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CNUCF CANUC RESOURCES CORP CDA

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  • 0.060000
  • 0.0000000.00%
15min DelayClose Sep 23 16:00 ET
9.60MMarket Cap-8571P/E (TTM)

CANUC RESOURCES CORP CDA Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-82.00%265.25K
-8.94%485.2K
643.69%887.31K
643.69%887.31K
727.98%964.37K
472.74%1.47M
-13.22%532.86K
-90.86%119.31K
-90.86%119.31K
-93.53%116.47K
-Cash and cash equivalents
-82.00%265.25K
-8.94%485.2K
643.69%887.31K
643.69%887.31K
727.98%964.37K
472.74%1.47M
-13.22%532.86K
-90.86%119.31K
-90.86%119.31K
-93.53%116.47K
Receivables
399.41%712.31K
224.50%685.24K
2,406.81%647.26K
2,406.81%647.26K
41.78%529.06K
-54.36%142.63K
-18.35%211.17K
-79.62%25.82K
-79.62%25.82K
28.32%373.16K
-Accounts receivable
399.41%712.31K
224.50%685.24K
2,406.81%647.26K
2,406.81%647.26K
41.78%529.06K
-54.36%142.63K
-18.35%211.17K
-79.62%25.82K
-79.62%25.82K
28.32%373.16K
Total current assets
-39.51%977.57K
57.31%1.17M
957.36%1.53M
957.36%1.53M
205.01%1.49M
183.62%1.62M
-14.74%744.03K
-89.87%145.13K
-89.87%145.13K
-76.59%489.63K
Non current assets
Net PPE
--0
--0
----
----
--408
--0
--0
----
----
--0
Total non current assets
--0
--0
--0
--0
--408
--0
--0
--0
--0
--0
Total assets
-39.51%977.57K
57.31%1.17M
957.36%1.53M
957.36%1.53M
204.93%1.49M
183.74%1.62M
-14.74%744.03K
-89.87%145.13K
-89.87%145.13K
-76.59%489.63K
Liabilities
Current liabilities
-Current capital lease obligation
--0
--0
----
----
--0
--0
--0
----
----
--0
Current liabilities
-92.40%112.29K
-71.75%128.88K
-74.20%153.45K
-74.20%153.45K
-34.03%314.93K
144.12%1.48M
-59.06%456.22K
-35.26%594.86K
-35.26%594.86K
-9.84%477.35K
Non current liabilities
Long term provisions
2.80%79.45K
5.10%78.78K
6.33%77.21K
6.33%77.21K
16.05%78.64K
20.34%77.28K
20.19%74.96K
17.79%72.62K
17.79%72.62K
21.28%67.76K
Long term debt and capital lease obligation
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-Long term capital lease obligation
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total non current liabilities
2.80%79.45K
5.10%78.78K
6.33%77.21K
6.33%77.21K
16.05%78.64K
20.34%77.28K
20.19%74.96K
17.79%72.62K
17.79%72.62K
21.28%67.76K
Total liabilities
-87.66%191.73K
-60.91%207.66K
-65.44%230.66K
-65.44%230.66K
-27.80%393.56K
132.24%1.55M
-54.86%531.19K
-31.93%667.47K
-31.93%667.47K
-6.86%545.11K
Shareholders'equity
Share capital
6.83%17.02M
6.83%17.02M
17.22%17.02M
17.22%17.02M
18.36%17.02M
12.85%15.93M
16.17%15.93M
5.87%14.52M
5.87%14.52M
6.02%14.38M
-common stock
6.83%17.02M
6.83%17.02M
17.22%17.02M
17.22%17.02M
18.36%17.02M
12.85%15.93M
16.17%15.93M
5.87%14.52M
5.87%14.52M
6.02%14.38M
Retained earnings
-5.95%-23.05M
-5.00%-22.69M
-8.45%-22.51M
-8.45%-22.51M
-12.65%-22.78M
-8.91%-21.76M
-9.66%-21.61M
-9.15%-20.76M
-9.15%-20.76M
-21.76%-20.23M
Paid-in capital
0.00%4.63M
0.00%4.63M
85.30%4.63M
85.30%4.63M
209.47%4.63M
206.06%4.63M
209.47%4.63M
92.02%2.5M
92.02%2.5M
14.97%1.49M
Gains losses not affecting retained earnings
12.50%-127.39K
-121.48%-308.25K
-0.47%-151.94K
-0.47%-151.94K
39.73%-82.29K
3.30%-145.59K
19.73%-139.18K
-35.89%-151.22K
-35.89%-151.22K
51.07%-136.53K
Other equity interest
64.89%2.32M
64.89%2.32M
-31.16%2.32M
-31.16%2.32M
-47.67%2.32M
-68.03%1.41M
-67.81%1.41M
-26.19%3.37M
-26.19%3.37M
25.46%4.43M
Total stockholders'equity
1,175.10%785.83K
352.34%962.79K
349.63%1.3M
349.63%1.3M
2,081.79%1.1M
161.79%61.63K
170.01%212.84K
-215.69%-522.34K
-215.69%-522.34K
-103.68%-55.48K
Total equity
1,175.10%785.83K
352.34%962.79K
349.63%1.3M
349.63%1.3M
2,081.79%1.1M
161.79%61.63K
170.01%212.84K
-215.69%-522.34K
