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TETE Financials

Balance sheets

Aug 31, 2024May 31, 2024Feb 29, 2024Nov 30, 2023Aug 31, 2023May 31, 2023Feb 28, 2023Nov 30, 2022Aug 31, 2022May 31, 2022Feb 28, 2022

Total Assets

$31.2 M(-12.0%)$35.5 M(+2.6%)$34.6 M(+2.5%)$33.8 M(+2.5%)$33.0 M(-2.4%)$33.8 M(+2.2%)$33.0 M(-72.1%)$118.5 M(+0.6%)$117.9 M(+0.3%)$117.5 M(+0.0%)$117.5 M

Current Assets

$101.7 K(+81.9%)$55.9 K(+898.2%)$5600.0(-64.8%)$15.9 K(-59.8%)$39.5 K(-41.0%)$67.0 K(-69.5%)$219.8 K(-55.3%)$491.3 K(-25.2%)$656.7 K(-3.3%)$679.2 K(-7.0%)$730.0 K

Non Current Assets

$31.1 M(-12.2%)$35.4 M(+2.5%)$34.6 M(+2.5%)$33.7 M(+2.5%)$32.9 M(-2.3%)$33.7 M(+2.7%)$32.8 M(-72.2%)$118.1 M(+0.7%)$117.2 M(+0.3%)$116.8 M(+0.1%)$116.7 M

Total Liabilities

$8.8 M(+4.9%)$8.4 M(+7.8%)$7.8 M(+8.6%)$7.2 M(+25.0%)$5.7 M(+14.2%)$5.0 M(+11.6%)$4.5 M(+8.7%)$4.1 M(+0.8%)$4.1 M(+0.7%)$4.1 M(+0.1%)$4.1 M

Current Liabilities

$4.8 M(+9.4%)$4.3 M(+16.1%)$3.7 M(+19.6%)$3.1 M(+84.3%)$1.7 M(+72.3%)$985.4 K(+112.8%)$463.1 K(+341.9%)$104.8 K(+47.2%)$71.2 K(+72.8%)$41.2 K(+6.5%)$38.7 K

Long Term Liabilities

$4.0 M(0%)$4.0 M(0%)$4.0 M(0%)$4.0 M(0%)$4.0 M(0%)$4.0 M(0%)$4.0 M(0%)$4.0 M(0%)$4.0 M(0%)$4.0 M(0%)$4.0 M

Shareholders Equity

$22.5 M(-17.2%)$27.1 M(+1.1%)$26.8 M(+0.8%)$26.6 M(-2.3%)$27.2 M(-5.3%)$28.7 M(+0.7%)$28.5 M(-75.0%)$114.4 M(+0.6%)$113.8 M(+0.3%)$113.4 M(+0.0%)$113.4 M

Book Value

$22.5 M(-17.2%)$27.1 M(+1.1%)$26.8 M(+0.8%)$26.6 M(-2.3%)$27.2 M(-5.3%)$28.7 M(+0.7%)$28.5 M(-75.0%)$114.4 M(+0.6%)$113.8 M(+0.3%)$113.4 M(+0.0%)$113.4 M

Working Capital

-$4.6 M(-8.4%)-$4.3 M(-14.8%)-$3.7 M(-20.0%)-$3.1 M(-87.7%)-$1.7 M(-80.5%)-$918.4 K(-277.5%)-$243.3 K(-162.9%)$386.5 K(-34.0%)$585.5 K(-8.2%)$638.0 K(-7.7%)$691.3 K

Cash And Cash Equivalents

$40.5 K(+864.3%)$4200.0(+281.8%)$1100.0(-88.9%)$9900.0(-74.9%)$39.5 K(-41.0%)$67.0 K(-67.8%)$207.8 K(-57.7%)$491.3 K(-25.2%)$656.7 K(-3.3%)$679.2 K(-7.0%)$730.0 K

Accounts Payable

$1.3 M(+4.4%)$1.2 M(+2.5%)$1.2 M(+2.5%)$1.2 M(+502.6%)$194.8 K(+18.2%)$164.8 K(+22.3%)$134.8 K(+28.6%)$104.8 K(+47.2%)$71.2 K(+72.8%)$41.2 K(+296.1%)$10.4 K

Accounts Receivable

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Short Term Debt

$3.5 M(+11.4%)$3.1 M(+22.6%)$2.5 M(+29.8%)$2.0 M(+30.1%)$1.5 M(+83.1%)$820.6 K(+150.0%)$328.2 K----

Long Term Debt

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Total Debt

$3.5 M(+11.4%)$3.1 M(+22.6%)$2.5 M(+29.8%)$2.0 M(+30.1%)$1.5 M(+83.1%)$820.6 K(+150.0%)$328.2 K(+100.0%)$0.0(0%)$0.0(0%)$0.0(0%)$0.0

