CA Stock MarketDetailed Quotes

ALTA Altamira Gold Corp

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  • 0.120
  • 0.0000.00%
15min DelayMarket Closed Dec 11 16:00 ET
25.44MMarket Cap-7.06P/E (TTM)

Altamira Gold Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Aug 31, 2024
(Q1)May 31, 2024
(FY)Feb 29, 2024
(Q4)Feb 29, 2024
(Q3)Nov 30, 2023
(Q2)Aug 31, 2023
(Q1)May 31, 2023
(FY)Feb 28, 2023
(Q4)Feb 28, 2023
(Q3)Nov 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
341.26%2.16M
235.45%3.12M
197.82%4.69M
197.82%4.69M
144.98%5.58M
-84.95%489.69K
-79.15%931.2K
-71.34%1.58M
-71.34%1.58M
-51.46%2.28M
-Cash and cash equivalents
341.26%2.16M
235.45%3.12M
197.82%4.69M
197.82%4.69M
144.98%5.58M
-84.95%489.69K
-79.15%931.2K
-71.34%1.58M
-71.34%1.58M
-51.46%2.28M
Receivables
67.24%67.15K
85.36%64.9K
90.53%64.08K
90.53%64.08K
96.34%46.64K
81.87%40.15K
80.05%35.01K
82.87%33.63K
82.87%33.63K
30.90%23.76K
-Due from related parties current
141.76%7.52K
-0.12%7.6K
-0.60%7.57K
-0.60%7.57K
--3.11K
--3.11K
--7.61K
--7.61K
--7.61K
----
-Other receivables
60.98%59.63K
109.10%57.29K
117.18%56.52K
117.18%56.52K
83.24%43.53K
67.78%37.04K
40.91%27.4K
41.49%26.02K
41.49%26.02K
30.90%23.76K
Prepaid assets
46.58%50.39K
122.65%72.78K
651.39%114.35K
651.39%114.35K
273.61%89.58K
-26.22%34.38K
25.33%32.69K
-57.83%15.22K
-57.83%15.22K
-31.59%23.98K
Total current assets
303.80%2.28M
226.50%3.26M
199.85%4.87M
199.85%4.87M
145.81%5.71M
-83.02%564.22K
-77.86%998.9K
-70.74%1.62M
-70.74%1.62M
-51.00%2.32M
Non current assets
Net PPE
3.57%19.61M
10.94%20.4M
12.24%20.04M
12.24%20.04M
10.08%19.29M
16.41%18.93M
17.38%18.39M
25.64%17.85M
25.64%17.85M
35.68%17.52M
-Gross PPE
3.63%19.73M
10.95%20.51M
12.26%20.15M
12.26%20.15M
10.12%19.4M
16.43%19.04M
17.35%18.49M
25.60%17.95M
25.60%17.95M
35.60%17.61M
-Accumulated depreciation
-14.67%-122.06K
-12.79%-114.25K
-16.13%-111.87K
-16.13%-111.87K
-18.47%-109.65K
-20.20%-106.45K
-12.70%-101.29K
-18.37%-96.33K
-18.37%-96.33K
-21.75%-92.55K
Investments and advances
-0.30%32.38K
0.25%32.73K
-0.29%32.57K
-0.29%32.57K
0.55%32.6K
3.20%32.47K
7.55%32.65K
7.18%32.66K
7.18%32.66K
-43.68%32.42K
-Long term equity investment
-0.30%32.38K
0.25%32.73K
-0.29%32.57K
-0.29%32.57K
0.55%32.6K
3.20%32.47K
7.55%32.65K
7.18%32.66K
7.18%32.66K
-43.68%32.42K
Other non current assets
0.00%15K
0.00%15K
0.00%15K
0.00%15K
0.00%15K
0.00%15K
0.00%15K
0.00%15K
0.00%15K
0.00%15K
Total non current assets
3.56%19.66M
10.91%20.45M
12.21%20.08M
12.21%20.08M
10.05%19.33M
16.37%18.98M
17.34%18.43M
25.57%17.9M
25.57%17.9M
35.28%17.57M
Total assets
12.22%21.93M
21.99%23.71M
27.82%24.96M
27.82%24.96M
25.92%25.05M
-0.45%19.55M
-3.90%19.43M
-1.43%19.52M
-1.43%19.52M
12.20%19.89M
Liabilities
Current liabilities
Payables
-61.56%219.19K
-32.00%326.08K
48.91%672.85K
48.91%672.85K
11.76%486.85K
108.95%570.25K
24.00%479.52K
56.32%451.83K
56.32%451.83K
42.15%435.63K
-accounts payable
-65.93%175.12K
-38.68%288.1K
48.88%662.08K
48.88%662.08K
-0.87%430.99K
88.52%514.06K
24.96%469.81K
68.41%444.71K
68.41%444.71K
61.11%434.78K
-Due to related parties current
-21.56%44.08K
291.07%37.98K
51.03%10.76K
51.03%10.76K
6,455.28%55.85K
24,873.78%56.19K
-9.72%9.71K
-71.47%7.13K
-71.47%7.13K
-97.67%852
