CA Stock MarketDetailed Quotes

ELEM Element79 Gold Corp

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  • 0.025
  • 0.0000.00%
15min DelayMarket Closed Mar 21 15:31 ET
2.70MMarket Cap-0.42P/E (TTM)

Element79 Gold Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Nov 30, 2024
(FY)Aug 31, 2024
(Q4)Aug 31, 2024
(Q3)May 31, 2024
(Q2)Feb 29, 2024
(Q1)Nov 30, 2023
(FY)Aug 31, 2023
(Q4)Aug 31, 2023
(Q3)May 31, 2023
(Q2)Feb 28, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-29.00%17.93K
-63.82%3.22K
-63.82%3.22K
-56.85%91.54K
-88.53%8.67K
145.81%25.25K
77.06%8.89K
77.06%8.89K
1,402.90%212.17K
111.13%75.54K
-Cash and cash equivalents
-29.00%17.93K
-63.82%3.22K
-63.82%3.22K
-56.85%91.54K
-88.53%8.67K
145.81%25.25K
77.06%8.89K
77.06%8.89K
1,402.90%212.17K
111.13%75.54K
Receivables
188.15%56.64K
428.76%60.52K
428.76%60.52K
-57.13%86.47K
-64.04%64.19K
-75.79%19.66K
-88.16%11.45K
-88.16%11.45K
79.69%201.7K
-88.11%178.51K
-Accounts receivable
188.15%56.64K
428.76%60.52K
428.76%60.52K
-57.13%86.47K
-64.04%64.19K
-75.79%19.66K
-88.16%11.45K
-88.16%11.45K
79.69%201.7K
63.55%178.51K
Prepaid assets
239.56%437.94K
214.89%310.16K
214.89%310.16K
65,845.23%449.09K
590.10%111.85K
14.25%128.97K
415.68%98.5K
415.68%98.5K
-99.26%681
-56.78%16.21K
Restricted cash
----
----
----
--11.76K
--11.76K
--11.76K
----
----
----
----
Holding assets for sale
-86.04%441.92K
-86.61%419.76K
-86.61%419.76K
--1.72M
--3.22M
--3.17M
--3.14M
--3.14M
----
----
Total current assets
-71.52%954.42K
-75.61%793.66K
-75.61%793.66K
469.83%2.36M
1,163.87%3.42M
1,539.77%3.35M
2,595.02%3.25M
2,595.02%3.25M
90.14%414.54K
-82.84%270.26K
Non current assets
Net PPE
-8.07%12.51M
-7.09%12.41M
-7.09%12.41M
-35.07%13.83M
-38.86%13.75M
-49.15%13.61M
-48.81%13.36M
-48.81%13.36M
90.45%21.29M
97.34%22.5M
Investments and advances
13.97%2.33M
211,041,600.00%2.11M
211,041,600.00%2.11M
--2.68M
--2.04M
--2.04M
--1
--1
----
----
-Financial asset investment
13.97%2.33M
211,041,600.00%2.11M
211,041,600.00%2.11M
--2.68M
--2.04M
--2.04M
--1
--1
----
----
-Including:Financial assets designated as fair value through profit or loss, Total
13.97%2.33M
211,041,600.00%2.11M
211,041,600.00%2.11M
--2.68M
--2.04M
--2.04M
--1
--1
----
----
Non current deferred assets
----
--0
--0
-5.41%344.1K
-47.09%347.03K
-36.67%415.31K
-42.80%423.54K
-42.80%423.54K
-47.04%363.8K
631.28%655.82K
Other non current assets
--122.46K
0.00%11.76K
0.00%11.76K
----
----
----
--11.76K
--11.76K
--2.13M
----
Total non current assets
-6.89%14.96M
5.36%14.53M
5.36%14.53M
-29.17%16.85M
-30.27%16.14M
-41.41%16.07M
-48.60%13.79M
-48.60%13.79M
96.74%23.78M
101.50%23.15M
Total assets
-18.04%15.92M
-10.10%15.33M
-10.10%15.33M
-20.62%19.21M
-16.49%19.56M
-29.71%19.42M
-36.75%17.05M
-36.75%17.05M
96.63%24.2M
79.28%23.42M
Liabilities
Current liabilities
Current debt and capital lease obligation
-88.47%389.13K
-92.73%227.46K
-92.73%227.46K
-92.69%221.22K
-57.93%1.32M
8.85%3.37M
24.26%3.13M
24.26%3.13M
