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ENCUD ENCORE ENERGY CORP

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15min DelayClose Jun 28 09:30 ET
0Market Cap0.00P/E (TTM)

ENCORE ENERGY CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
(Q1)Mar 31, 2021
(FY)Dec 31, 2020
(Q4)Dec 31, 2020
(Q3)Sep 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
532.14%31.16M
78.59%32.91M
76.41%11.65M
76.41%11.65M
189.18%11.59M
69.46%4.93M
337.81%18.43M
136.92%6.6M
136.92%6.6M
39.50%4.01M
-Cash and cash equivalents
426.61%25.96M
78.59%32.91M
76.41%11.65M
76.41%11.65M
251.84%11.59M
69.46%4.93M
337.81%18.43M
136.92%6.6M
136.92%6.6M
14.65%3.29M
-Short-term investments
--5.2M
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--713.91K
Receivables
226.87%1.49M
65.23%1.21M
145.75%795.14K
145.75%795.14K
1,432.33%490.68K
782.44%457.19K
2,048.15%731.44K
751.41%323.56K
751.41%323.56K
0.59%32.02K
-Accounts receivable
226.87%1.49M
65.23%1.21M
145.75%795.14K
145.75%795.14K
1,432.33%490.68K
782.44%457.19K
2,048.15%731.44K
751.41%323.56K
751.41%323.56K
0.59%32.02K
Prepaid assets
--2.58M
--2.5M
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Other current assets
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--8.43M
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Total current assets
554.08%35.23M
146.50%47.23M
111.52%14.65M
111.52%14.65M
199.03%12.08M
81.94%5.39M
351.54%19.16M
145.19%6.93M
145.19%6.93M
39.07%4.04M
Non current assets
Net PPE
1,618.99%184.43M
1,566.83%174.41M
1,595.19%174.86M
1,595.19%174.86M
132.33%12.66M
100.91%10.73M
88.44%10.46M
105.62%10.32M
105.62%10.32M
7.64%5.45M
-Gross PPE
1,618.99%184.43M
1,566.83%174.41M
1,595.19%174.86M
1,595.19%174.86M
--12.66M
--10.73M
--10.46M
105.62%10.32M
105.62%10.32M
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Goodwill and other intangible assets
10.56%708.13K
-0.63%642.81K
-0.63%649.23K
-0.63%649.23K
101.29%634.05K
99.26%640.48K
97.31%646.91K
95.44%653.34K
95.44%653.34K
-12.50%315K
-Other intangible assets
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-0.63%642.81K
-0.63%649.23K
-0.63%649.23K
101.29%634.05K
99.26%640.48K
97.31%646.91K
95.44%653.34K
95.44%653.34K
--315K
Investments and advances
-95.37%577.19K
9.43%641.06K
906.12%6.08M
906.12%6.08M
--6M
--12.48M
--585.8K
--604.69K
--604.69K
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Other non current assets
23.34%5.93M
17.88%5.76M
18.13%5.84M
18.13%5.84M
4,232.88%4.95M
4,029.71%4.81M
3,924.89%4.88M
4,351.20%4.94M
4,351.20%4.94M
0.91%114.26K
Total non current assets
568.75%191.65M
994.48%181.44M
1,034.86%187.43M
1,034.86%187.43M
312.51%24.24M
338.99%28.66M
176.22%16.58M
202.38%16.52M
202.38%16.52M
6.19%5.88M
Total assets
566.97%226.88M
516.16%220.21M
762.03%202.09M
762.03%202.09M
266.27%36.32M
258.50%34.02M
248.84%35.74M
182.88%23.44M
182.88%23.44M
17.51%9.92M
Liabilities
Current liabilities
Payables
303.81%1.71M
282.55%2.32M
1,470.38%7.41M
1,470.38%7.41M
5,323.50%4.25M
326.34%423.23K
34.20%607.5K
24.14%471.64K
24.14%471.64K
-79.62%78.39K
-accounts payable
298.97%1.69M
340.29%2.31M
1,478.41%7.4M
1,478.41%7.4M
5,302.94%4.24M
381.92%423.23K
491.86%525.7K
587.10%468.68K
