AU Stock MarketDetailed Quotes

BDG Black Dragon Gold Corp

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  • 0.037
  • +0.006+19.35%
20min DelayMarket Closed Dec 19 16:00 AET
10.95MMarket Cap-4.63P/E (Static)

Black Dragon Gold Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 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
47.07%1.02M
-73.87%464.27K
-73.87%464.27K
-67.22%692.49K
-53.82%1.14M
-52.27%1.47M
-11.77%1.78M
-11.77%1.78M
147.66%2.11M
72.00%2.48M
-Cash and cash equivalents
47.07%1.02M
-73.87%464.27K
-73.87%464.27K
-67.22%692.49K
-53.82%1.14M
-52.27%1.47M
-11.77%1.78M
-11.77%1.78M
147.66%2.11M
72.00%2.48M
Receivables
-46.17%52.59K
-63.98%71.19K
-63.98%71.19K
-40.49%97.7K
-8.08%134.36K
-1.10%114.79K
87.09%197.64K
87.09%197.64K
76.51%164.17K
167.38%146.17K
-Taxes receivable
-49.96%32.05K
-70.32%53.74K
-70.32%53.74K
-56.62%64.04K
-9.11%117.82K
-15.34%98.25K
71.44%181.11K
71.44%181.11K
75.26%147.63K
183.10%129.64K
-Other receivables
-38.97%20.54K
5.53%17.45K
5.53%17.45K
103.59%33.66K
-0.01%16.53K
--16.53K
--16.53K
--16.53K
--16.53K
--16.53K
Prepaid assets
--4.37K
--2.13K
--2.13K
----
----
----
--0
--0
----
----
Other current assets
--1
----
----
----
----
----
----
----
--1
----
Total current assets
36.10%1.08M
-72.78%537.59K
-72.78%537.59K
-65.30%790.19K
-51.27%1.28M
-50.42%1.59M
-6.84%1.97M
-6.84%1.97M
140.66%2.28M
75.49%2.62M
Non current assets
Non current prepaid assets
----
----
----
--2.09K
--2.14K
72.74%2.14K
----
----
--0
--0
Other non current assets
----
----
----
----
----
----
----
----
--17.78K
----
Total non current assets
--0
--0
--0
-88.24%2.09K
--2.14K
72.74%2.14K
--0
--0
1,334.19%17.78K
--0
Total assets
35.74%1.08M
-72.78%537.59K
-72.78%537.59K
-65.47%792.28K
-51.19%1.28M
-50.37%1.59M
-6.89%1.97M
-6.89%1.97M
142.23%2.29M
75.34%2.62M
Liabilities
Current liabilities
Payables
-25.91%82.16K
5.36%59.34K
5.36%59.34K
197.60%110.9K
136.55%247.83K
-51.44%54.74K
-69.96%56.32K
-69.96%56.32K
-84.47%37.26K
-7.68%104.77K
-accounts payable
-26.02%82.04K
-17.10%46.69K
-17.10%46.69K
197.60%110.9K
245.48%247.83K
-31.30%54.74K
-59.07%56.32K
-59.07%56.32K
-71.01%37.26K
-2.91%71.74K
-Total tax payable
--119
----
----
----
----
----
----
----
----
----
-Due to related parties current
--0
--12.65K
--12.65K
----
----
----
--0
--0
--0
-16.59%33.04K
Current accrued expenses
--0
-40.56%62.39K
-40.56%62.39K
-57.45%51.99K
128.30%66.59K
-50.32%103.31K
-50.87%104.97K
-50.87%104.97K
5.85%122.18K
-86.93%29.17K
Other current liabilities
----
----
----
--11.67K
--11.67K
--145.08K
--145.08K
--145.08K
----
----
Current liabilities
-52.93%82.16K
-60.27%121.73K
-60.27%121.73K
9.48%174.56K
143.46%326.1K
-5.47%303.14K
-23.63%306.37K
-23.63%306.37K
-55.14%159.45K
-60.22%133.94K
Non current liabilities
Total non current liabilities
--1
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
-52.93%82.16K
-60.27%121.73K
-60.27%121.73K
9.48%174.56K
143.46%326.1K
-5.47%303.14K
-23.63%306.37K
-23.63%306.37K
-55.14%159.45K
-60.22%133.94K
Shareholders'equity
Share capital
4.27%28.46M
0.00%27.29M
0.00%27.29M
-2.12%27.29M
-1.90%27.29M
-1.90%27.29M
3.78%27.29M
3.78%27.29M
12.67%27.88M
12.42%27.82M
-common stock
4.27%28.46M
0.00%27.29M
0.00%27.29M
-2.12%27.29M
-1.90%27.29M
-1.90%27.29M
3.78%27.29M
3.78%27.29M
12.67%27.88M
12.42%27.82M
Retained earnings
24.58%-28.31M
-4.12%-37.91M
-4.12%-37.91M
-2.86%-37.54M
-3.09%-37.19M
-3.13%-36.79M
-3.12%-36.41M
-3.12%-36.41M
-4.92%-36.5M
-5.42%-36.08M
Gains losses not affecting retained earnings
-86.17%849.76K
4.11%6.31M
4.11%6.31M
1.91%6.14M
1.81%6.13M
0.84%6.05M
0.96%6.06M
0.96%6.06M
2.02%6.03M
1.84%6.02M
Other equity interest
----
0.00%4.72M
0.00%4.72M
0.00%4.72M
0.00%4.72M
0.00%4.72M
0.00%4.72M
0.00%4.72M
0.00%4.72M
0.00%4.72M
Total stockholders'equity
60.80%993.27K
-75.07%415.86K
-75.07%415.86K
-71.07%617.72K
-61.67%953.8K
-55.37%1.29M
-2.99%1.67M
