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NTIC Northern Technologies International

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  • 7.403
  • -0.048-0.64%
Trading May 1 11:09 ET
70.13MMarket Cap19.48P/E (TTM)

Northern Technologies International Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Feb 28, 2025
(Q1)Nov 30, 2024
(FY)Aug 31, 2024
(Q4)Aug 31, 2024
(Q3)May 31, 2024
(Q2)Feb 29, 2024
(Q1)Nov 30, 2023
(FY)Aug 31, 2023
(Q4)Aug 31, 2023
(Q3)May 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-68.68%803.67K
-22.16%2.4M
6.17%5.88M
-183.56%-1.7M
49.19%1.94M
1,168.53%2.57M
53.65%3.08M
383.49%5.54M
422.05%2.04M
481.93%1.3M
Net income from continuing operations
-67.75%602.63K
-26.80%794.15K
49.17%6.32M
19.79%2.21M
-6.60%1.16M
259.29%1.87M
71.21%1.08M
-41.03%4.24M
92.93%1.85M
2.17%1.24M
Operating gains losses
49.31%-597.13K
-2.48%-1.13M
34.64%-4.22M
80.40%-546.33K
-3.72%-1.4M
-3.58%-1.18M
7.33%-1.1M
25.54%-6.46M
-162.09%-2.79M
1.31%-1.35M
Depreciation and amortization
-6.48%409.6K
-8.75%414.88K
7.49%1.75M
0.57%425.67K
2.54%434.77K
17.41%437.96K
10.71%454.67K
3.99%1.63M
13.85%423.27K
-5.77%423.98K
Deferred tax
156.43%32.7K
48.39%22.76K
14.87%-336.25K
7.13%-296.16K
-1,046.25%-68.18K
180.77%12.75K
128.20%15.34K
-384.66%-395K
-36.35%-318.89K
-145.63%-5.95K
Other non cash items
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---1
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Change In working capital
29.80%-659.31K
2.57%1.95M
-227.68%-1.78M
-1,275.30%-3.64M
47.06%904.9K
-215.94%-939.23K
262.54%1.9M
90.25%-542.15K
132.52%310.08K
149.49%615.31K
-Change in receivables
162.55%497.26K
0.94%2.59M
61.08%-1.28M
-9.31%-3.65M
-38.27%593.65K
10.82%-794.96K
12,483.63%2.57M
-53.70%-3.29M
-386.46%-3.34M
158.86%961.63K
-Change in inventory
-1,902.39%-773.37K
-113.93%-73.22K
-144.02%-1.33M
-246.50%-1.14M
-160.86%-765.71K
-10.35%42.91K
-44.60%525.56K
162.89%3.03M
128.47%775.91K
214.07%1.26M
-Change in prepaid assets
-51.77%182.08K
-12.67%-1.05M
6.98%308.06K
375.99%492.43K
588.55%367.37K
-26.27%377.51K
-268.31%-929.25K
9,156.51%287.97K
-83.80%103.45K
-115.02%-75.2K
-Change in payables and accrued expense
-0.11%-565.28K
280.08%476.53K
192.62%529.58K
-76.55%649.31K
146.40%709.58K
-1,749.39%-564.68K
85.66%-264.62K
-140.99%-571.76K
52.20%2.77M
-254.02%-1.53M
Cash from discontinued investing activities
Operating cash flow
-68.68%803.68K
-22.16%2.4M
6.17%5.88M
-183.56%-1.7M
49.19%1.94M
1,168.53%2.57M
53.65%3.08M
383.49%5.54M
422.05%2.04M
481.93%1.3M
Investing cash flow
Cash flow from continuing investing activities
-22.21%-1.32M
-196.87%-1.26M
-2.25%-3.42M
-22.98%-817.05K
-44.99%-1.1M
26.38%-1.08M
6.54%-423.87K
52.97%-3.34M
-15.12%-664.38K
-2.33%-755.41K
Net PPE purchase and sale
150.38%530.55K
-212.14%-1.22M
-1.96%-3.3M
-22.38%-782.82K
-45.57%-1.07M
27.37%-1.05M
4.49%-390.73K
-116.12%-3.23M
-19.57%-639.66K
-114.50%-736.09K
Net intangibles purchase and sale
-6,284.50%-1.85M
-16.83%-38.72K
-5.35%-120.16K
-38.53%-34.23K
-22.95%-23.76K
-13.47%-29.02K
25.43%-33.14K
44.94%-114.06K
41.38%-24.71K
63.32%-19.33K
Net investment purchase and sale
----
----
--0
--0
----
----
----
684.73%5.59K
--0
--0
Cash from discontinued investing activities
Investing cash flow
-22.21%-1.32M
-196.87%-1.26M
-2.25%-3.42M
-22.98%-817.05K
-44.99%-1.1M
26.38%-1.08M
6.54%-423.87K