Other current liabilities
-84.26%10.12K
-67.47%23.71K
-49.12%39.48K
-49.12%39.48K
-25.51%55.91K
-13.94%64.32K
-9.66%72.88K
1.56%77.59K
1.56%77.59K
-0.26%75.05K
Current liabilities
-63.86%229.31K
-36.68%349.79K
34.55%712.32K
34.55%712.32K
6.28%542.75K
82.53%634.57K
18.19%552.4K
44.88%529.42K
44.88%529.42K
33.79%510.68K
Non current liabilities
Other non current liabilities
----
----
----
----
-97.40%5.46K
-77.11%14.28K
-73.15%22.08K
114.53%197.26K
114.53%197.26K
111.45%210K
Total non current liabilities
--0
--0
--0
--0
-97.40%5.46K
-77.11%14.28K
-73.15%22.08K
114.53%197.26K
114.53%197.26K
111.45%210K
Total liabilities
-64.66%229.31K
-39.11%349.79K
-1.98%712.32K
-1.98%712.32K
-23.93%548.21K
58.25%648.85K
4.52%574.48K
58.88%726.68K
58.88%726.68K
49.82%720.67K
Shareholders'equity
Share capital
12.69%52.55M
12.81%52.55M
12.81%52.55M
12.81%52.55M
12.65%52.47M
0.13%46.64M
0.02%46.58M
0.23%46.58M
0.23%46.58M
3.93%46.57M
-common stock
12.69%52.55M
12.81%52.55M
12.81%52.55M
12.81%52.55M
12.65%52.47M
0.13%46.64M
0.02%46.58M
0.23%46.58M
0.23%46.58M
3.93%46.57M
Retained earnings
-6.34%-34.9M
-5.21%-34.25M
-5.04%-34.01M
-5.04%-34.01M
-3.88%-33.1M
-3.81%-32.82M
-5.77%-32.56M
-5.82%-32.38M
-5.82%-32.38M
-4.81%-31.87M
Gains losses not affecting retained earnings
-293.34%-2.33M
-56.30%-1.32M
37.54%-679.83K
37.54%-679.83K
54.76%-549.08K
56.91%-591.97K
25.40%-847.21K
29.61%-1.09M
29.61%-1.09M
44.20%-1.21M
Other equity interest
12.49%6.38M
12.41%6.38M
12.41%6.38M
12.41%6.38M
0.13%5.68M
0.59%5.67M
13.25%5.68M
13.20%5.68M
13.20%5.68M
13.20%5.68M
Total stockholders'equity
14.86%21.7M
23.85%23.36M
28.98%24.24M
28.98%24.24M
27.79%24.5M
-1.71%18.9M
-4.13%18.86M
-2.86%18.8M
-2.86%18.8M
11.15%19.17M
Total equity
14.86%21.7M
23.85%23.36M
28.98%24.24M
28.98%24.24M
27.79%24.5M
-1.71%18.9M
-4.13%18.86M
-2.86%18.8M
-2.86%18.8M
11.15%19.17M
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(Q2)Aug 31, 2024(Q1)May 31, 2024(FY)Feb 29, 2024(Q4)Feb 29, 2024(Q3)Nov 30, 2023(Q2)Aug 31, 2023(Q1)May 31, 2023(FY)Feb 28, 2023(Q4)Feb 28, 2023(Q3)Nov 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 341.26%2.16M235.45%3.12M197.82%4.69M197.82%4.69M144.98%5.58M-84.95%489.69K-79.15%931.2K-71.34%1.58M-71.34%1.58M-51.46%2.28M
-Cash and cash equivalents 341.26%2.16M235.45%3.12M197.82%4.69M197.82%4.69M144.98%5.58M-84.95%489.69K-79.15%931.2K-71.34%1.58M-71.34%1.58M-51.46%2.28M
Receivables 67.24%67.15K85.36%64.9K90.53%64.08K90.53%64.08K96.34%46.64K81.87%40.15K80.05%35.01K82.87%33.63K82.87%33.63K30.90%23.76K
-Due from related parties current 141.76%7.52K-0.12%7.6K-0.60%7.57K-0.60%7.57K--3.11K--3.11K--7.61K--7.61K--7.61K----
-Other receivables 60.98%59.63K109.10%57.29K117.18%56.52K117.18%56.52K83.24%43.53K67.78%37.04K40.91%27.4K41.49%26.02K41.49%26.02K30.90%23.76K
Prepaid assets 46.58%50.39K122.65%72.78K651.39%114.35K651.39%114.35K273.61%89.58K-26.22%34.38K25.33%32.69K-57.83%15.22K-57.83%15.22K-31.59%23.98K
Total current assets 303.80%2.28M226.50%3.26M199.85%4.87M199.85%4.87M145.81%5.71M-83.02%564.22K-77.86%998.9K-70.74%1.62M-70.74%1.62M-51.00%2.32M
Non current assets
Net PPE 3.57%19.61M10.94%20.4M12.24%20.04M12.24%20.04M10.08%19.29M16.41%18.93M17.38%18.39M25.64%17.85M25.64%17.85M35.68%17.52M