-2.99%1.67M
260.73%2.14M
114.73%2.49M
Total equity
60.80%993.27K
-75.07%415.86K
-75.07%415.86K
-71.07%617.72K
-61.67%953.8K
-55.37%1.29M
-2.99%1.67M
-2.99%1.67M
260.73%2.14M
114.73%2.49M
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
--
--
--
--
--
--
--
--
(Q3)Sep 30, 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 47.07%1.02M-73.87%464.27K-73.87%464.27K-67.22%692.49K-53.82%1.14M-52.27%1.47M-11.77%1.78M-11.77%1.78M147.66%2.11M72.00%2.48M
-Cash and cash equivalents 47.07%1.02M-73.87%464.27K-73.87%464.27K-67.22%692.49K-53.82%1.14M-52.27%1.47M-11.77%1.78M-11.77%1.78M147.66%2.11M72.00%2.48M
Receivables -46.17%52.59K-63.98%71.19K-63.98%71.19K-40.49%97.7K-8.08%134.36K-1.10%114.79K87.09%197.64K87.09%197.64K76.51%164.17K167.38%146.17K
-Taxes receivable -49.96%32.05K-70.32%53.74K-70.32%53.74K-56.62%64.04K-9.11%117.82K-15.34%98.25K71.44%181.11K71.44%181.11K75.26%147.63K183.10%129.64K
-Other receivables -38.97%20.54K5.53%17.45K5.53%17.45K103.59%33.66K-0.01%16.53K--16.53K--16.53K--16.53K--16.53K--16.53K
Prepaid assets --4.37K--2.13K--2.13K--------------0--0--------
Other current assets --1------------------------------1----
Total current assets 36.10%1.08M-72.78%537.59K-72.78%537.59K-65.30%790.19K-51.27%1.28M-50.42%1.59M-6.84%1.97M-6.84%1.97M140.66%2.28M75.49%2.62M
Non current assets
Non current prepaid assets --------------2.09K--2.14K72.74%2.14K----------0--0
Other non current assets ----------------------------------17.78K----
Total non current assets --0--0--0-88.24%2.09K--2.14K72.74%2.14K--0--01,334.19%17.78K--0
Total assets 35.74%1.08M-72.78%537.59K-72.78%537.59K-65.47%792.28K-51.19%1.28M-50.37%1.59M-6.89%1.97M-6.89%1.97M142.23%2.29M75.34%2.62M
Liabilities
Current liabilities
Payables -25.91%82.16K5.36%59.34K5.36%59.34K197.60%110.9K136.55%247.83K-51.44%54.74K-69.96%56.32K-69.96%56.32K-84.47%37.26K-7.68%104.77K
-accounts payable -26.02%82.04K-17.10%46.69K-17.10%46.69K197.60%110.9K245.48%247.83K-31.30%54.74K-59.07%56.32K-59.07%56.32K-71.01%37.26K-2.91%71.74K
-Total tax payable --119------------------------------------
-Due to related parties current --0--12.65K--12.65K--------------0--0--0-16.59%33.04K
Current accrued expenses --0-40.56%62.39K-40.56%62.39K-57.45%51.99K128.30%66.59K-50.32%103.31K-50.87%104.97K-50.87%104.97K5.85%122.18K-86.93%29.17K
Other current liabilities --------------11.67K--11.67K--145.08K--145.08K--145.08K--------
Current liabilities -52.93%82.16K-60.27%121.73K-60.27%121.73K9.48%174.56K143.46%326.1K-5.47%303.14K-23.63%306.37K-23.63%306.37K-55.14%159.45K-60.22%133.94K
Non current liabilities
Total non current liabilities --1--0--0--0--0--0--0--0--0--0
Total liabilities -52.93%82.16K-60.27%121.73K-60.27%121.73K9.48%174.56K143.46%326.1K-5.47%303.14K-23.63%306.37K-23.63%306.37K-55.14%159.45K-60.22%133.94K
Shareholders'equity
Share capital 4.27%28.46M0.00%27.29M0.00%27.29M-2.12%27.29M-1.90%27.29M-1.90%27.29M3.78%27.29M3.78%27.29M12.67%27.88M12.42%27.82M
-common stock 4.27%28.46M0.00%27.29M0.00%27.29M-2.12%27.29M-1.90%27.29M-1.90%27.29M3.78%27.29M3.78%27.29M12.67%27.88M12.42%27.82M
Retained earnings 24.58%-28.31M-4.12%-37.91M-4.12%-37.91M-2.86%-37.54M-3.09%-37.19M-3.13%-36.79M-3.12%-36.41M-3.12%-36.41M-4.92%-36.5M-5.42%-36.08M
Gains losses not affecting retained earnings -86.17%849.76K4.11%6.31M4.11%6.31M1.91%6.14M1.81%6.13M0.84%6.05M0.96%6.06M0.96%6.06M2.02%6.03M1.84%6.02M
Other equity interest ----0.00%4.72M0.00%4.72M0.00%4.72M0.00%4.72M0.00%4.72M0.00%4.72M0.00%4.72M0.00%4.72M0.00%4.72M
Total stockholders'equity 60.80%993.27K-75.07%415.86K-75.07%415.86K-71.07%617.72K-61.67%953.8K-55.37%1.29M-2.99%1.67M-2.99%1.67M260.73%2.14M114.73%2.49M
Total equity 60.80%993.27K-75.07%415.86K-75.07%415.86K-71.07%617.72K-61.67%953.8K-55.37%1.29M-2.99%1.67M-2.99%1.67M260.73%2.14M114.73%2.49M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes----------------