782.77%3.02M
740.12%3.14M
-Current debt
-88.47%389.13K
-92.73%227.46K
-92.73%227.46K
-92.69%221.22K
-57.93%1.32M
8.85%3.37M
24.26%3.13M
24.26%3.13M
782.77%3.02M
740.12%3.14M
Payables
-60.63%1.13M
-57.80%976.2K
-57.80%976.2K
5.18%1.53M
71.12%2.67M
106.46%2.87M
89.02%2.31M
89.02%2.31M
172.08%1.45M
101.89%1.56M
-accounts payable
-75.62%698.77K
-59.09%689.53K
-59.09%689.53K
-27.98%1.05M
29.09%2.02M
106.63%2.87M
37.71%1.69M
37.71%1.69M
172.08%1.45M
101.89%1.56M
-Due to related parties current
--429.83K
-54.34%286.68K
-54.34%286.68K
--481.75K
--656.45K
----
--627.9K
--627.9K
----
----
Current accrued expenses
-95.36%15.92K
-51.40%137.22K
-51.40%137.22K
-82.40%59.19K
-75.15%78.27K
21.29%342.89K
154.74%282.37K
154.74%282.37K
252.13%336.28K
429.27%314.92K
Current provisions
112.98%1.4M
106.79%1.35M
106.79%1.35M
83.67%1.17M
101.58%1.79M
-4.41%656.17K
-0.39%652.25K
-0.39%652.25K
--636.29K
--885.67K
Current liabilities
-59.51%2.93M
-57.82%2.69M
-57.82%2.69M
-45.37%2.98M
-0.73%5.86M
32.66%7.24M
41.47%6.38M
41.47%6.38M
460.67%5.45M
388.98%5.9M
Non current liabilities
Long term debt and capital lease obligation
----
----
----
----
--1.94M
--1.88M
--1.66M
--1.66M
--1.46M
----
-Long term debt
----
----
----
----
--1.94M
--1.88M
--1.66M
--1.66M
--1.46M
----
Long term provisions
-32.66%1.67M
-40.37%1.52M
-40.37%1.52M
-41.51%1.46M
-39.66%1.46M
-56.34%2.48M
-52.84%2.56M
-52.84%2.56M
--2.49M
--2.42M
Total non current liabilities
-61.68%1.67M
-63.82%1.52M
-63.82%1.52M
-63.06%1.46M
40.39%3.4M
-23.26%4.35M
-22.27%4.21M
-22.27%4.21M
--3.95M
--2.42M
Total liabilities
-60.33%4.6M
-60.21%4.21M
-60.21%4.21M
-52.81%4.44M
11.25%9.26M
4.16%11.59M
6.66%10.59M
6.66%10.59M
867.06%9.4M
589.98%8.32M
Shareholders'equity
Share capital
46.48%35.19M
41.87%34.07M
41.87%34.07M
51.61%36.12M
32.55%28.04M
13.70%24.02M
21.06%24.01M
21.06%24.01M
123.60%23.83M
104.94%21.16M
-common stock
46.48%35.19M
41.87%34.07M
41.87%34.07M
51.61%36.12M
32.55%28.04M
13.70%24.02M
21.06%24.01M
21.06%24.01M
123.60%23.83M
104.94%21.16M
Additional paid-in capital
78.32%1.6M
-33.34%598.21K
-33.34%598.21K
-64.85%529.33K
-1.17%897.35K
-26.05%897.35K
-1.17%897.35K
-1.17%897.35K
65.85%1.51M
1.63%908.01K
Retained earnings
-38.41%-25.6M
-19.17%-23.67M
-19.17%-23.67M
-89.58%-22.1M
-129.98%-19.35M
-166.58%-18.49M
-254.82%-19.86M
-254.82%-19.86M
-198.95%-11.66M
-298.81%-8.41M
Less: Treasury stock
0.00%31.68K
-72.45%31.68K
-72.45%31.68K
--31.68K
--31.68K
--31.68K
--114.98K
--114.98K
----
----
Gains losses not affecting retained earnings
-12.64%117.25K
0.00%117.25K
0.00%117.25K
41.76%222.67K
31.80%234.09K
-24.34%134.21K
-42.78%117.25K
-42.78%117.25K
--157.08K
--177.6K
Other equity interest
-99.07%12.07K
-100.36%-5K
-100.36%-5K
-100.52%-5K
-63.01%469.21K
41.22%1.3M
-16.22%1.4M
-16.22%1.4M
-73.69%965.5K
-53.87%1.27M
Total stockholders'equity
44.21%11.29M
71.67%11.08M
71.67%11.08M
-0.40%14.74M
-32.01%10.26M
-52.56%7.83M
-62.08%6.46M
-62.08%6.46M
30.55%14.8M
27.33%15.1M