-Gross PPE 3.63%19.73M10.95%20.51M12.26%20.15M12.26%20.15M10.12%19.4M16.43%19.04M17.35%18.49M25.60%17.95M25.60%17.95M35.60%17.61M
-Accumulated depreciation -14.67%-122.06K-12.79%-114.25K-16.13%-111.87K-16.13%-111.87K-18.47%-109.65K-20.20%-106.45K-12.70%-101.29K-18.37%-96.33K-18.37%-96.33K-21.75%-92.55K
Investments and advances -0.30%32.38K0.25%32.73K-0.29%32.57K-0.29%32.57K0.55%32.6K3.20%32.47K7.55%32.65K7.18%32.66K7.18%32.66K-43.68%32.42K
-Long term equity investment -0.30%32.38K0.25%32.73K-0.29%32.57K-0.29%32.57K0.55%32.6K3.20%32.47K7.55%32.65K7.18%32.66K7.18%32.66K-43.68%32.42K
Other non current assets 0.00%15K0.00%15K0.00%15K0.00%15K0.00%15K0.00%15K0.00%15K0.00%15K0.00%15K0.00%15K
Total non current assets 3.56%19.66M10.91%20.45M12.21%20.08M12.21%20.08M10.05%19.33M16.37%18.98M17.34%18.43M25.57%17.9M25.57%17.9M35.28%17.57M
Total assets 12.22%21.93M21.99%23.71M27.82%24.96M27.82%24.96M25.92%25.05M-0.45%19.55M-3.90%19.43M-1.43%19.52M-1.43%19.52M12.20%19.89M
Liabilities
Current liabilities
Payables -61.56%219.19K-32.00%326.08K48.91%672.85K48.91%672.85K11.76%486.85K108.95%570.25K24.00%479.52K56.32%451.83K56.32%451.83K42.15%435.63K
-accounts payable -65.93%175.12K-38.68%288.1K48.88%662.08K48.88%662.08K-0.87%430.99K88.52%514.06K24.96%469.81K68.41%444.71K68.41%444.71K61.11%434.78K
-Due to related parties current -21.56%44.08K291.07%37.98K51.03%10.76K51.03%10.76K6,455.28%55.85K24,873.78%56.19K-9.72%9.71K-71.47%7.13K-71.47%7.13K-97.67%852
Other current liabilities -84.26%10.12K-67.47%23.71K-49.12%39.48K-49.12%39.48K-25.51%55.91K-13.94%64.32K-9.66%72.88K1.56%77.59K1.56%77.59K-0.26%75.05K
Current liabilities -63.86%229.31K-36.68%349.79K34.55%712.32K34.55%712.32K6.28%542.75K82.53%634.57K18.19%552.4K44.88%529.42K44.88%529.42K33.79%510.68K
Non current liabilities
Other non current liabilities -----------------97.40%5.46K-77.11%14.28K-73.15%22.08K114.53%197.26K114.53%197.26K111.45%210K
Total non current liabilities --0--0--0--0-97.40%5.46K-77.11%14.28K-73.15%22.08K114.53%197.26K114.53%197.26K111.45%210K
Total liabilities -64.66%229.31K-39.11%349.79K-1.98%712.32K-1.98%712.32K-23.93%548.21K58.25%648.85K4.52%574.48K58.88%726.68K58.88%726.68K49.82%720.67K
Shareholders'equity
Share capital 12.69%52.55M12.81%52.55M12.81%52.55M12.81%52.55M12.65%52.47M0.13%46.64M0.02%46.58M0.23%46.58M0.23%46.58M3.93%46.57M
-common stock 12.69%52.55M12.81%52.55M12.81%52.55M12.81%52.55M12.65%52.47M0.13%46.64M0.02%46.58M0.23%46.58M0.23%46.58M3.93%46.57M
Retained earnings -6.34%-34.9M-5.21%-34.25M-5.04%-34.01M-5.04%-34.01M-3.88%-33.1M-3.81%-32.82M-5.77%-32.56M-5.82%-32.38M-5.82%-32.38M-4.81%-31.87M
Gains losses not affecting retained earnings -293.34%-2.33M-56.30%-1.32M37.54%-679.83K37.54%-679.83K54.76%-549.08K56.91%-591.97K25.40%-847.21K29.61%-1.09M29.61%-1.09M44.20%-1.21M
Other equity interest 12.49%6.38M12.41%6.38M12.41%6.38M12.41%6.38M0.13%5.68M0.59%5.67M13.25%5.68M13.20%5.68M13.20%5.68M13.20%5.68M
Total stockholders'equity 14.86%21.7M23.85%23.36M28.98%24.24M28.98%24.24M27.79%24.5M-1.71%18.9M-4.13%18.86M-2.86%18.8M-2.86%18.8M11.15%19.17M
Total equity 14.86%21.7M23.85%23.36M28.98%24.24M28.98%24.24M27.79%24.5M-1.71%18.9M-4.13%18.86M-2.86%18.8M-2.86%18.8M11.15%19.17M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.