CA Stock MarketDetailed Quotes

DBG Doubleview Gold Corp

Watchlist
  • 0.800
  • 0.0000.00%
15min DelayTrading Mar 31 11:23 ET
166.49MMarket Cap-80.00P/E (TTM)

Doubleview Gold Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Nov 30, 2024
(Q2)Aug 31, 2024
(Q1)May 31, 2024
(FY)Feb 29, 2024
(Q4)Feb 29, 2024
(Q3)Nov 30, 2023
(Q2)Aug 31, 2023
(Q1)May 31, 2023
(FY)Feb 28, 2023
(Q4)Feb 28, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
1,350.18%4.02M
-75.72%442.05K
-69.37%1.08M
-64.24%1.21M
-64.24%1.21M
-87.72%277.47K
-53.30%1.82M
114.19%3.51M
6.25%3.38M
6.25%3.38M
-Cash and cash equivalents
1,350.18%4.02M
-75.72%442.05K
-69.37%1.08M
-64.24%1.21M
-64.24%1.21M
-87.72%277.47K
-53.30%1.82M
114.19%3.51M
6.25%3.38M
6.25%3.38M
Receivables
-17.52%218.51K
-29.95%117.5K
-47.05%52.06K
-49.31%269.24K
-49.31%269.24K
-36.11%264.91K
-27.85%167.72K
-42.17%98.32K
669.09%531.16K
669.09%531.16K
-Taxes receivable
-15.58%202.36K
-25.31%107.19K
-38.97%27.04K
-2.23%254.31K
-2.23%254.31K
23.65%239.71K
5.79%143.52K
-48.55%44.31K
1,211.57%260.11K
1,211.57%260.11K
-Due from related parties current
-88.63%2.87K
-88.16%2.87K
-81.15%2.87K
-98.83%2.87K
-98.83%2.87K
-83.31%25.21K
-64.89%24.21K
-71.36%15.21K
1,511.02%244.96K
1,511.02%244.96K
-Other receivables
--13.28K
--7.44K
-42.92%22.15K
-53.76%12.07K
-53.76%12.07K
----
----
26.03%38.8K
-23.30%26.1K
-23.30%26.1K
Prepaid assets
113.25%83.41K
-46.68%20.86K
-8.57%55.87K
--0
--0
-95.26%39.11K
-91.46%39.11K
-89.99%61.11K
841.11%94.11K
841.11%94.11K
Total current assets
643.90%4.33M
-71.38%580.4K
-67.76%1.18M
-63.10%1.48M
-63.10%1.48M
-83.38%581.49K
-55.82%2.03M
51.74%3.67M
22.87%4M
22.87%4M
Non current assets
Net PPE
17.39%22.21M
20.04%20.34M
23.43%18.74M
26.45%18.46M
26.45%18.46M
45.47%18.92M
42.02%16.94M
39.06%15.18M
49.23%14.6M
49.23%14.6M
-Gross PPE
17.43%22.25M
20.08%20.37M
23.47%18.76M
26.51%18.48M
26.51%18.48M
45.52%18.94M
42.06%16.96M
39.09%15.19M
49.23%14.61M
49.23%14.61M
-Accumulated depreciation
-56.45%-31.77K
-60.00%-29.05K
-70.59%-26.32K
-88.23%-23.6K
-88.23%-23.6K
-115.27%-20.31K
-98.73%-18.15K
-74.62%-15.43K
-46.83%-12.54K
-46.83%-12.54K
Non current prepaid assets
--39.11K
--39.11K
--39.11K
--39.11K
--39.11K
----
----
----
--0
--0
Other non current assets
1.29%197.05K
1.29%197.05K
1.29%197.05K
1.29%197.05K
1.29%197.05K
-1.27%194.55K
-1.27%194.55K
4.01%194.55K
91.20%194.55K
91.20%194.55K
Total non current assets
17.43%22.45M
20.06%20.58M
23.40%18.97M
26.39%18.69M
26.39%18.69M
44.77%19.12M
41.32%17.14M
38.47%15.37M
49.66%14.79M
49.66%14.79M
Total assets
35.92%26.78M
10.38%21.16M
5.82%20.16M
7.33%20.17M