Noncontrolling interests
--28.83K
--30.1K
--30.1K
--33.86K
--34.88K
----
--0
--0
----
----
Total equity
44.58%11.32M
72.13%11.11M
72.13%11.11M
-0.17%14.77M
-31.78%10.3M
-52.56%7.83M
-62.08%6.46M
-62.08%6.46M
30.55%14.8M
27.33%15.1M
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
--
--
--
(Q1)Nov 30, 2024(FY)Aug 31, 2024(Q4)Aug 31, 2024(Q3)May 31, 2024(Q2)Feb 29, 2024(Q1)Nov 30, 2023(FY)Aug 31, 2023(Q4)Aug 31, 2023(Q3)May 31, 2023(Q2)Feb 28, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -29.00%17.93K-63.82%3.22K-63.82%3.22K-56.85%91.54K-88.53%8.67K145.81%25.25K77.06%8.89K77.06%8.89K1,402.90%212.17K111.13%75.54K
-Cash and cash equivalents -29.00%17.93K-63.82%3.22K-63.82%3.22K-56.85%91.54K-88.53%8.67K145.81%25.25K77.06%8.89K77.06%8.89K1,402.90%212.17K111.13%75.54K
Receivables 188.15%56.64K428.76%60.52K428.76%60.52K-57.13%86.47K-64.04%64.19K-75.79%19.66K-88.16%11.45K-88.16%11.45K79.69%201.7K-88.11%178.51K
-Accounts receivable 188.15%56.64K428.76%60.52K428.76%60.52K-57.13%86.47K-64.04%64.19K-75.79%19.66K-88.16%11.45K-88.16%11.45K79.69%201.7K63.55%178.51K
Prepaid assets 239.56%437.94K214.89%310.16K214.89%310.16K65,845.23%449.09K590.10%111.85K14.25%128.97K415.68%98.5K415.68%98.5K-99.26%681-56.78%16.21K
Restricted cash --------------11.76K--11.76K--11.76K----------------
Holding assets for sale -86.04%441.92K-86.61%419.76K-86.61%419.76K--1.72M--3.22M--3.17M--3.14M--3.14M--------
Total current assets -71.52%954.42K-75.61%793.66K-75.61%793.66K469.83%2.36M1,163.87%3.42M1,539.77%3.35M2,595.02%3.25M2,595.02%3.25M90.14%414.54K-82.84%270.26K
Non current assets
Net PPE -8.07%12.51M-7.09%12.41M-7.09%12.41M-35.07%13.83M-38.86%13.75M-49.15%13.61M-48.81%13.36M-48.81%13.36M90.45%21.29M97.34%22.5M
Investments and advances 13.97%2.33M211,041,600.00%2.11M211,041,600.00%2.11M--2.68M--2.04M--2.04M--1--1--------
-Financial asset investment 13.97%2.33M211,041,600.00%2.11M211,041,600.00%2.11M--2.68M--2.04M--2.04M--1--1--------
-Including:Financial assets designated as fair value through profit or loss, Total 13.97%2.33M211,041,600.00%2.11M211,041,600.00%2.11M--2.68M--2.04M--2.04M--1--1--------
Non current deferred assets ------0--0-5.41%344.1K-47.09%347.03K-36.67%415.31K-42.80%423.54K-42.80%423.54K-47.04%363.8K631.28%655.82K
Other non current assets --122.46K0.00%11.76K0.00%11.76K--------------11.76K--11.76K--2.13M----
Total non current assets -6.89%14.96M5.36%14.53M5.36%14.53M-29.17%16.85M-30.27%16.14M-41.41%16.07M-48.60%13.79M-48.60%13.79M96.74%23.78M101.50%23.15M
Total assets -18.04%15.92M-10.10%15.33M-10.10%15.33M-20.62%19.21M-16.49%19.56M-29.71%19.42M-36.75%17.05M-36.75%17.05M96.63%24.2M79.28%23.42M
Liabilities
Current liabilities
Current debt and capital lease obligation -88.47%389.13K-92.73%227.46K-92.73%227.46K-92.69%221.22K-57.93%1.32M8.85%3.37M24.26%3.13M24.26%3.13M782.77%3.02M740.12%3.14M
-Current debt -88.47%389.13K-92.73%227.46K-92.73%227.46K-92.69%221.22K-57.93%1.32M8.85%3.37M24.26%3.13M24.26%3.13M782.77%3.02M740.12%3.14M
