K
Total non current liabilities --0--0--07.70%58.84K7.52%57.72K7.32%56.65K74.40%55.61K74.40%55.61K36.58%54.63K34.22%53.69K
Total liabilities 38.04%348.4K-3.00%377.75K-3.00%377.75K188.36%252.39K101.24%277.05K134.85%295.22K-13.63%389.43K-13.63%389.43K-48.58%87.53K23.54%137.67K
Shareholders'equity
Share capital 0.00%13.41M31.85%13.41M31.85%13.41M38.08%13.41M54.49%13.4M59.24%13.37M60.60%10.17M60.60%10.17M53.36%9.71M36.90%8.67M
-common stock 0.00%13.41M31.85%13.41M31.85%13.41M38.08%13.41M54.49%13.4M59.24%13.37M60.60%10.17M60.60%10.17M53.36%9.71M36.90%8.67M
Retained earnings -27.24%-12.37M-35.20%-10.77M-35.20%-10.77M-26.26%-9.72M-26.82%-9.2M-26.54%-8.66M-24.39%-7.97M-24.39%-7.97M-27.94%-7.7M-11.60%-7.26M
Paid-in capital 25.69%1.12M101.26%1.02M101.26%1.02M47.84%891.35K51.37%859.22K91.32%815.8K80.67%506.6K80.67%506.6K--602.92K--567.64K
Other equity interest ----------------------30K---------81.81%30K----
Total stockholders'equity -52.75%2.17M34.99%3.66M34.99%3.66M73.04%4.59M154.80%5.06M180.87%5.55M1,122.55%2.71M1,122.55%2.71M448.63%2.65M222.19%1.98M
Total equity -52.75%2.17M34.99%3.66M34.99%3.66M73.04%4.59M154.80%5.06M180.87%5.55M1,122.55%2.71M1,122.55%2.71M448.63%2.65M222.19%1.98M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------------Unqualified Opinion with Explanatory Notes------

Analysis

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