CA Stock MarketDetailed Quotes

CME Canadian Metals Inc

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  • 0.055
  • 0.0000.00%
15min DelayMarket Closed Nov 26 15:26 ET
1.72MMarket Cap-2200P/E (TTM)

Canadian Metals Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Apr 30, 2024
(Q2)Jan 31, 2024
(Q1)Oct 31, 2023
(FY)Jul 31, 2023
(Q4)Jul 31, 2023
(Q3)Apr 30, 2023
(Q2)Jan 31, 2023
(Q1)Oct 31, 2022
(FY)Jul 31, 2022
(Q4)Jul 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-80.01%502.65K
-77.62%642.39K
240.26%2.06M
158.20%2.4M
158.20%2.4M
146.77%2.51M
131.14%2.87M
-64.68%605.43K
-58.39%929.66K
-58.39%929.66K
-Cash and cash equivalents
-94.73%132.65K
-93.99%172.39K
75.09%1.06M
50.63%1.4M
50.63%1.4M
146.77%2.51M
131.14%2.87M
-64.68%605.43K
-58.39%929.66K
-58.39%929.66K
-Short term investments
--370K
--470K
--1M
--1M
--1M
----
----
----
--0
--0
Receivables
-9.79%483.46K
8.26%678.96K
-14.55%560.76K
-13.84%534.48K
-13.84%534.48K
39.70%535.92K
50.47%627.17K
27.08%656.23K
83.73%620.3K
83.73%620.3K
-Accounts receivable
----
----
----
----
----
--0
--0
--0
----
----
-Taxes receivable
189.98%249.15K
495.37%251.9K
138.29%133.69K
246.64%115.1K
246.64%115.1K
227.76%85.92K
-27.65%42.31K
-54.48%56.11K
-47.87%33.21K
-47.87%33.21K
-Other receivables
-47.93%234.32K
-26.98%427.07K
-28.84%427.07K
-28.57%419.38K
-28.57%419.38K
25.91%450K
82.58%584.86K
85.04%600.12K
175.12%587.1K
175.12%587.1K
Prepaid assets
-0.03%38.87K
0.18%42.6K
0.34%46.98K
3.06%39.05K
3.06%39.05K
-6.30%38.88K
70.32%42.52K
56.41%46.82K
28.01%37.89K
28.01%37.89K
Other current assets
----
----
----
----
----
---1
---1
0.00%-1
----
----
Total current assets
-66.82%1.02M
-61.46%1.36M
103.88%2.67M
87.29%2.97M
87.29%2.97M
113.93%3.09M
110.26%3.54M
-42.11%1.31M
-46.09%1.59M
-46.09%1.59M
Non current assets
Net PPE
14.37%11.7M
16.00%11.62M
11.09%10.94M
6.71%10.35M
6.71%10.35M
6.44%10.23M
6.39%10.02M
6.77%9.85M
7.54%9.7M
7.54%9.7M
Non current accounts receivable
----
-89.43%20.47K
-96.11%11.47K
-78.38%81.26K
-78.38%81.26K
-50.52%260.66K
-68.24%193.63K
-57.48%294.99K
-56.07%375.84K
-56.07%375.84K
Other non current assets
----
----
----
----
----
---1
----
--1
----
----
Total non current assets
11.53%11.7M
14.00%11.64M
7.97%10.96M
3.54%10.43M
3.54%10.43M
3.48%10.49M
1.85%10.21M
2.28%10.15M
2.03%10.08M
2.03%10.08M
Total assets
-6.30%12.73M
-5.42%13.01M
18.93%13.62M
14.94%13.41M
14.94%13.41M
17.25%13.58M
17.43%13.75M
-5.96%11.46M
-9.02%11.67M
-9.02%11.67M
Liabilities
Current liabilities
Current debt and capital lease obligation
-47.93%117.16K
-21.69%213.53K
-9.24%209.69K
-9.24%209.69K
-9.24%209.69K
44.20%225K
98.31%272.68K
65.63%231.04K
54.02%231.04K
54.02%231.04K
-Current debt
-47.93%117.16K
-21.69%213.53K
-9.24%209.69K
-9.24%209.69K
-9.24%209.69K
44.20%225K
98.31%272.68K
65.63%231.04K
54.02%231.04K
54.02%231.04K
Current deferred liabilities
0.00%337.32K
0.00%337.32K
0.00%337.32K
0.00%337.32K
0.00%337.32K
0.00%337.32K
0.00%337.32K
0.00%337.32K
0.00%337.32K
0.00%337.32K
Other current liabilities
----
----
-100.01%-1
----
----
10,089,200.00%100.89K
--94.56K
--12.47K
--12.47K
--12.47K
Current liabilities
-30.31%726.17K
-27.90%815.97K
26.98%1.28M
-1.56%969.7K
-1.56%969.7K
7.66%1.04M
13.62%1.13M
-13.65%1.01M
-18.21%985.11K
