US Stock MarketDetailed Quotes

BLAGF BLUE LAGOON RESOURCES INC

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  • 0.086550
  • +0.003050+3.65%
15min DelayClose Oct 18 16:00 ET
9.87MMarket Cap-2984P/E (TTM)

BLUE LAGOON RESOURCES INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
(Q1)Jun 30, 2022
(FY)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-49.69%1.01M
-49.69%1.01M
-95.54%147.11K
-90.91%559.77K
-76.91%2.01M
--2.01M
-33.93%3.3M
-19.90%6.16M
242.24%8.3M
146.17%8.71M
-Cash and cash equivalents
-22.72%816.62K
-22.72%816.62K
-98.41%45.86K
-92.55%427.77K
-87.84%1.06M
--1.06M
-42.34%2.88M
-25.29%5.74M
227.59%7.95M
145.47%8.69M
-Short-term investments
-79.51%195.75K
-79.51%195.75K
-75.89%101.25K
-68.12%132K
3,722.00%955.5K
--955.5K
--420K
--414K
--355.5K
--25K
Receivables
-54.77%63.08K
-54.77%63.08K
-82.16%45.65K
-68.41%53.48K
-4.84%139.47K
--139.47K
-68.72%255.84K
-89.86%169.31K
-8.31%198.26K
-35.36%146.56K
-Taxes receivable
-80.96%20.47K
-80.96%20.47K
-95.33%10.57K
-80.84%26.01K
-9.23%107.52K
--107.52K
42.72%226.36K
-32.16%135.74K
--167.2K
-42.11%118.46K
-Related party accounts receivable
----
----
----
----
----
----
--0
-99.54%6.6K
--6.6K
--6.6K
-Other receivables
33.38%42.61K
33.38%42.61K
18.99%35.08K
1.84%27.46K
48.57%31.95K
--31.95K
15.44%29.48K
5.60%26.97K
--24.46K
-2.75%21.5K
Prepaid assets
-33.76%29.49K
-33.76%29.49K
-80.30%25.22K
-79.29%46.55K
-67.97%44.51K
--44.51K
-27.33%128K
-46.40%224.77K
-26.15%389.7K
-63.72%138.98K
Total current assets
-49.69%1.1M
-49.69%1.1M
-94.08%217.98K
-89.93%659.8K
-75.60%2.2M
--2.2M
-38.49%3.68M
-32.98%6.55M
180.47%8.89M
116.87%9M
Non current assets
Net PPE
13.09%22.77M
13.09%22.77M
-18.37%20.11M
-18.37%20.11M
-17.94%20.14M
--20.14M
-12.59%24.64M
-12.91%24.64M
-12.84%24.64M
-13.19%24.54M
Investments and advances
-94.69%21.75K
-94.69%21.75K
-93.75%11.25K
-88.04%33K
446.00%409.5K
--409.5K
80.00%180K
176.00%276K
137.00%237K
-25.00%75K
Related parties assets
----
----
----
----
----
----
--0
-99.54%6.6K
--6.6K
--6.6K
Non current prepaid assets
0.00%12.53K
0.00%12.53K
0.00%12.53K
0.00%12.53K
0.00%12.53K
--12.53K
25.34%12.53K
25.34%12.53K
25.34%12.53K
25.34%12.53K
Other non current assets
1.80%661.31K
1.80%661.31K
1.80%661.31K
1.80%661.31K
1.09%649.64K
--649.64K
2.31%649.64K
2.31%649.64K
2.31%649.64K
1.20%642.64K
Total non current assets
10.65%23.47M
10.65%23.47M
-18.38%20.8M
-18.60%20.82M
-16.07%21.21M
--21.21M
-11.93%25.48M
-11.92%25.58M
-11.98%25.54M
-12.90%25.27M
Total assets
4.99%24.57M
4.99%24.57M
-27.93%21.02M
-33.14%21.48M
-31.70%23.41M
--23.41M
-16.48%29.16M
-17.22%32.13M
6.98%34.43M
3.34%34.27M
Liabilities
Current liabilities
Payables
-14.96%216.51K
-14.96%216.51K
-33.45%298.34K
-56.64%239.61K
-72.22%254.6K
--254.6K
-5.43%448.31K
-47.99%552.61K
-38.36%484.91K
75.89%916.37K
-accounts payable
5.14%212.72K
5.14%212.72K
-33.41%298.34K
-57.73%233.47K
-77.91%202.33K
--202.33K
21.49%448.03K
-48.00%552.33K
-38.34%484.91K
75.93%916.09K
-Due to related parties current
-92.74%3.79K
-92.74%3.79K
--0
2,094.64%6.15K
18,569.64%52.28K
--52.28K
-99.73%280
0.00%280
----
0.00%280
Current debt and capital lease obligation
----
----
----
----
----
----
----
--58.31K
--56.67K
----
-Current debt
----
----
----
----
----
----
----
--58.31K
--56.67K
----
Current liabilities
-14.96%216.51K
-14.96%216.51K
-33.45%298.34K
-60.78%239.61K
-72.22%254.6K
--254.6K
-5.43%448.31K
-42.50%610.92K
-31.15%541.58K
75.89%916.37K
Non current liabilities
Long term provisions