52.97%-3.34M
-15.12%-664.38K
-2.33%-755.41K
Financing cash flow
Cash flow from continuing financing activities
102.66%73K
80.53%-393.34K
-43.99%-2.96M
176.34%1.63M
-9.64%174.73K
-543.19%-2.74M
-176.54%-2.02M
-164.42%-2.05M
-485.67%-2.14M
227.46%193.38K
Net issuance payments of debt
146.25%835.93K
137.85%227.12K
34.95%691.61K
243.95%2.3M
-12.80%795.74K
-209.54%-1.81M
-33.33%-600K
-91.31%512.5K
-233.33%-1.6M
82.50%912.5K
Cash dividends paid
-0.45%-662.94K
-0.46%-662.94K
-0.68%-2.64M
-0.65%-661.55K
-0.76%-660.88K
-0.65%-659.93K
-0.65%-659.93K
-1.68%-2.62M
-1.70%-657.28K
-1.49%-655.89K
Proceeds from stock option exercised by employees
--0
5.92%42.47K
-65.19%248.49K
-23.99%168.52K
8.44%39.87K
--0
-91.19%40.1K
162.13%713.73K
--221.71K
-61.11%36.77K
Net other financing activities
----
----
-91.45%-1.26M
-80.00%-180K
--0
26.76%-275.08K
-900.00%-800K
-62.78%-655.57K
---100K
0.00%-100K
Cash from discontinued financing activities
Financing cash flow
102.66%73K
80.53%-393.34K
-43.99%-2.96M
176.34%1.63M
-9.64%174.73K
-543.19%-2.74M
-176.54%-2.02M
-164.42%-2.05M
-485.67%-2.14M
227.46%193.38K
Net cash flow
Beginning cash position
-8.60%5.57M
-8.40%4.95M
1.36%5.41M
-6.46%5.79M
-11.30%4.84M
0.46%6.09M
1.36%5.41M
-30.55%5.33M
1.17%6.2M
-27.20%5.45M
Current changes in cash
64.58%-445.75K
17.40%743.39K
-441.18%-492.32K
-16.09%-887.57K
38.09%1.02M
-93.97%-1.26M
-22.65%633.19K
105.20%144.3K
-16.65%-764.53K
160.05%738.94K
Effect of exchange rate changes
-4,713.53%-33.45K
-329.98%-125.74K
153.22%38.33K
283.46%44.93K
-1,276.81%-60.58K
-102.07%-695
163.44%54.67K
-116.87%-72.01K
81.72%-24.49K
103.84%5.15K
End cash Position
5.29%5.09M
-8.60%5.57M
-8.40%4.95M
-8.40%4.95M
-6.46%5.79M
-11.30%4.84M
0.46%6.09M
1.36%5.41M
1.36%5.41M
1.17%6.2M
Free cash flow
-136.30%-538.75K
-57.15%1.14M
13.10%2.46M
-283.64%-2.52M
55.01%845.65K
215.39%1.48M
71.27%2.65M
490.77%2.18M
213.39%1.37M
174.07%545.56K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Feb 28, 2025(Q1)Nov 30, 2024(FY)Aug 31, 2024(Q4)Aug 31, 2024(Q3)May 31, 2024(Q2)Feb 29, 2024(Q1)Nov 30, 2023(FY)Aug 31, 2023(Q4)Aug 31, 2023(Q3)May 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -68.68%803.67K-22.16%2.4M6.17%5.88M-183.56%-1.7M49.19%1.94M1,168.53%2.57M53.65%3.08M383.49%5.54M422.05%2.04M481.93%1.3M
Net income from continuing operations -67.75%602.63K-26.80%794.15K49.17%6.32M19.79%2.21M-6.60%1.16M259.29%1.87M71.21%1.08M-41.03%4.24M92.93%1.85M2.17%1.24M
Operating gains losses 49.31%-597.13K-2.48%-1.13M34.64%-4.22M80.40%-546.33K-3.72%-1.4M-3.58%-1.18M7.33%-1.1M25.54%-6.46M-162.09%-2.79M1.31%-1.35M
Depreciation and amortization -6.48%409.6K-8.75%414.88K7.49%1.75M0.57%425.67K2.54%434.77K17.41%437.96K10.71%454.67K3.99%1.63M13.85%423.27K-5.77%423.98K
Deferred tax 156.43%32.7K48.39%22.76K14.87%-336.25K7.13%-296.16K-1,046.25%-68.18K180.77%12.75K128.20%15.34K-384.66%-395K-36.35%-318.89K-145.63%-5.95K
Other non cash items -------1--------------------------------
Change In working capital 29.80%-659.31K2.57%1.95M-227.68%-1.78M-1,275.30%-3.64M47.06%904.9K-215.94%-939.23K262.54%1.9M90.25%-542.15K132.52%310.08K149.49%615.31K
-Change in receivables 162.55%497.26K0.94%2.59M61.08%-1.28M-9.31%-3.65M-38.27%593.65K10.82%-794.96K12,483.63%2.57M-53.70%-3.29M-386.46%-3.34M158.86%961.63K