-18.21%985.11K
Non current liabilities
Long term debt and capital lease obligation
10.08%825.68K
10.67%823.73K
2.05%811.69K
0.31%784.17K
0.31%784.17K
-10.57%750.07K
-12.96%744.3K
-10.23%795.35K
-8.57%781.78K
-8.57%781.78K
-Long term debt
10.08%825.68K
10.67%823.73K
2.05%811.69K
0.31%784.17K
0.31%784.17K
-10.57%750.07K
-12.96%744.3K
-10.23%795.35K
-8.57%781.78K
-8.57%781.78K
Other non current liabilities
----
----
104.08%2
----
----
-814.29%-1
113.00%0.13
--0.98
----
----
Total non current liabilities
10.08%825.68K
10.67%823.73K
2.05%811.7K
0.31%784.17K
0.31%784.17K
-10.57%750.07K
-12.96%744.3K
-10.23%795.35K
-8.57%781.78K
-8.57%781.78K
Total liabilities
-13.40%1.55M
-12.60%1.64M
15.97%2.09M
-0.74%1.75M
-0.74%1.75M
-0.80%1.79M
1.34%1.88M
-12.17%1.8M
-14.20%1.77M
-14.20%1.77M
Shareholders'equity
Share capital
3.57%19.27M
3.54%19.27M
9.26%19.27M
9.26%19.27M
9.26%19.27M
7.11%18.61M
7.46%18.62M
1.83%17.64M
1.83%17.64M
1.83%17.64M
-common stock
3.57%19.27M
3.54%19.27M
9.26%19.27M
9.26%19.27M
9.26%19.27M
7.11%18.61M
7.46%18.62M
1.83%17.64M
1.83%17.64M
1.83%17.64M
Additional paid-in capital
9.72%4.64M
41.43%4.64M
42.61%4.47M
43.03%4.47M
43.03%4.47M
35.17%4.23M
4.86%3.28M
0.30%3.14M
-9.91%3.13M
-9.91%3.13M
Retained earnings
-5.34%-13.88M
-4.52%-13.69M
-3.69%-13.52M
-4.73%-13.4M
-4.73%-13.4M
-4.41%-13.18M
-6.77%-13.1M
-8.70%-13.04M
-9.29%-12.79M
-9.29%-12.79M
Other equity interest
-46.44%1.14M
-62.96%1.14M
-31.84%1.3M
-32.17%1.3M
-32.17%1.3M
12.31%2.13M
83.86%3.07M
14.39%1.91M
14.95%1.92M
14.95%1.92M
Total stockholders'equity
-5.22%11.17M
-4.29%11.37M
19.48%11.53M
17.74%11.65M
17.74%11.65M
20.59%11.79M
20.45%11.88M
-4.70%9.65M
-8.03%9.9M
-8.03%9.9M
Total equity
-5.22%11.17M
-4.29%11.37M
19.48%11.53M
17.74%11.65M
17.74%11.65M
20.59%11.79M
20.45%11.88M
-4.70%9.65M
-8.03%9.9M
-8.03%9.9M
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
--
(Q3)Apr 30, 2024(Q2)Jan 31, 2024(Q1)Oct 31, 2023(FY)Jul 31, 2023(Q4)Jul 31, 2023(Q3)Apr 30, 2023(Q2)Jan 31, 2023(Q1)Oct 31, 2022(FY)Jul 31, 2022(Q4)Jul 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -80.01%502.65K-77.62%642.39K240.26%2.06M158.20%2.4M158.20%2.4M146.77%2.51M131.14%2.87M-64.68%605.43K-58.39%929.66K-58.39%929.66K
-Cash and cash equivalents -94.73%132.65K-93.99%172.39K75.09%1.06M50.63%1.4M50.63%1.4M146.77%2.51M131.14%2.87M-64.68%605.43K-58.39%929.66K-58.39%929.66K
-Short term investments --370K--470K--1M--1M--1M--------------0--0
Receivables -9.79%483.46K8.26%678.96K-14.55%560.76K-13.84%534.48K-13.84%534.48K39.70%535.92K50.47%627.17K27.08%656.23K83.73%620.3K83.73%620.3K
-Accounts receivable ----------------------0--0--0--------
-Taxes receivable 189.98%249.15K495.37%251.9K138.29%133.69K246.64%115.1K246.64%115.1K227.76%85.92K-27.65%42.31K-54.48%56.11K-47.87%33.21K-47.87%33.21K
-Other receivables -47.93%234.32K-26.98%427.07K-28.84%427.07K-28.57%419.38K-28.57%419.38K25.91%450K82.58%584.86K85.04%600.12K175.12%587.1K175.12%587.1K
Prepaid assets -0.03%38.87K0.18%42.6K0.34%46.98K3.06%39.05K3.06%39.05K-6.30%38.88K70.32%42.52K56.41%46.82K28.01%37.89K28.01%37.89K
Other current assets -----------------------1---10.00%-1--------
Total current assets -66.82%1.02M-61.46%1.36M103.88%2.67M87.29%2.97M87.29%2.97M113.93%3.09M110.26%3.54M-42.11%1.31M-46.09%1.59M-46.09%1.59M
