US Stock MarketDetailed Quotes

AKEMF ALASKA ENERGY METALS CORP

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  • 0.214
  • +0.011+5.60%
15min DelayClose Jul 23 16:00 ET
19.59MMarket Cap-1014P/E (TTM)

ALASKA ENERGY METALS CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
12.72%2.26M
104.08%4.38M
104.08%4.38M
44.83%4.52M
-30.00%1.55M
-43.37%2.01M
4.35%2.15M
4.35%2.15M
2.98%3.12M
-41.78%2.21M
-Cash and cash equivalents
1,552.13%1.96M
895.43%3.94M
895.43%3.94M
250.74%3.86M
35.69%918.3K
-74.04%118.4K
-50.38%395.74K
-50.38%395.74K
-41.54%1.1M
-72.11%676.77K
-Short-term investments
-83.74%307.25K
-74.87%439.84K
-74.87%439.84K
-67.29%660.32K
-58.95%630.52K
-38.84%1.89M
39.03%1.75M
39.03%1.75M
75.97%2.02M
11.75%1.54M
Receivables
2.91%84.78K
-46.22%84.92K
-46.22%84.92K
7.55%154.33K
73.03%114.55K
-63.82%82.38K
-36.34%157.9K
-36.34%157.9K
-49.70%143.49K
-31.99%66.2K
-Accounts receivable
316.92%84.78K
-19.51%84.92K
-19.51%84.92K
-32.95%63.45K
73.18%42.9K
-89.26%20.34K
-50.75%105.51K
-50.75%105.51K
-66.83%94.62K
-74.55%24.77K
-Taxes receivable
----
--0
--0
85.97%90.89K
72.94%71.65K
61.78%62.05K
54.92%52.4K
54.92%52.4K
--48.87K
--41.43K
Prepaid assets
1,201.90%702.59K
1,405.55%697.76K
1,405.55%697.76K
153.75%356.94K
80.78%280.89K
-64.53%53.97K
-76.44%46.35K
-76.44%46.35K
175.80%140.67K
109.51%155.38K
Total current assets
42.27%3.05M
119.65%5.16M
119.65%5.16M
47.76%5.03M
-20.13%1.94M
-45.38%2.14M
-6.04%2.35M
-6.04%2.35M
1.14%3.4M
-38.72%2.43M
Non current assets
Net PPE
377.09%18.22M
342.89%17.42M
342.89%17.42M
190.87%11.45M
52.91%5.23M
21.46%3.82M
-8.82%3.93M
-8.82%3.93M
-7.59%3.94M
-9.58%3.42M
-Gross PPE
377.09%18.22M
342.89%17.42M
342.89%17.42M
190.87%11.45M
52.91%5.23M
21.46%3.82M
-8.82%3.93M
-8.82%3.93M
-7.59%3.94M
-9.58%3.42M
Non current prepaid assets
--108.32K
----
----
----
----
----
----
----
----
----
Total non current assets
379.93%18.33M
342.89%17.42M
342.89%17.42M
190.87%11.45M
52.91%5.23M
21.46%3.82M
-8.82%3.93M
-8.82%3.93M
-7.59%3.94M
-9.58%3.42M
Total assets
258.52%21.38M
259.39%22.58M
259.39%22.58M
124.51%16.47M
22.53%7.17M
-15.65%5.96M
-7.80%6.28M
-7.80%6.28M
-3.74%7.34M
-24.51%5.85M
Liabilities
Current liabilities
Payables
81.21%642.88K
101.90%694K
101.90%694K
107.46%883.98K
68.58%906.81K
-14.67%354.77K
-24.05%343.74K
-24.05%343.74K
62.23%426.09K
58.09%537.92K
-accounts payable
167.28%582.8K
210.62%666.33K
210.62%666.33K
180.39%842.48K
66.16%714.82K
-36.04%218.05K
-45.98%214.52K
-45.98%214.52K
44.49%300.46K
39.01%430.2K
-Due to related parties current
-56.06%60.08K
-78.59%27.67K
-78.59%27.67K
-66.97%41.5K
78.24%191.99K
82.66%136.72K
132.85%129.22K
132.85%129.22K
129.69%125.63K
249.92%107.72K
Current debt and capital lease obligation
-94.53%28.63K
-95.01%26.07K
-95.01%26.07K
40.52%23.51K
-38.30%23.51K
810.76%523.5K
561.72%522.54K
561.72%522.54K
-79.16%16.73K
-50.86%38.1K
-Current debt
----
----
----
----
----
--500K
--500K
--500K
----
----
-Current capital lease obligation
21.82%28.63K
15.64%26.07K
15.64%26.07K
40.52%23.51K
-38.30%23.51K
-59.12%23.5K
-71.45%22.54K
-71.45%22.54K
-79.16%16.73K
-50.86%38.1K
Other current liabilities
109.32%250K
84.85%250K
84.85%250K
--111.51K
--108.8K
--119.44K
--135.24K
--135.24K
----
----
Current liabilities
-7.64%921.5K
-3.14%970.07K
-3.14%970.07K
130.12%1.02M
80.40%1.04M
110.83%997.7K
88.42%1M
88.42%1M
-47.45%442.82K
37.87%576.02K