-215.69%-522.34K
-103.68%-55.48K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
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Unqualified Opinion with Explanatory Notes
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(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(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -82.00%265.25K-8.94%485.2K643.69%887.31K643.69%887.31K727.98%964.37K472.74%1.47M-13.22%532.86K-90.86%119.31K-90.86%119.31K-93.53%116.47K
-Cash and cash equivalents -82.00%265.25K-8.94%485.2K643.69%887.31K643.69%887.31K727.98%964.37K472.74%1.47M-13.22%532.86K-90.86%119.31K-90.86%119.31K-93.53%116.47K
Receivables 399.41%712.31K224.50%685.24K2,406.81%647.26K2,406.81%647.26K41.78%529.06K-54.36%142.63K-18.35%211.17K-79.62%25.82K-79.62%25.82K28.32%373.16K
-Accounts receivable 399.41%712.31K224.50%685.24K2,406.81%647.26K2,406.81%647.26K41.78%529.06K-54.36%142.63K-18.35%211.17K-79.62%25.82K-79.62%25.82K28.32%373.16K
Total current assets -39.51%977.57K57.31%1.17M957.36%1.53M957.36%1.53M205.01%1.49M183.62%1.62M-14.74%744.03K-89.87%145.13K-89.87%145.13K-76.59%489.63K
Non current assets
Net PPE --0--0----------408--0--0----------0
Total non current assets --0--0--0--0--408--0--0--0--0--0
Total assets -39.51%977.57K57.31%1.17M957.36%1.53M957.36%1.53M204.93%1.49M183.74%1.62M-14.74%744.03K-89.87%145.13K-89.87%145.13K-76.59%489.63K
Liabilities
Current liabilities
-Current capital lease obligation --0--0----------0--0--0----------0
Current liabilities -92.40%112.29K-71.75%128.88K-74.20%153.45K-74.20%153.45K-34.03%314.93K144.12%1.48M-59.06%456.22K-35.26%594.86K-35.26%594.86K-9.84%477.35K
Non current liabilities
Long term provisions 2.80%79.45K5.10%78.78K6.33%77.21K6.33%77.21K16.05%78.64K20.34%77.28K20.19%74.96K17.79%72.62K17.79%72.62K21.28%67.76K
Long term debt and capital lease obligation --0--0--0--0--0--0--0--0--0--0
-Long term capital lease obligation --0--0--0--0--0--0--0--0--0--0
Total non current liabilities 2.80%79.45K5.10%78.78K6.33%77.21K6.33%77.21K16.05%78.64K20.34%77.28K20.19%74.96K17.79%72.62K17.79%72.62K21.28%67.76K
Total liabilities -87.66%191.73K-60.91%207.66K-65.44%230.66K-65.44%230.66K-27.80%393.56K132.24%1.55M-54.86%531.19K-31.93%667.47K-31.93%667.47K-6.86%545.11K
Shareholders'equity
Share capital 6.83%17.02M6.83%17.02M17.22%17.02M17.22%17.02M18.36%17.02M12.85%15.93M16.17%15.93M5.87%14.52M5.87%14.52M6.02%14.38M
-common stock 6.83%17.02M6.83%17.02M17.22%17.02M17.22%17.02M18.36%17.02M12.85%15.93M16.17%15.93M5.87%14.52M5.87%14.52M6.02%14.38M
Retained earnings -5.95%-23.05M-5.00%-22.69M-8.45%-22.51M-8.45%-22.51M-12.65%-22.78M-8.91%-21.76M-9.66%-21.61M-9.15%-20.76M-9.15%-20.76M-21.76%-20.23M
Paid-in capital 0.00%4.63M0.00%4.63M85.30%4.63M85.30%4.63M209.47%4.63M206.06%4.63M209.47%4.63M92.02%2.5M92.02%2.5M14.97%1.49M
Gains losses not affecting retained earnings 12.50%-127.39K-121.48%-308.25K-0.47%-151.94K-0.47%-151.94K39.73%-82.29K3.30%-145.59K19.73%-139.18K-35.89%-151.22K-35.89%-151.22K51.07%-136.53K
Other equity interest 64.89%2.32M64.89%2.32M-31.16%2.32M-31.16%2.32M-47.67%2.32M-68.03%1.41M-67.81%1.41M-26.19%3.37M-26.19%3.37M25.46%4.43M
Total stockholders'equity 1,175.10%785.83K352.34%962.79K349.63%1.3M349.63%1.3M2,081.79%1.1M161.79%61.63K170.01%212.84K-215.69%-522.34K-215.69%-522.34K-103.68%-55.48K
Total equity 1,175.10%785.83K352.34%962.79K349.63%1.3M349.63%1.3M2,081.79%1.1M161.79%61.63K170.01%212.84K-215.69%-522.34K-215.69%-522.34K-103.68%-55.48K
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --------------Unqualified Opinion with Explanatory Notes----

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