131.56%5.87M
131.56%5.87M
86.57%2.59M
86.75%2.57M
87.12%2.53M
--2.53M
71.61%1.39M
73.11%1.38M
74.65%1.37M
76.26%1.35M
Long term debt and capital lease obligation
----
----
----
----
----
----
----
----
----
12.00%55.09K
-Long term debt
----
----
----
----
----
----
----
----
----
12.00%55.09K
Other non current liabilities
----
----
----
----
----
----
--26.56K
187.56%296.24K
--691.24K
--887.13K
Total non current liabilities
78.18%7.6M
78.18%7.6M
37.36%4.32M
26.39%4.3M
5.90%4.26M
--4.26M
21.30%3.14M
26.96%3.4M
47.78%3.79M
58.06%4.03M
Total liabilities
72.94%7.81M
72.94%7.81M
28.53%4.62M
13.12%4.54M
-8.58%4.52M
--4.52M
17.16%3.59M
7.24%4.01M
29.24%4.33M
61.08%4.94M
Shareholders'equity
Share capital
3.87%47.4M
3.87%47.4M
1.09%46.13M
1.09%46.13M
3.87%45.64M
--45.64M
18.13%45.64M
18.13%45.64M
50.39%45.64M
48.86%43.94M
-common stock
3.87%47.4M
3.87%47.4M
1.09%46.13M
1.09%46.13M
3.87%45.64M
--45.64M
18.13%45.64M
18.13%45.64M
50.39%45.64M
48.86%43.94M
Retained earnings
-11.60%-37.49M
-11.60%-37.49M
-36.27%-36.58M
-48.31%-36.04M
-57.13%-33.59M
---33.59M
-104.38%-26.84M
-145.06%-24.3M
-180.92%-22.31M
-251.65%-21.38M
Gains losses not affecting retained earnings
0.00%4.57M
0.00%4.57M
1.51%4.57M
1.51%4.57M
1.68%4.57M
--4.57M
10.38%4.5M
10.38%4.5M
58.68%4.5M
51.74%4.5M
Other equity interest
0.00%2.27M
0.00%2.27M
0.00%2.27M
0.00%2.27M
0.00%2.27M
--2.27M
0.00%2.27M
0.00%2.27M
-10.68%2.27M
0.00%2.27M
Total stockholders'equity
-11.27%16.76M
-11.27%16.76M
-35.87%16.4M
-39.75%16.94M
-35.60%18.89M
--18.89M
-19.72%25.57M
-19.83%28.11M
8.34%30.1M
2.29%29.33M
Noncontrolling interests
----
----
----
----
----
----
----
----
----
--0
Total equity
-11.27%16.76M
-11.27%16.76M
-35.87%16.4M
-39.75%16.94M
-35.60%18.89M
--18.89M
-19.72%25.57M
-19.83%28.11M
4.40%30.1M
-2.55%29.33M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
Unqualified Opinion with Explanatory Notes
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--
--
--
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Unqualified Opinion
(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022(Q2)Sep 30, 2022(Q1)Jun 30, 2022(FY)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -49.69%1.01M-49.69%1.01M-95.54%147.11K-90.91%559.77K-76.91%2.01M--2.01M-33.93%3.3M-19.90%6.16M242.24%8.3M146.17%8.71M
-Cash and cash equivalents -22.72%816.62K-22.72%816.62K-98.41%45.86K-92.55%427.77K-87.84%1.06M--1.06M-42.34%2.88M-25.29%5.74M227.59%7.95M145.47%8.69M
-Short-term investments -79.51%195.75K-79.51%195.75K-75.89%101.25K-68.12%132K3,722.00%955.5K--955.5K--420K--414K--355.5K--25K
Receivables -54.77%63.08K-54.77%63.08K-82.16%45.65K-68.41%53.48K-4.84%139.47K--139.47K-68.72%255.84K-89.86%169.31K-8.31%198.26K-35.36%146.56K
-Taxes receivable -80.96%20.47K-80.96%20.47K-95.33%10.57K-80.84%26.01K-9.23%107.52K--107.52K42.72%226.36K-32.16%135.74K--167.2K-42.11%118.46K
-Related party accounts receivable --------------------------0-99.54%6.6K--6.6K--6.6K
-Other receivables 33.38%42.61K33.38%42.61K18.99%35.08K1.84%27.46K48.57%31.95K--31.95K15.44%29.48K5.60%26.97K--24.46K-2.75%21.5K
Prepaid assets -33.76%29.49K-33.76%29.49K-80.30%25.22K-79.29%46.55K-67.97%44.51K--44.51K-27.33%128K-46.40%224.77K-26.15%389.7K-63.72%138.98K
Total current assets -49.69%1.1M-49.69%1.1M-94.08%217.98K-89.93%659.8K-75.60%2.2M--2.2M-38.49%3.68M-32.98%6.55M180.47%8.89M116.87%9M
Non current assets
Net PPE 13.09%22.77M13.09%22.77M-18.37%20.11M-18.37%20.11M-17.94%20.14M--20.14M-12.59%24.64M-12.91%24.64M-12.84%24.64M-13.19%24.54M