587.10%468.68K
58.94%78.39K
-Due to related parties current
--20.5K
-88.59%9.33K
195.74%8.74K
195.74%8.74K
--16.12K
--0
-77.52%81.8K
-99.05%2.96K
-99.05%2.96K
--0
Current debt and capital lease obligation
1,453.95%110.67K
1,323.93%102.89K
-75.71%104.11K
-75.71%104.11K
--70.19K
--7.12K
--7.23K
--428.66K
--428.66K
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-Current debt
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--421.35K
--421.35K
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-Current capital lease obligation
1,453.95%110.67K
1,323.93%102.89K
1,323.00%104.11K
1,323.00%104.11K
--70.19K
--7.12K
--7.23K
--7.32K
--7.32K
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Current liabilities
322.84%1.82M
294.79%2.43M
734.23%7.51M
734.23%7.51M
5,413.03%4.32M
333.51%430.35K
35.79%614.73K
136.97%900.3K
136.97%900.3K
-79.62%78.39K
Non current liabilities
Long term provisions
-10.63%5.67M
-20.57%5.36M
-20.62%5.29M
-20.62%5.29M
--6.71M
--6.34M
--6.74M
--6.67M
--6.67M
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Long term debt and capital lease obligation
26,439.65%149.95K
8,046.89%184.69K
5,241.56%212.22K
5,241.56%212.22K
--201K
--565
--2.27K
--3.97K
--3.97K
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-Long term capital lease obligation
26,439.65%149.95K
8,046.89%184.69K
5,241.56%212.22K
5,241.56%212.22K
--201K
--565
--2.27K
--3.97K
--3.97K
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Total non current liabilities
-8.27%5.82M
-17.86%5.54M
-17.49%5.51M
-17.49%5.51M
--6.91M
--6.34M
--6.75M
--6.67M
--6.67M
--0
Total liabilities
12.78%7.64M
8.25%7.97M
71.86%13.02M
71.86%13.02M
14,228.26%11.23M
6,720.42%6.77M
1,526.04%7.36M
1,893.74%7.57M
1,893.74%7.57M
-79.62%78.39K
Shareholders'equity
Share capital
357.25%237.25M
361.70%234.97M
472.07%206.48M
472.07%206.48M
80.73%52.76M
82.68%51.89M
79.62%50.89M
34.72%36.09M
34.72%36.09M
8.58%29.19M
-common stock
357.25%237.25M
361.70%234.97M
472.07%206.48M
472.07%206.48M
80.73%52.76M
82.68%51.89M
79.62%50.89M
34.72%36.09M
34.72%36.09M
8.58%29.19M
Retained earnings
-44.26%-41.47M
-47.21%-39.27M
-45.79%-34.18M
-45.79%-34.18M
-47.63%-32.57M
-33.40%-28.74M
-25.71%-26.68M
-10.94%-23.44M
-10.94%-23.44M
-6.27%-22.06M
Paid-in capital
398.81%19.68M
389.56%18.48M
490.69%16.06M
490.69%16.06M
112.52%4.15M
138.08%3.95M
137.18%3.78M
71.31%2.72M
71.31%2.72M
63.74%1.95M
Gains losses not affecting retained earnings
2,304.62%3.77M
-603.34%-1.94M
41.26%705.6K
41.26%705.6K
-0.79%749.25K
-82.06%156.97K
-64.55%385.61K
-22.07%499.52K
-22.07%499.52K
2.72%755.23K
Total stockholders'equity
704.69%219.24M
647.91%212.24M
1,091.48%189.07M
1,091.48%189.07M
155.03%25.09M
190.18%27.25M
189.79%28.38M
100.68%15.87M
100.68%15.87M
22.15%9.84M
Total equity
704.69%219.24M
647.91%212.24M
1,091.48%189.07M
1,091.48%189.07M
155.03%25.09M
190.18%27.25M
189.79%28.38M
100.68%15.87M
100.68%15.87M
22.15%9.84M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
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Unqualified Opinion
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Unqualified Opinion