-Change in inventory -1,902.39%-773.37K-113.93%-73.22K-144.02%-1.33M-246.50%-1.14M-160.86%-765.71K-10.35%42.91K-44.60%525.56K162.89%3.03M128.47%775.91K214.07%1.26M
-Change in prepaid assets -51.77%182.08K-12.67%-1.05M6.98%308.06K375.99%492.43K588.55%367.37K-26.27%377.51K-268.31%-929.25K9,156.51%287.97K-83.80%103.45K-115.02%-75.2K
-Change in payables and accrued expense -0.11%-565.28K280.08%476.53K192.62%529.58K-76.55%649.31K146.40%709.58K-1,749.39%-564.68K85.66%-264.62K-140.99%-571.76K52.20%2.77M-254.02%-1.53M
Cash from discontinued investing activities
Operating cash flow -68.68%803.68K-22.16%2.4M6.17%5.88M-183.56%-1.7M49.19%1.94M1,168.53%2.57M53.65%3.08M383.49%5.54M422.05%2.04M481.93%1.3M
Investing cash flow
Cash flow from continuing investing activities -22.21%-1.32M-196.87%-1.26M-2.25%-3.42M-22.98%-817.05K-44.99%-1.1M26.38%-1.08M6.54%-423.87K52.97%-3.34M-15.12%-664.38K-2.33%-755.41K
Net PPE purchase and sale 150.38%530.55K-212.14%-1.22M-1.96%-3.3M-22.38%-782.82K-45.57%-1.07M27.37%-1.05M4.49%-390.73K-116.12%-3.23M-19.57%-639.66K-114.50%-736.09K
Net intangibles purchase and sale -6,284.50%-1.85M-16.83%-38.72K-5.35%-120.16K-38.53%-34.23K-22.95%-23.76K-13.47%-29.02K25.43%-33.14K44.94%-114.06K41.38%-24.71K63.32%-19.33K
Net investment purchase and sale ----------0--0------------684.73%5.59K--0--0
Cash from discontinued investing activities
Investing cash flow -22.21%-1.32M-196.87%-1.26M-2.25%-3.42M-22.98%-817.05K-44.99%-1.1M26.38%-1.08M6.54%-423.87K52.97%-3.34M-15.12%-664.38K-2.33%-755.41K
Financing cash flow
Cash flow from continuing financing activities 102.66%73K80.53%-393.34K-43.99%-2.96M176.34%1.63M-9.64%174.73K-543.19%-2.74M-176.54%-2.02M-164.42%-2.05M-485.67%-2.14M227.46%193.38K
Net issuance payments of debt 146.25%835.93K137.85%227.12K34.95%691.61K243.95%2.3M-12.80%795.74K-209.54%-1.81M-33.33%-600K-91.31%512.5K-233.33%-1.6M82.50%912.5K
Cash dividends paid -0.45%-662.94K-0.46%-662.94K-0.68%-2.64M-0.65%-661.55K-0.76%-660.88K-0.65%-659.93K-0.65%-659.93K-1.68%-2.62M-1.70%-657.28K-1.49%-655.89K
Proceeds from stock option exercised by employees --05.92%42.47K-65.19%248.49K-23.99%168.52K8.44%39.87K--0-91.19%40.1K162.13%713.73K--221.71K-61.11%36.77K
Net other financing activities ---------91.45%-1.26M-80.00%-180K--026.76%-275.08K-900.00%-800K-62.78%-655.57K---100K0.00%-100K
Cash from discontinued financing activities
Financing cash flow 102.66%73K80.53%-393.34K-43.99%-2.96M176.34%1.63M-9.64%174.73K-543.19%-2.74M-176.54%-2.02M-164.42%-2.05M-485.67%-2.14M227.46%193.38K
Net cash flow
Beginning cash position -8.60%5.57M-8.40%4.95M1.36%5.41M-6.46%5.79M-11.30%4.84M0.46%6.09M1.36%5.41M-30.55%5.33M1.17%6.2M-27.20%5.45M
Current changes in cash 64.58%-445.75K17.40%743.39K-441.18%-492.32K-16.09%-887.57K38.09%1.02M-93.97%-1.26M-22.65%633.19K105.20%144.3K-16.65%-764.53K160.05%738.94K
Effect of exchange rate changes -4,713.53%-33.45K-329.98%-125.74K153.22%38.33K283.46%44.93K-1,276.81%-60.58K-102.07%-695163.44%54.67K-116.87%-72.01K81.72%-24.49K103.84%5.15K
End cash Position 5.29%5.09M-8.60%5.57M-8.40%4.95M-8.40%4.95M-6.46%5.79M-11.30%4.84M0.46%6.09M1.36%5.41M1.36%5.41M1.17%6.2M
Free cash flow -136.30%-538.75K-57.15%1.14M13.10%2.46M-283.64%-2.52M55.01%845.65K215.39%1.48M71.27%2.65M490.77%2.18M213.39%1.37M174.07%545.56K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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