Debt To Equity

0.1(+36.4%)0.1(+22.2%)0.1(+28.6%)0.1(+16.7%)0.1(+100.0%)0.0(+200.0%)0.0(+100.0%)0.0(0%)0.0(0%)0.0(0%)0.0

Current Ratio

0.0(+100.0%)0.0(+100.0%)0.0(-100.0%)0.0(-50.0%)0.0(-71.4%)0.1(-85.1%)0.5(-90.0%)4.7(-49.1%)9.2(-44.1%)16.5(-12.6%)18.9

Quick Ratio

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Inventory

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Retained Earnings

-$8.7 M(-4.4%)-$8.3 M(-7.1%)-$7.8 M(-8.7%)-$7.1 M(-25.6%)-$5.7 M(-15.0%)-$4.9 M(-15.8%)-$4.3 M(-17.3%)-$3.6 M(-5.8%)-$3.4 M(-4.3%)-$3.3 M(+1.1%)-$3.3 M

PB Ratio

3.2(+14.2%)2.8(+1.4%)2.8(+1.8%)2.7(+2.3%)2.7(+9.0%)2.4(+1.7%)2.4(+80.5%)1.3(+0.8%)1.3(+0.8%)1.3-

Income statements

Aug 31, 2024May 31, 2024Feb 29, 2024Nov 30, 2023Aug 31, 2023May 31, 2023Feb 28, 2023Nov 30, 2022Aug 31, 2022May 31, 2022Feb 28, 2022

EPS

$0.0(-40.0%)$0.1(+66.7%)$0.0(+131.0%)-$0.1(-584.5%)$0.0(-33.3%)$0.0(-25.0%)$0.0(-20.0%)$0.1(+150.0%)$0.0(+733.3%)$0.0(+112.0%)-$0.0

TTM EPS

$0.0(+322.6%)$0.0(+118.3%)-$0.0(-144.9%)-$0.0(-104.9%)$0.1(0%)$0.1(+24.6%)$0.1(+114.5%)$0.1(+2083.3%)$0.0(+113.6%)-$0.0(+12.0%)-$0.0

Revenue

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TTM Revenue

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Total Expenses

$208.0 K(+38.0%)$150.7 K(-31.6%)$220.2 K(-79.1%)$1.1 M(+242.3%)$307.5 K(+68.3%)$182.7 K(-39.4%)$301.5 K(+51.4%)$199.1 K(+279.2%)$52.5 K(-1.5%)$53.3 K(-72.8%)$196.1 K

Operating Expenses

$208.0 K(+38.0%)$150.7 K(-31.6%)$220.2 K(-79.1%)$1.1 M(+242.3%)$307.5 K(+68.3%)$182.7 K(-39.4%)$301.5 K(+51.4%)$199.1 K(+279.2%)$52.5 K(-1.5%)$53.3 K(-72.8%)$196.1 K

Cost Of Goods Sold

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TTM Cost Of Goods Sold

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Gross Profit

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TTM Gross Profit

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Gross Margin

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Operating Profit

-$208.0 K(-38.0%)-$150.7 K(+31.6%)-$220.2 K(+79.1%)-$1.1 M(-242.3%)-$307.5 K(-68.3%)-$182.7 K(+39.4%)-$301.5 K(-51.4%)-$199.1 K(-279.2%)-$52.5 K(+1.5%)-$53.3 K(+72.8%)-$196.1 K

TTM Operating Profit

-$1.6 M(+5.8%)-$1.7 M(+1.8%)-$1.8 M(+4.4%)-$1.8 M(-86.1%)-$990.8 K(-34.7%)-$735.8 K(-21.3%)-$606.4 K(-21.0%)-$501.0 K(-66.0%)-$301.9 K(-21.1%)-$249.4 K(-27.2%)-$196.1 K

Operating Margin

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Net Income

$200.5 K(-33.9%)$303.4 K(+37.8%)$220.2 K(+135.6%)-$618.9 K(-632.6%)$116.2 K(-41.6%)$199.0 K(-58.8%)$483.2 K(-25.6%)$649.6 K(+93.5%)$335.7 K(+824.8%)$36.3 K(+118.6%)-$195.6 K

TTM Net Income

$105.2 K(+403.4%)$20.9 K(+125.0%)-$83.5 K(-146.5%)$179.5 K(-87.6%)$1.4 M(-13.2%)$1.7 M(+10.8%)$1.5 M(+82.2%)$826.0 K(+368.3%)$176.4 K(+210.7%)-$159.3 K(+18.6%)-$195.6 K

Net Margin

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EBIT

-$208.0 K(-38.0%)-$150.7 K(+31.6%)-$220.2 K(+79.1%)-$1.1 M(-242.3%)-$307.5 K(-68.3%)-$182.7 K(+39.4%)-$301.5 K(-51.4%)-$199.1 K(-279.2%)-$52.5 K(+1.5%)-$53.3 K(+72.8%)-$196.1 K