Non current assets
Net PPE 14.37%11.7M16.00%11.62M11.09%10.94M6.71%10.35M6.71%10.35M6.44%10.23M6.39%10.02M6.77%9.85M7.54%9.7M7.54%9.7M
Non current accounts receivable -----89.43%20.47K-96.11%11.47K-78.38%81.26K-78.38%81.26K-50.52%260.66K-68.24%193.63K-57.48%294.99K-56.07%375.84K-56.07%375.84K
Other non current assets -----------------------1------1--------
Total non current assets 11.53%11.7M14.00%11.64M7.97%10.96M3.54%10.43M3.54%10.43M3.48%10.49M1.85%10.21M2.28%10.15M2.03%10.08M2.03%10.08M
Total assets -6.30%12.73M-5.42%13.01M18.93%13.62M14.94%13.41M14.94%13.41M17.25%13.58M17.43%13.75M-5.96%11.46M-9.02%11.67M-9.02%11.67M
Liabilities
Current liabilities
Current debt and capital lease obligation -47.93%117.16K-21.69%213.53K-9.24%209.69K-9.24%209.69K-9.24%209.69K44.20%225K98.31%272.68K65.63%231.04K54.02%231.04K54.02%231.04K
-Current debt -47.93%117.16K-21.69%213.53K-9.24%209.69K-9.24%209.69K-9.24%209.69K44.20%225K98.31%272.68K65.63%231.04K54.02%231.04K54.02%231.04K
Current deferred liabilities 0.00%337.32K0.00%337.32K0.00%337.32K0.00%337.32K0.00%337.32K0.00%337.32K0.00%337.32K0.00%337.32K0.00%337.32K0.00%337.32K
Other current liabilities ---------100.01%-1--------10,089,200.00%100.89K--94.56K--12.47K--12.47K--12.47K
Current liabilities -30.31%726.17K-27.90%815.97K26.98%1.28M-1.56%969.7K-1.56%969.7K7.66%1.04M13.62%1.13M-13.65%1.01M-18.21%985.11K-18.21%985.11K
Non current liabilities
Long term debt and capital lease obligation 10.08%825.68K10.67%823.73K2.05%811.69K0.31%784.17K0.31%784.17K-10.57%750.07K-12.96%744.3K-10.23%795.35K-8.57%781.78K-8.57%781.78K
-Long term debt 10.08%825.68K10.67%823.73K2.05%811.69K0.31%784.17K0.31%784.17K-10.57%750.07K-12.96%744.3K-10.23%795.35K-8.57%781.78K-8.57%781.78K
Other non current liabilities --------104.08%2---------814.29%-1113.00%0.13--0.98--------
Total non current liabilities 10.08%825.68K10.67%823.73K2.05%811.7K0.31%784.17K0.31%784.17K-10.57%750.07K-12.96%744.3K-10.23%795.35K-8.57%781.78K-8.57%781.78K
Total liabilities -13.40%1.55M-12.60%1.64M15.97%2.09M-0.74%1.75M-0.74%1.75M-0.80%1.79M1.34%1.88M-12.17%1.8M-14.20%1.77M-14.20%1.77M
Shareholders'equity
Share capital 3.57%19.27M3.54%19.27M9.26%19.27M9.26%19.27M9.26%19.27M7.11%18.61M7.46%18.62M1.83%17.64M1.83%17.64M1.83%17.64M
-common stock 3.57%19.27M3.54%19.27M9.26%19.27M9.26%19.27M9.26%19.27M7.11%18.61M7.46%18.62M1.83%17.64M1.83%17.64M1.83%17.64M
Additional paid-in capital 9.72%4.64M41.43%4.64M42.61%4.47M43.03%4.47M43.03%4.47M35.17%4.23M4.86%3.28M0.30%3.14M-9.91%3.13M-9.91%3.13M
Retained earnings -5.34%-13.88M-4.52%-13.69M-3.69%-13.52M-4.73%-13.4M-4.73%-13.4M-4.41%-13.18M-6.77%-13.1M-8.70%-13.04M-9.29%-12.79M-9.29%-12.79M
Other equity interest -46.44%1.14M-62.96%1.14M-31.84%1.3M-32.17%1.3M-32.17%1.3M12.31%2.13M83.86%3.07M14.39%1.91M14.95%1.92M14.95%1.92M
Total stockholders'equity -5.22%11.17M-4.29%11.37M19.48%11.53M17.74%11.65M17.74%11.65M20.59%11.79M20.45%11.88M-4.70%9.65M-8.03%9.9M-8.03%9.9M
Total equity -5.22%11.17M-4.29%11.37M19.48%11.53M17.74%11.65M17.74%11.65M20.59%11.79M20.45%11.88M-4.70%9.65M-8.03%9.9M-8.03%9.9M
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.

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