Non current liabilities
Long term debt and capital lease obligation
-58.59%20.21K
-49.45%27.89K
-49.45%27.89K
--36.81K
-91.63%41.88K
--48.79K
--55.17K
--55.17K
----
41.73%500K
-Long term debt
----
----
----
----
----
----
----
----
----
58.29%500K
-Long term capital lease obligation
-58.59%20.21K
-49.45%27.89K
-49.45%27.89K
--36.81K
--41.88K
--48.79K
--55.17K
--55.17K
----
----
Total non current liabilities
-58.59%20.21K
-49.45%27.89K
-49.45%27.89K
-92.64%36.81K
-91.63%41.88K
--48.79K
--55.17K
--55.17K
3,018.96%500K
41.73%500K
Total liabilities
-10.01%941.71K
-5.56%997.96K
-5.56%997.96K
11.98%1.06M
0.46%1.08M
121.14%1.05M
98.80%1.06M
98.80%1.06M
9.80%942.82K
39.63%1.08M
Shareholders'equity
Share capital
48.53%70.21M
48.52%70.21M
48.52%70.21M
25.42%59.3M
5.06%49.63M
0.30%47.27M
0.44%47.27M
0.44%47.27M
0.14%47.28M
0.04%47.23M
-common stock
48.53%70.21M
48.52%70.21M
48.52%70.21M
25.42%59.3M
5.06%49.63M
0.30%47.27M
0.44%47.27M
0.44%47.27M
0.14%47.28M
0.04%47.23M
Retained earnings
-26.20%-61.67M
-20.14%-58.38M
-20.14%-58.38M
-10.88%-52.83M
-2.88%-50.27M
-4.47%-48.87M
-3.63%-48.59M
-3.63%-48.59M
-2.85%-47.65M
-6.22%-48.86M
Gains losses not affecting retained earnings
647.62%394.8K
670.22%180.66K
670.22%180.66K
-33.62%137.37K
84.07%-21.98K
73.72%-72.09K
90.56%-31.68K
90.56%-31.68K
150.76%206.93K
72.34%-138.02K
Other equity interest
74.66%11.5M
45.56%9.57M
45.56%9.57M
34.45%8.81M
3.29%6.75M
1.03%6.59M
2.14%6.57M
2.14%6.57M
4.32%6.56M
4.38%6.54M
Total stockholders'equity
315.67%20.44M
312.96%21.58M
312.96%21.58M
141.10%15.42M
27.50%6.09M
-25.46%4.92M
-16.82%5.23M
-16.82%5.23M
-5.46%6.39M
-31.59%4.78M
Total equity
315.67%20.44M
312.96%21.58M
312.96%21.58M
141.10%15.42M
27.50%6.09M
-25.46%4.92M
-16.82%5.23M
-16.82%5.23M
-5.46%6.39M
-31.59%4.78M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
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(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 12.72%2.26M104.08%4.38M104.08%4.38M44.83%4.52M-30.00%1.55M-43.37%2.01M4.35%2.15M4.35%2.15M2.98%3.12M-41.78%2.21M
-Cash and cash equivalents 1,552.13%1.96M895.43%3.94M895.43%3.94M250.74%3.86M35.69%918.3K-74.04%118.4K-50.38%395.74K-50.38%395.74K-41.54%1.1M-72.11%676.77K
-Short-term investments -83.74%307.25K-74.87%439.84K-74.87%439.84K-67.29%660.32K-58.95%630.52K-38.84%1.89M39.03%1.75M39.03%1.75M75.97%2.02M11.75%1.54M
Receivables 2.91%84.78K-46.22%84.92K-46.22%84.92K7.55%154.33K73.03%114.55K-63.82%82.38K-36.34%157.9K-36.34%157.9K-49.70%143.49K-31.99%66.2K
-Accounts receivable 316.92%84.78K-19.51%84.92K-19.51%84.92K-32.95%63.45K73.18%42.9K-89.26%20.34K-50.75%105.51K-50.75%105.51K-66.83%94.62K-74.55%24.77K
-Taxes receivable ------0--085.97%90.89K72.94%71.65K61.78%62.05K54.92%52.4K54.92%52.4K--48.87K--41.43K
Prepaid assets 1,201.90%702.59K1,405.55%697.76K1,405.55%697.76K153.75%356.94K80.78%280.89K-64.53%53.97K-76.44%46.35K-76.44%46.35K175.80%140.67K109.51%155.38K
Total current assets 42.27%3.05M119.65%5.16M119.65%5.16M47.76%5.03M-20.13%1.94M-45.38%2.14M-6.04%2.35M-6.04%2.35M1.14%3.4M-38.72%2.43M
Non current assets
Net PPE 377.09%18.22M342.89%17.42M342.89%17.42M190.87%11.45M52.91%5.23M21.46%3.82M-8.82%3.93M-8.82%3.93M-7.59%3.94M-9.58%3.42M
-Gross PPE 377.09%18.22M342.89%17.42M342.89%17.42M190.87%11.45M52.91%5.23M21.46%3.82M-8.82%3.93M-8.82%3.93M-7.59%3.94M-9.58%3.42M