Payables -60.63%1.13M-57.80%976.2K-57.80%976.2K5.18%1.53M71.12%2.67M106.46%2.87M89.02%2.31M89.02%2.31M172.08%1.45M101.89%1.56M
-accounts payable -75.62%698.77K-59.09%689.53K-59.09%689.53K-27.98%1.05M29.09%2.02M106.63%2.87M37.71%1.69M37.71%1.69M172.08%1.45M101.89%1.56M
-Due to related parties current --429.83K-54.34%286.68K-54.34%286.68K--481.75K--656.45K------627.9K--627.9K--------
Current accrued expenses -95.36%15.92K-51.40%137.22K-51.40%137.22K-82.40%59.19K-75.15%78.27K21.29%342.89K154.74%282.37K154.74%282.37K252.13%336.28K429.27%314.92K
Current provisions 112.98%1.4M106.79%1.35M106.79%1.35M83.67%1.17M101.58%1.79M-4.41%656.17K-0.39%652.25K-0.39%652.25K--636.29K--885.67K
Current liabilities -59.51%2.93M-57.82%2.69M-57.82%2.69M-45.37%2.98M-0.73%5.86M32.66%7.24M41.47%6.38M41.47%6.38M460.67%5.45M388.98%5.9M
Non current liabilities
Long term debt and capital lease obligation ------------------1.94M--1.88M--1.66M--1.66M--1.46M----
-Long term debt ------------------1.94M--1.88M--1.66M--1.66M--1.46M----
Long term provisions -32.66%1.67M-40.37%1.52M-40.37%1.52M-41.51%1.46M-39.66%1.46M-56.34%2.48M-52.84%2.56M-52.84%2.56M--2.49M--2.42M
Total non current liabilities -61.68%1.67M-63.82%1.52M-63.82%1.52M-63.06%1.46M40.39%3.4M-23.26%4.35M-22.27%4.21M-22.27%4.21M--3.95M--2.42M
Total liabilities -60.33%4.6M-60.21%4.21M-60.21%4.21M-52.81%4.44M11.25%9.26M4.16%11.59M6.66%10.59M6.66%10.59M867.06%9.4M589.98%8.32M
Shareholders'equity
Share capital 46.48%35.19M41.87%34.07M41.87%34.07M51.61%36.12M32.55%28.04M13.70%24.02M21.06%24.01M21.06%24.01M123.60%23.83M104.94%21.16M
-common stock 46.48%35.19M41.87%34.07M41.87%34.07M51.61%36.12M32.55%28.04M13.70%24.02M21.06%24.01M21.06%24.01M123.60%23.83M104.94%21.16M
Additional paid-in capital 78.32%1.6M-33.34%598.21K-33.34%598.21K-64.85%529.33K-1.17%897.35K-26.05%897.35K-1.17%897.35K-1.17%897.35K65.85%1.51M1.63%908.01K
Retained earnings -38.41%-25.6M-19.17%-23.67M-19.17%-23.67M-89.58%-22.1M-129.98%-19.35M-166.58%-18.49M-254.82%-19.86M-254.82%-19.86M-198.95%-11.66M-298.81%-8.41M
Less: Treasury stock 0.00%31.68K-72.45%31.68K-72.45%31.68K--31.68K--31.68K--31.68K--114.98K--114.98K--------
Gains losses not affecting retained earnings -12.64%117.25K0.00%117.25K0.00%117.25K41.76%222.67K31.80%234.09K-24.34%134.21K-42.78%117.25K-42.78%117.25K--157.08K--177.6K
Other equity interest -99.07%12.07K-100.36%-5K-100.36%-5K-100.52%-5K-63.01%469.21K41.22%1.3M-16.22%1.4M-16.22%1.4M-73.69%965.5K-53.87%1.27M
Total stockholders'equity 44.21%11.29M71.67%11.08M71.67%11.08M-0.40%14.74M-32.01%10.26M-52.56%7.83M-62.08%6.46M-62.08%6.46M30.55%14.8M27.33%15.1M
Noncontrolling interests --28.83K--30.1K--30.1K--33.86K--34.88K------0--0--------
Total equity 44.58%11.32M72.13%11.11M72.13%11.11M-0.17%14.77M-31.78%10.3M-52.56%7.83M-62.08%6.46M-62.08%6.46M30.55%14.8M27.33%15.1M
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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