7.33%20.17M
17.92%19.7M
14.65%19.17M
40.85%19.05M
43.02%18.79M
43.02%18.79M
Liabilities
Current liabilities
Payables
5.01%1.06M
39.85%804.35K
-69.83%167.72K
-72.06%198K
-72.06%198K
81.35%1.01M
2.40%575.15K
-24.29%555.89K
259.81%708.66K
259.81%708.66K
-accounts payable
40.53%1.04M
102.89%803.71K
-69.16%167K
-75.30%121.95K
-75.30%121.95K
36.10%737.21K
-29.47%396.13K
-26.26%541.46K
233.92%493.76K
233.92%493.76K
-Due to related parties current
-91.49%23.08K
-99.65%635
-94.99%723
-64.61%76.06K
-64.61%76.06K
1,779.21%271.26K
--179.02K
--14.42K
337.78%214.91K
337.78%214.91K
Current accrued expenses
-96.90%376
-45.90%6.98K
-13.35%8.79K
179.69%6.42K
179.69%6.42K
239.69%12.12K
462.38%12.9K
-65.00%10.15K
-92.09%2.29K
-92.09%2.29K
Other current liabilities
--763.67K
----
-57.13%94.72K
-57.13%94.72K
-57.13%94.72K
----
----
--220.94K
--220.94K
--220.94K
Current liabilities
78.63%1.82M
37.97%811.32K
-65.54%271.23K
-67.90%299.13K
-67.90%299.13K
82.36%1.02M
-18.96%588.05K
3.11%786.97K
312.42%931.9K
312.42%931.9K
Non current liabilities
Long term provisions
0.00%155.06K
0.00%155.06K
0.00%155.06K
0.00%155.06K
0.00%155.06K
-0.00%155.06K
-0.00%155.06K
101.44%155.06K
101.44%155.06K
101.44%155.06K
Total non current liabilities
0.00%155.06K
0.00%155.06K
0.00%155.06K
0.00%155.06K
0.00%155.06K
-63.08%155.06K
-63.08%155.06K
-54.64%155.06K
-54.64%155.06K
-54.64%155.06K
Total liabilities
68.26%1.98M
30.05%966.39K
-54.75%426.29K
-58.21%454.2K
-58.21%454.2K
20.01%1.18M
-35.13%743.11K
-14.76%942.04K
91.43%1.09M
91.43%1.09M
Shareholders'equity
Share capital
26.31%30.4M
8.95%25.79M
8.63%25.49M
11.20%25.44M
11.20%25.44M
15.24%24.07M
14.47%23.67M
36.19%23.47M
32.74%22.87M
32.74%22.87M
-common stock
26.31%30.4M
8.95%25.79M
8.63%25.49M
11.20%25.44M
11.20%25.44M
15.24%24.07M
14.47%23.67M
36.19%23.47M
32.74%22.87M
32.74%22.87M
Retained earnings
-11.57%-13.51M
-18.02%-13.71M
-14.67%-13.22M
-15.47%-12.13M
-15.47%-12.13M
-14.68%-12.11M
-20.85%-11.61M
-23.92%-11.53M
-14.73%-10.5M
-14.73%-10.5M
Gains losses not affecting retained earnings
19.31%7.83M
23.08%7.83M
--7.46M
20.14%6.41M
20.14%6.41M
21.58%6.56M
41.42%6.36M
----
18.71%5.33M
18.71%5.33M
Other equity interest
5,328.57%76K
--273.33K
----
----
----
--1.4K
----
37.34%6.17M
----
----
Total stockholders'equity
33.87%24.8M
9.59%20.19M
8.97%19.73M
11.36%19.72M
11.36%19.72M
17.79%18.52M
18.31%18.42M
45.80%18.11M
40.84%17.7M
40.84%17.7M
Total equity
33.87%24.8M
9.59%20.19M
8.97%19.73M
11.36%19.72M
11.36%19.72M
17.79%18.52M
18.31%18.42M
45.80%18.11M
40.84%17.7M
40.84%17.7M