Investments and advances -94.69%21.75K-94.69%21.75K-93.75%11.25K-88.04%33K446.00%409.5K--409.5K80.00%180K176.00%276K137.00%237K-25.00%75K
Related parties assets --------------------------0-99.54%6.6K--6.6K--6.6K
Non current prepaid assets 0.00%12.53K0.00%12.53K0.00%12.53K0.00%12.53K0.00%12.53K--12.53K25.34%12.53K25.34%12.53K25.34%12.53K25.34%12.53K
Other non current assets 1.80%661.31K1.80%661.31K1.80%661.31K1.80%661.31K1.09%649.64K--649.64K2.31%649.64K2.31%649.64K2.31%649.64K1.20%642.64K
Total non current assets 10.65%23.47M10.65%23.47M-18.38%20.8M-18.60%20.82M-16.07%21.21M--21.21M-11.93%25.48M-11.92%25.58M-11.98%25.54M-12.90%25.27M
Total assets 4.99%24.57M4.99%24.57M-27.93%21.02M-33.14%21.48M-31.70%23.41M--23.41M-16.48%29.16M-17.22%32.13M6.98%34.43M3.34%34.27M
Liabilities
Current liabilities
Payables -14.96%216.51K-14.96%216.51K-33.45%298.34K-56.64%239.61K-72.22%254.6K--254.6K-5.43%448.31K-47.99%552.61K-38.36%484.91K75.89%916.37K
-accounts payable 5.14%212.72K5.14%212.72K-33.41%298.34K-57.73%233.47K-77.91%202.33K--202.33K21.49%448.03K-48.00%552.33K-38.34%484.91K75.93%916.09K
-Due to related parties current -92.74%3.79K-92.74%3.79K--02,094.64%6.15K18,569.64%52.28K--52.28K-99.73%2800.00%280----0.00%280
Current debt and capital lease obligation ------------------------------58.31K--56.67K----
-Current debt ------------------------------58.31K--56.67K----
Current liabilities -14.96%216.51K-14.96%216.51K-33.45%298.34K-60.78%239.61K-72.22%254.6K--254.6K-5.43%448.31K-42.50%610.92K-31.15%541.58K75.89%916.37K
Non current liabilities
Long term provisions 131.56%5.87M131.56%5.87M86.57%2.59M86.75%2.57M87.12%2.53M--2.53M71.61%1.39M73.11%1.38M74.65%1.37M76.26%1.35M
Long term debt and capital lease obligation ------------------------------------12.00%55.09K
-Long term debt ------------------------------------12.00%55.09K
Other non current liabilities --------------------------26.56K187.56%296.24K--691.24K--887.13K
Total non current liabilities 78.18%7.6M78.18%7.6M37.36%4.32M26.39%4.3M5.90%4.26M--4.26M21.30%3.14M26.96%3.4M47.78%3.79M58.06%4.03M
Total liabilities 72.94%7.81M72.94%7.81M28.53%4.62M13.12%4.54M-8.58%4.52M--4.52M17.16%3.59M7.24%4.01M29.24%4.33M61.08%4.94M
Shareholders'equity
Share capital 3.87%47.4M3.87%47.4M1.09%46.13M1.09%46.13M3.87%45.64M--45.64M18.13%45.64M18.13%45.64M50.39%45.64M48.86%43.94M
-common stock 3.87%47.4M3.87%47.4M1.09%46.13M1.09%46.13M3.87%45.64M--45.64M18.13%45.64M18.13%45.64M50.39%45.64M48.86%43.94M
Retained earnings -11.60%-37.49M-11.60%-37.49M-36.27%-36.58M-48.31%-36.04M-57.13%-33.59M---33.59M-104.38%-26.84M-145.06%-24.3M-180.92%-22.31M-251.65%-21.38M
Gains losses not affecting retained earnings 0.00%4.57M0.00%4.57M1.51%4.57M1.51%4.57M1.68%4.57M--4.57M10.38%4.5M10.38%4.5M58.68%4.5M51.74%4.5M
Other equity interest 0.00%2.27M0.00%2.27M0.00%2.27M0.00%2.27M0.00%2.27M--2.27M0.00%2.27M0.00%2.27M-10.68%2.27M0.00%2.27M
Total stockholders'equity -11.27%16.76M-11.27%16.76M-35.87%16.4M-39.75%16.94M-35.60%18.89M--18.89M-19.72%25.57M-19.83%28.11M8.34%30.1M2.29%29.33M
Noncontrolling interests --------------------------------------0
Total equity -11.27%16.76M-11.27%16.76M-35.87%16.4M-39.75%16.94M-35.60%18.89M--18.89M-19.72%25.57M-19.83%28.11M4.40%30.1M-2.55%29.33M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions Unqualified Opinion with Explanatory Notes----------------Unqualified Opinion

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