TTM EBIT

-$1.6 M(+5.8%)-$1.7 M(+1.8%)-$1.8 M(+4.4%)-$1.8 M(-86.1%)-$990.8 K(-34.7%)-$735.8 K(-21.3%)-$606.4 K(-21.0%)-$501.0 K(-66.0%)-$301.9 K(-21.1%)-$249.4 K(-27.2%)-$196.1 K

EBITDA

-$208.0 K(-38.0%)-$150.7 K(+31.6%)-$220.2 K(+79.1%)-$1.1 M(-242.3%)-$307.5 K(-68.3%)-$182.7 K(+39.4%)-$301.5 K(-51.4%)-$199.1 K(-279.2%)-$52.5 K(+1.5%)-$53.3 K(+72.8%)-$196.1 K

TTM EBITDA

-$1.6 M(+5.8%)-$1.7 M(+1.8%)-$1.8 M(+4.4%)-$1.8 M(-86.1%)-$990.8 K(-34.7%)-$735.8 K(-21.3%)-$606.4 K(-21.0%)-$501.0 K(-66.0%)-$301.9 K(-21.1%)-$249.4 K(-27.2%)-$196.1 K

Selling, General & Administrative Expenses

-------$199.1 K(+279.2%)$52.5 K--

TTM SGA

-------$251.6 K(+379.2%)$52.5 K--

Depreciation And Amortization

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TTM D&A

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Interest Expense

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TTM Interest Expense

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Income Tax

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TTM Income Tax

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PE Ratio

922.1(-76.1%)3851.6--81.1(+5.8%)76.6(-18.0%)93.4(-52.2%)195.4(-95.3%)4189.6--

PS Ratio

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Cashflow statements

Aug 31, 2024May 31, 2024Feb 29, 2024Nov 30, 2023Aug 31, 2023May 31, 2023Feb 28, 2023Nov 30, 2022Aug 31, 2022May 31, 2022Feb 28, 2022

Cash From Operations

-$163.7 K(+2.5%)-$167.9 K(+11.1%)-$188.8 K(-137.2%)-$79.6 K(+71.3%)-$277.5 K(-97.2%)-$140.7 K(+50.4%)-$283.5 K(-71.4%)-$165.4 K(-635.1%)-$22.5 K(+55.7%)-$50.8 K(+68.7%)-$162.2 K

TTM CFO

-$600.0 K(+15.9%)-$713.8 K(-4.0%)-$686.6 K(+12.1%)-$781.3 K(+9.9%)-$867.1 K(-41.7%)-$612.1 K(-17.2%)-$522.2 K(-30.3%)-$400.9 K(-70.2%)-$235.5 K(-10.6%)-$213.0 K(-31.3%)-$162.2 K

Cash From Investing

$4.7 M(+1274.0%)-$401.9 K(0%)-$401.9 K(0%)-$401.9 K(-133.6%)$1.2 M(+342.6%)-$492.4 K(-100.6%)$86.0 M(+100.0%)$0.0(0%)$0.0(0%)$0.0(+100.0%)-$116.7 M

TTM CFI

$3.5 M(+32033.6%)-$11.0 K(+89.2%)-$101.5 K(-100.1%)$86.3 M(-0.5%)$86.7 M(+1.4%)$85.5 M(-0.6%)$86.0 M(+173.7%)-$116.7 M(0%)-$116.7 M(0%)-$116.7 M(0%)-$116.7 M

Cash From Financing

-$4.5 M(-888.7%)$572.9 K(-1.6%)$581.9 K(+28.8%)$451.9 K(+147.8%)-$944.7 K(-291.9%)$492.4 K(+100.6%)-$86.0 M(-100.0%)$0.0(0%)$0.0(0%)$0.0(-100.0%)$117.6 M

TTM CFF

-$2.9 M(-539.8%)$662.0 K(+13.8%)$581.5 K(+100.7%)-$86.0 M(+0.5%)-$86.5 M(-1.1%)-$85.5 M(+0.6%)-$86.0 M(-173.1%)$117.6 M(0%)$117.6 M(0%)$117.6 M(0%)$117.6 M

Free Cash Flow

-$163.7 K(+2.5%)-$167.9 K(+11.1%)-$188.8 K(-137.2%)-$79.6 K(+71.3%)-$277.5 K(-97.2%)-$140.7 K(+50.4%)-$283.5 K(-71.4%)-$165.4 K(-635.1%)-$22.5 K(+55.7%)-$50.8 K(+68.7%)-$162.2 K

TTM FCF

-$600.0 K(+15.9%)-$713.8 K(-4.0%)-$686.6 K(+12.1%)-$781.3 K(+9.9%)-$867.1 K(-41.7%)-$612.1 K(-17.2%)-$522.2 K(-30.3%)-$400.9 K(-70.2%)-$235.5 K(-10.6%)-$213.0 K(-31.3%)-$162.2 K

CAPEX

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TTM CAPEX

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Dividends Paid

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TTM Dividends Paid

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TTM Dividend Per Share

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TTM Dividend Yield

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Payout Ratio

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