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)Nov 30, 2024(Q2)Aug 31, 2024(Q1)May 31, 2024(FY)Feb 29, 2024(Q4)Feb 29, 2024(Q3)Nov 30, 2023(Q2)Aug 31, 2023(Q1)May 31, 2023(FY)Feb 28, 2023(Q4)Feb 28, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 1,350.18%4.02M-75.72%442.05K-69.37%1.08M-64.24%1.21M-64.24%1.21M-87.72%277.47K-53.30%1.82M114.19%3.51M6.25%3.38M6.25%3.38M
-Cash and cash equivalents 1,350.18%4.02M-75.72%442.05K-69.37%1.08M-64.24%1.21M-64.24%1.21M-87.72%277.47K-53.30%1.82M114.19%3.51M6.25%3.38M6.25%3.38M
Receivables -17.52%218.51K-29.95%117.5K-47.05%52.06K-49.31%269.24K-49.31%269.24K-36.11%264.91K-27.85%167.72K-42.17%98.32K669.09%531.16K669.09%531.16K
-Taxes receivable -15.58%202.36K-25.31%107.19K-38.97%27.04K-2.23%254.31K-2.23%254.31K23.65%239.71K5.79%143.52K-48.55%44.31K1,211.57%260.11K1,211.57%260.11K
-Due from related parties current -88.63%2.87K-88.16%2.87K-81.15%2.87K-98.83%2.87K-98.83%2.87K-83.31%25.21K-64.89%24.21K-71.36%15.21K1,511.02%244.96K1,511.02%244.96K
-Other receivables --13.28K--7.44K-42.92%22.15K-53.76%12.07K-53.76%12.07K--------26.03%38.8K-23.30%26.1K-23.30%26.1K
Prepaid assets 113.25%83.41K-46.68%20.86K-8.57%55.87K--0--0-95.26%39.11K-91.46%39.11K-89.99%61.11K841.11%94.11K841.11%94.11K
Total current assets 643.90%4.33M-71.38%580.4K-67.76%1.18M-63.10%1.48M-63.10%1.48M-83.38%581.49K-55.82%2.03M51.74%3.67M22.87%4M22.87%4M
Non current assets
Net PPE 17.39%22.21M20.04%20.34M23.43%18.74M26.45%18.46M26.45%18.46M45.47%18.92M42.02%16.94M39.06%15.18M49.23%14.6M49.23%14.6M
-Gross PPE 17.43%22.25M20.08%20.37M23.47%18.76M26.51%18.48M26.51%18.48M45.52%18.94M42.06%16.96M39.09%15.19M49.23%14.61M49.23%14.61M
-Accumulated depreciation -56.45%-31.77K-60.00%-29.05K-70.59%-26.32K-88.23%-23.6K-88.23%-23.6K-115.27%-20.31K-98.73%-18.15K-74.62%-15.43K-46.83%-12.54K-46.83%-12.54K
Non current prepaid assets --39.11K--39.11K--39.11K--39.11K--39.11K--------------0--0
Other non current assets 1.29%197.05K1.29%197.05K1.29%197.05K1.29%197.05K1.29%197.05K-1.27%194.55K-1.27%194.55K4.01%194.55K91.20%194.55K91.20%194.55K
Total non current assets 17.43%22.45M20.06%20.58M23.40%18.97M26.39%18.69M26.39%18.69M44.77%19.12M41.32%17.14M38.47%15.37M49.66%14.79M49.66%14.79M
Total assets 35.92%26.78M10.38%21.16M5.82%20.16M7.33%20.17M7.33%20.17M17.92%19.7M14.65%19.17M40.85%19.05M43.02%18.79M43.02%18.79M
Liabilities
Current liabilities
Payables 5.01%1.06M39.85%804.35K-69.83%167.72K-72.06%198K-72.06%198K81.35%1.01M2.40%575.15K-24.29%555.89K259.81%708.66K259.81%708.66K
-accounts payable 40.53%1.04M102.89%803.71K-69.16%167K-75.30%121.95K-75.30%121.95K36.10%737.21K-29.47%396.13K-26.26%541.46K233.92%493.76K233.92%493.76K
