ARCpoint Inc
ARC
Minas Metals Ltd
MINA
Quri-Mayu Developments Ltd
QURI
KGL Resources Ltd
KGL.H
Alerio Gold Corp
ALE
(Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -12.46%920M | 8.28%1.05B | 4.17%1.25B | -4.08%1.69B | -4.08%1.69B | -41.74%1.05B | -48.51%966M | -37.18%1.2B | 0.69%1.76B | 0.69%1.76B |
-Cash and cash equivalents | -11.65%872M | 15.06%1.02B | 3.42%1.18B | 23.47%1.59B | 23.47%1.59B | -26.62%987M | -36.66%883M | -18.78%1.14B | -22.93%1.29B | -22.93%1.29B |
-Short term investments | -25.00%48M | -63.86%30M | 19.64%67M | -79.45%97M | -79.45%97M | -86.06%64M | -82.78%83M | -88.82%56M | 521.05%472M | 521.05%472M |
Receivables | 36.96%441M | 29.63%420M | 11.39%352M | 7.21%342M | 7.21%342M | 4.21%322M | 3.51%324M | -8.14%316M | -1.54%319M | -1.54%319M |
-Accounts receivable | 34.82%333M | 30.04%329M | 8.47%269M | 2.45%251M | 2.45%251M | -1.20%247M | -1.17%253M | -14.48%248M | 0.00%245M | 0.00%245M |
-Other receivables | 44.00%108M | 28.17%91M | 22.06%83M | 22.97%91M | 22.97%91M | 27.12%75M | 24.56%71M | 25.93%68M | -6.33%74M | -6.33%74M |
Inventory | 0.94%4.5B | 3.43%4.34B | 18.03%4.39B | 13.43%3.77B | 13.43%3.77B | 16.94%4.45B | 20.93%4.2B | 11.82%3.72B | 2.47%3.32B | 2.47%3.32B |
Other current assets | 15.53%186M | 14.94%177M | 10.53%168M | -26.52%133M | -26.52%133M | 12.59%161M | 4.76%154M | -16.94%152M | 10.37%181M | 10.37%181M |
Total current assets | 0.92%6.04B | 6.08%5.99B | 14.34%6.16B | 6.25%5.93B | 6.25%5.93B | -1.27%5.99B | -2.84%5.64B | -6.51%5.38B | 1.90%5.59B | 1.90%5.59B |
Non current assets | ||||||||||
Net PPE | 3.27%1.45B | 5.90%1.46B | 5.99%1.42B | 13.26%1.38B | 13.26%1.38B | 37.57%1.41B | 32.75%1.37B | 35.81%1.34B | 45.04%1.21B | 45.04%1.21B |
-Gross PPE | ---- | ---- | ---- | 10.17%2.6B | 10.17%2.6B | ---- | ---- | ---- | 21.98%2.36B | 21.98%2.36B |
-Accumulated depreciation | ---- | ---- | ---- | -6.90%-1.22B | -6.90%-1.22B | ---- | ---- | ---- | -4.38%-1.15B | -4.38%-1.15B |
Investments and advances | 51.49%815M | -16.74%751M | -23.11%805M | -15.80%757M | -15.80%757M | -34.31%538M | 7.00%902M | 3.66%1.05B | -46.49%899M | -46.49%899M |
-Financial asset investment | 51.49%815M | -16.74%751M | -23.11%805M | -15.80%757M | -15.80%757M | -34.31%538M | 7.00%902M | 3.66%1.05B | -46.49%899M | -46.49%899M |
-Including:Available-for-sale securities | 51.49%815M | -16.74%751M | -23.11%805M | -15.80%757M | -15.80%757M | -34.31%538M | 7.00%902M | 3.66%1.05B | -46.49%899M | -46.49%899M |
Goodwill and other intangible assets | -8.49%3.44B | -8.18%3.49B | -7.47%3.55B | -7.93%3.57B | -7.93%3.57B | -5.22%3.76B | -5.26%3.8B | -5.58%3.84B | -6.20%3.87B | -6.20%3.87B |
-Other intangible assets | -8.49%3.44B | -8.18%3.49B | -7.47%3.55B | -7.93%3.57B | -7.93%3.57B | -5.22%3.76B | -5.26%3.8B | -5.58%3.84B | -6.20%3.87B | -6.20%3.87B |
Non current deferred assets | 14.56%535M | 17.47%538M | 9.33%504M | 19.42%455M | 19.42%455M | 74.91%467M | 84.68%458M | 93.70%461M | 52.40%381M | 52.40%381M |
Other non current assets | 5.15%388M | 4.64%383M | 4.01%389M | -0.27%371M | -0.27%371M | 11.14%369M | 0.55%366M | -14.22%374M | -3.88%372M | -3.88%372M |
Total non current assets | 1.39%6.63B | -4.12%6.62B | -5.54%6.67B | -3.19%6.52B | -3.19%6.52B | 2.08%6.54B | 6.14%6.9B | 4.80%7.06B | -7.47%6.74B | -7.47%6.74B |
Total assets | 1.17%12.67B | 0.47%12.6B | 3.06%12.82B | 1.09%12.46B | 1.09%12.46B | 0.45%12.52B | 1.90%12.54B | -0.42%12.44B | -3.45%12.32B | -3.45%12.32B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 0.11%1.81B | 8.43%1.81B | 15.31%1.79B | 46.12%1.7B | 46.12%1.7B | 28.28%1.81B | 33.97%1.67B | 44.25%1.56B | 12.95%1.16B | 12.95%1.16B |
-accounts payable | 0.11%1.81B | 8.43%1.81B | 15.31%1.79B | 49.42%1.55B | 49.42%1.55B | 28.28%1.81B | 33.97%1.67B | 44.25%1.56B | 18.18%1.04B | 18.18%1.04B |
