0.0070
+0.0005
+(7.69%)
At close: January 24 at 8:01:10 AM GMT+1
Breakdown
TTM
2/29/2024
2/28/2023
2/28/2022
2/28/2021
Cost of Revenue
--
--
17.7780
27.3500
9.2070
Gross Profit
--
--
-17.7780
-27.3500
-9.2070
Operating Expense
3,302.6680
3,461.9360
6,014.0700
2,649.5480
1,073.1050
Operating Income
-3,302.6680
-3,461.9360
-6,031.8480
-2,676.8980
-1,082.3120
Net Non Operating Interest Income Expense
-17.3080
-16.2100
-17.5250
-17.2000
-5.4410
Other Income Expense
9.6670
14.7610
-6,954.9340
-13.0540
-4.2130
Pretax Income
-3,310.3090
-3,463.3850
-13,004.3070
-2,707.1520
-1,091.9660
Net Income Common Stockholders
-3,310.3090
-3,463.3850
-13,004.3070
-2,707.1520
-1,091.9660
Diluted NI Available to Com Stockholders
-3,310.3090
-3,463.3850
-13,004.3070
-2,707.1520
-1,091.9660
Basic EPS
-0.01
-0.01
-0.06
-0.02
-0.01
Diluted EPS
-0.01
-0.01
-0.06
-0.02
-0.01
Basic Average Shares
289,306.3170
257,757.1340
207,679.0750
137,339.8380
99,503.0930
Diluted Average Shares
289,306.3170
257,757.1340
207,679.0750
137,339.8380
99,503.0930
Total Expenses
3,302.6680
3,461.9360
6,031.8480
2,676.8980
1,082.3120
Interest Income
--
--
--
0.0080
0.0240
Interest Expense
--
--
0.3100
1.5110
0.7790
Net Interest Income
-17.3080
-16.2100
-17.5250
-17.2000
-5.4410
Net Income from Continuing & Discontinued Operation
-3,310.3090
-3,463.3850
-13,004.3070
-2,707.1520
-1,091.9660
Normalized Income
-3,319.9760
-3,478.1460
-6,049.3730
-2,694.0980
-1,087.7530
EBIT
-3,304.1170
-3,463.3850
-13,003.9970
-2,705.6410
-1,091.1870
EBITDA
-3,304.1170
-3,463.3850
-12,986.2190
-2,678.2910
-1,081.9800
Reconciled Cost of Revenue
--
--
17.7780
27.3500
9.2070
Reconciled Depreciation
--
--
17.7780
27.3500
9.2070
Net Income from Continuing Operation Net Minority Interest
-3,310.3090
-3,463.3850
-13,004.3070
-2,707.1520
-1,091.9660
Total Unusual Items Excluding Goodwill
9.6670
14.7610
-6,954.9340
-13.0540
-4.2130
Total Unusual Items
9.6670
14.7610
-6,954.9340
-13.0540
-4.2130
Normalized EBITDA
-3,313.7840
-3,478.1460
-6,031.2850
-2,665.2370
-1,077.7670
2/28/2021 - 11/29/2010
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