-Due to related parties current -91.49%23.08K-99.65%635-94.99%723-64.61%76.06K-64.61%76.06K1,779.21%271.26K--179.02K--14.42K337.78%214.91K337.78%214.91K
Current accrued expenses -96.90%376-45.90%6.98K-13.35%8.79K179.69%6.42K179.69%6.42K239.69%12.12K462.38%12.9K-65.00%10.15K-92.09%2.29K-92.09%2.29K
Other current liabilities --763.67K-----57.13%94.72K-57.13%94.72K-57.13%94.72K----------220.94K--220.94K--220.94K
Current liabilities 78.63%1.82M37.97%811.32K-65.54%271.23K-67.90%299.13K-67.90%299.13K82.36%1.02M-18.96%588.05K3.11%786.97K312.42%931.9K312.42%931.9K
Non current liabilities
Long term provisions 0.00%155.06K0.00%155.06K0.00%155.06K0.00%155.06K0.00%155.06K-0.00%155.06K-0.00%155.06K101.44%155.06K101.44%155.06K101.44%155.06K
Total non current liabilities 0.00%155.06K0.00%155.06K0.00%155.06K0.00%155.06K0.00%155.06K-63.08%155.06K-63.08%155.06K-54.64%155.06K-54.64%155.06K-54.64%155.06K
Total liabilities 68.26%1.98M30.05%966.39K-54.75%426.29K-58.21%454.2K-58.21%454.2K20.01%1.18M-35.13%743.11K-14.76%942.04K91.43%1.09M91.43%1.09M
Shareholders'equity
Share capital 26.31%30.4M8.95%25.79M8.63%25.49M11.20%25.44M11.20%25.44M15.24%24.07M14.47%23.67M36.19%23.47M32.74%22.87M32.74%22.87M
-common stock 26.31%30.4M8.95%25.79M8.63%25.49M11.20%25.44M11.20%25.44M15.24%24.07M14.47%23.67M36.19%23.47M32.74%22.87M32.74%22.87M
Retained earnings -11.57%-13.51M-18.02%-13.71M-14.67%-13.22M-15.47%-12.13M-15.47%-12.13M-14.68%-12.11M-20.85%-11.61M-23.92%-11.53M-14.73%-10.5M-14.73%-10.5M
Gains losses not affecting retained earnings 19.31%7.83M23.08%7.83M--7.46M20.14%6.41M20.14%6.41M21.58%6.56M41.42%6.36M----18.71%5.33M18.71%5.33M
Other equity interest 5,328.57%76K--273.33K--------------1.4K----37.34%6.17M--------
Total stockholders'equity 33.87%24.8M9.59%20.19M8.97%19.73M11.36%19.72M11.36%19.72M17.79%18.52M18.31%18.42M45.80%18.11M40.84%17.7M40.84%17.7M
Total equity 33.87%24.8M9.59%20.19M8.97%19.73M11.36%19.72M11.36%19.72M17.79%18.52M18.31%18.42M45.80%18.11M40.84%17.7M40.84%17.7M
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.

Market Insights

Big Five Big Five

The "Big Five" refers to Canada's five largest banks—Royal Bank of Canada, Toronto-Dominion Bank, Bank of Nova Scotia, Bank of Montreal, and Canadian Imperial Bank of Commerce—which dominate and significantly influence the country's financial sector. The "Big Five" refers to Canada's five largest banks—Royal Bank of Canada, Toronto-Dominion Bank, Bank of Nova Scotia, Bank of Montreal, and Canadian Imperial Bank of Commerce—which dominate and significantly influence the country's financial sector.

Unlock Now