Non current prepaid assets --108.32K------------------------------------
Total non current assets 379.93%18.33M342.89%17.42M342.89%17.42M190.87%11.45M52.91%5.23M21.46%3.82M-8.82%3.93M-8.82%3.93M-7.59%3.94M-9.58%3.42M
Total assets 258.52%21.38M259.39%22.58M259.39%22.58M124.51%16.47M22.53%7.17M-15.65%5.96M-7.80%6.28M-7.80%6.28M-3.74%7.34M-24.51%5.85M
Liabilities
Current liabilities
Payables 81.21%642.88K101.90%694K101.90%694K107.46%883.98K68.58%906.81K-14.67%354.77K-24.05%343.74K-24.05%343.74K62.23%426.09K58.09%537.92K
-accounts payable 167.28%582.8K210.62%666.33K210.62%666.33K180.39%842.48K66.16%714.82K-36.04%218.05K-45.98%214.52K-45.98%214.52K44.49%300.46K39.01%430.2K
-Due to related parties current -56.06%60.08K-78.59%27.67K-78.59%27.67K-66.97%41.5K78.24%191.99K82.66%136.72K132.85%129.22K132.85%129.22K129.69%125.63K249.92%107.72K
Current debt and capital lease obligation -94.53%28.63K-95.01%26.07K-95.01%26.07K40.52%23.51K-38.30%23.51K810.76%523.5K561.72%522.54K561.72%522.54K-79.16%16.73K-50.86%38.1K
-Current debt ----------------------500K--500K--500K--------
-Current capital lease obligation 21.82%28.63K15.64%26.07K15.64%26.07K40.52%23.51K-38.30%23.51K-59.12%23.5K-71.45%22.54K-71.45%22.54K-79.16%16.73K-50.86%38.1K
Other current liabilities 109.32%250K84.85%250K84.85%250K--111.51K--108.8K--119.44K--135.24K--135.24K--------
Current liabilities -7.64%921.5K-3.14%970.07K-3.14%970.07K130.12%1.02M80.40%1.04M110.83%997.7K88.42%1M88.42%1M-47.45%442.82K37.87%576.02K
Non current liabilities
Long term debt and capital lease obligation -58.59%20.21K-49.45%27.89K-49.45%27.89K--36.81K-91.63%41.88K--48.79K--55.17K--55.17K----41.73%500K
-Long term debt ------------------------------------58.29%500K
-Long term capital lease obligation -58.59%20.21K-49.45%27.89K-49.45%27.89K--36.81K--41.88K--48.79K--55.17K--55.17K--------
Total non current liabilities -58.59%20.21K-49.45%27.89K-49.45%27.89K-92.64%36.81K-91.63%41.88K--48.79K--55.17K--55.17K3,018.96%500K41.73%500K
Total liabilities -10.01%941.71K-5.56%997.96K-5.56%997.96K11.98%1.06M0.46%1.08M121.14%1.05M98.80%1.06M98.80%1.06M9.80%942.82K39.63%1.08M
Shareholders'equity
Share capital 48.53%70.21M48.52%70.21M48.52%70.21M25.42%59.3M5.06%49.63M0.30%47.27M0.44%47.27M0.44%47.27M0.14%47.28M0.04%47.23M
-common stock 48.53%70.21M48.52%70.21M48.52%70.21M25.42%59.3M5.06%49.63M0.30%47.27M0.44%47.27M0.44%47.27M0.14%47.28M0.04%47.23M
Retained earnings -26.20%-61.67M-20.14%-58.38M-20.14%-58.38M-10.88%-52.83M-2.88%-50.27M-4.47%-48.87M-3.63%-48.59M-3.63%-48.59M-2.85%-47.65M-6.22%-48.86M
Gains losses not affecting retained earnings 647.62%394.8K670.22%180.66K670.22%180.66K-33.62%137.37K84.07%-21.98K73.72%-72.09K90.56%-31.68K90.56%-31.68K150.76%206.93K72.34%-138.02K
Other equity interest 74.66%11.5M45.56%9.57M45.56%9.57M34.45%8.81M3.29%6.75M1.03%6.59M2.14%6.57M2.14%6.57M4.32%6.56M4.38%6.54M
Total stockholders'equity 315.67%20.44M312.96%21.58M312.96%21.58M141.10%15.42M27.50%6.09M-25.46%4.92M-16.82%5.23M-16.82%5.23M-5.46%6.39M-31.59%4.78M
Total equity 315.67%20.44M312.96%21.58M312.96%21.58M141.10%15.42M27.50%6.09M-25.46%4.92M-16.82%5.23M-16.82%5.23M-5.46%6.39M-31.59%4.78M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion with Explanatory Notes------

Analysis

Analyst Rating

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Price Target

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