-Other payable | ---- | ---- | ---- | 17.50%141M | 17.50%141M | ---- | ---- | ---- | -18.37%120M | -18.37%120M |
Current accrued expenses | ---- | ---- | ---- | -0.79%125M | -0.79%125M | ---- | ---- | ---- | -8.03%126M | -8.03%126M |
Current provisions | -36.71%50M | -26.67%55M | -6.25%75M | -4.88%78M | -4.88%78M | 3.95%79M | -27.88%75M | -31.62%80M | -18.81%82M | -18.81%82M |
Current deferred liabilities | -4.49%3.36B | -7.22%3.33B | 8.21%3.56B | 5.02%3.46B | 5.02%3.46B | 6.54%3.52B | 7.75%3.59B | 5.48%3.29B | 15.32%3.29B | 15.32%3.29B |
Other current liabilities | -15.29%493M | -14.60%509M | -16.97%543M | -24.90%585M | -24.90%585M | -14.79%582M | -8.59%596M | 15.96%654M | 19.85%779M | 19.85%779M |
Current liabilities | -4.58%5.71B | -3.79%5.7B | 7.03%5.97B | 9.21%5.94B | 9.21%5.94B | 9.29%5.99B | 11.20%5.93B | 14.37%5.58B | 14.03%5.44B | 14.03%5.44B |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -0.57%5.55B | -0.61%5.55B | 0.48%5.61B | -6.24%5.61B | -6.24%5.61B | -9.60%5.58B | -11.08%5.58B | -16.14%5.58B | -15.14%5.98B | -15.14%5.98B |
-Long term debt | -0.57%5.55B | -0.61%5.55B | 0.48%5.61B | -6.24%5.61B | -6.24%5.61B | -9.60%5.58B | -11.08%5.58B | -16.14%5.58B | -15.14%5.98B | -15.14%5.98B |
Long term provisions | 2.13%96M | 2.17%94M | -34.78%90M | -40.79%90M | -40.79%90M | -41.61%94M | -43.21%92M | -20.23%138M | -33.62%152M | -33.62%152M |
Employee benefits | -0.32%620M | -4.52%655M | 0.93%652M | 34.28%803M | 34.28%803M | -19.64%622M | -4.32%686M | -8.50%646M | -45.64%598M | -45.64%598M |
Non current deferred liabilities | 1.05%1.54B | 19.84%1.6B | -0.20%1.47B | -16.27%1.21B | -16.27%1.21B | -12.89%1.52B | -12.16%1.34B | 6.19%1.48B | 24.91%1.44B | 24.91%1.44B |
Other non current liabilities | -3.20%1.15B | -18.76%1.14B | -19.51%1.18B | -17.63%1.22B | -17.63%1.22B | -16.53%1.19B | -3.30%1.41B | -8.58%1.47B | -5.02%1.48B | -5.02%1.48B |
Total non current liabilities | -0.60%8.95B | -0.68%9.04B | -3.28%9.01B | -7.51%8.92B | -7.51%8.92B | -12.38%9.01B | -10.16%9.11B | -11.59%9.31B | -12.95%9.65B | -12.95%9.65B |
Total liabilities | -2.19%14.67B | -1.91%14.75B | 0.58%14.98B | -1.48%14.86B | -1.48%14.86B | -4.84%14.99B | -2.80%15.03B | -3.37%14.89B | -4.84%15.09B | -4.84%15.09B |
Shareholders'equity | ||||||||||
Share capital | 1.05%3.08B | 1.84%3.09B | 0.99%3.05B | 3.11%3.05B | 3.11%3.05B | 3.46%3.05B | 2.43%3.04B | 1.78%3.02B | -0.94%2.96B | -0.94%2.96B |
-common stock | 1.18%2.74B | 2.08%2.75B | 1.12%2.71B | 3.52%2.71B | 3.52%2.71B | 3.92%2.71B | 2.75%2.69B | 2.02%2.68B | -1.06%2.62B | -1.06%2.62B |
-Preferred stock | 0.00%347M | 0.00%347M | 0.00%347M | 0.00%347M | 0.00%347M | 0.00%347M | 0.00%347M | 0.00%347M | 0.00%347M | 0.00%347M |
Additional paid-in capital | -3.71%467M | -4.33%464M | -0.21%484M | -2.44%479M | -2.44%479M | -0.61%485M | 0.62%485M | 1.25%485M | 3.37%491M | 3.37%491M |
Retained earnings | 10.88%-3.52B | 7.06%-3.63B | 5.74%-3.65B | 9.95%-3.75B | 9.95%-3.75B | 10.03%-3.95B | 11.42%-3.91B | 9.61%-3.87B | -4.44%-4.16B | -4.44%-4.16B |
Gains losses not affecting retained earnings | 1.46%-2.02B | 1.67%-2.07B | 2.06%-2.05B | -6.05%-2.19B | -6.05%-2.19B | 12.38%-2.05B | 4.50%-2.1B | 0.43%-2.09B | 19.99%-2.07B | 19.99%-2.07B |
Other equity interest | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 0.00%11M | 0.00%11M |
Total stockholders'equity | 19.19%-2B | 13.90%-2.14B | 12.01%-2.15B | 12.96%-2.4B | 12.96%-2.4B | 24.90%-2.47B | 21.13%-2.49B | 16.05%-2.45B | 10.59%-2.76B | 10.59%-2.76B |
Total equity | 19.19%-2B | 13.90%-2.14B | 12.01%-2.15B | 12.96%-2.4B | 12.96%-2.4B | 24.90%-2.47B | 21.13%-2.49B | 16.05%-2.45B | 10.59%-2.76B | 10.59%-2.76B |
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 | -- |
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.