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(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(Q2)Jun 30, 2021(Q1)Mar 31, 2021(FY)Dec 31, 2020(Q4)Dec 31, 2020(Q3)Sep 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments 532.14%31.16M78.59%32.91M76.41%11.65M76.41%11.65M189.18%11.59M69.46%4.93M337.81%18.43M136.92%6.6M136.92%6.6M39.50%4.01M
-Cash and cash equivalents 426.61%25.96M78.59%32.91M76.41%11.65M76.41%11.65M251.84%11.59M69.46%4.93M337.81%18.43M136.92%6.6M136.92%6.6M14.65%3.29M
-Short-term investments --5.2M----------------------------------713.91K
Receivables 226.87%1.49M65.23%1.21M145.75%795.14K145.75%795.14K1,432.33%490.68K782.44%457.19K2,048.15%731.44K751.41%323.56K751.41%323.56K0.59%32.02K
-Accounts receivable 226.87%1.49M65.23%1.21M145.75%795.14K145.75%795.14K1,432.33%490.68K782.44%457.19K2,048.15%731.44K751.41%323.56K751.41%323.56K0.59%32.02K
Prepaid assets --2.58M--2.5M--------------------------------
Other current assets ------8.43M--------------------------------
Total current assets 554.08%35.23M146.50%47.23M111.52%14.65M111.52%14.65M199.03%12.08M81.94%5.39M351.54%19.16M145.19%6.93M145.19%6.93M39.07%4.04M
Non current assets
Net PPE 1,618.99%184.43M1,566.83%174.41M1,595.19%174.86M1,595.19%174.86M132.33%12.66M100.91%10.73M88.44%10.46M105.62%10.32M105.62%10.32M7.64%5.45M
-Gross PPE 1,618.99%184.43M1,566.83%174.41M1,595.19%174.86M1,595.19%174.86M--12.66M--10.73M--10.46M105.62%10.32M105.62%10.32M----
Goodwill and other intangible assets 10.56%708.13K-0.63%642.81K-0.63%649.23K-0.63%649.23K101.29%634.05K99.26%640.48K97.31%646.91K95.44%653.34K95.44%653.34K-12.50%315K
-Other intangible assets -----0.63%642.81K-0.63%649.23K-0.63%649.23K101.29%634.05K99.26%640.48K97.31%646.91K95.44%653.34K95.44%653.34K--315K
Investments and advances -95.37%577.19K9.43%641.06K906.12%6.08M906.12%6.08M--6M--12.48M--585.8K--604.69K--604.69K----
Other non current assets 23.34%5.93M17.88%5.76M18.13%5.84M18.13%5.84M4,232.88%4.95M4,029.71%4.81M3,924.89%4.88M4,351.20%4.94M4,351.20%4.94M0.91%114.26K
Total non current assets 568.75%191.65M994.48%181.44M1,034.86%187.43M1,034.86%187.43M312.51%24.24M338.99%28.66M176.22%16.58M202.38%16.52M202.38%16.52M6.19%5.88M
Total assets 566.97%226.88M516.16%220.21M762.03%202.09M762.03%202.09M266.27%36.32M258.50%34.02M248.84%35.74M182.88%23.44M182.88%23.44M17.51%9.92M
Liabilities
Current liabilities
Payables 303.81%1.71M282.55%2.32M1,470.38%7.41M1,470.38%7.41M5,323.50%4.25M326.34%423.23K34.20%607.5K24.14%471.64K24.14%471.64K-79.62%78.39K
-accounts payable 298.97%1.69M340.29%2.31M1,478.41%7.4M1,478.41%7.4M5,302.94%4.24M381.92%423.23K491.86%525.7K587.10%468.68K587.10%468.68K58.94%78.39K
-Due to related parties current --20.5K-88.59%9.33K195.74%8.74K195.74%8.74K--16.12K--0-77.52%81.8K-99.05%2.96K-99.05%2.96K--0
Current debt and capital lease obligation 1,453.95%110.67K1,323.93%102.89K-75.71%104.11K-75.71%104.11K--70.19K--7.12K--7.23K--428.66K--428.66K----
-Current debt ------------------------------421.35K--421.35K----
-Current capital lease obligation 1,453.95%110.67K1,323.93%102.89K1,323.00%104.11K1,323.00%104.11K--70.19K--7.12K--7.23K--7.32K--7.32K----
Current liabilities 322.84%1.82M294.79%2.43M734.23%7.51M734.23%7.51M5,413.03%4.32M333.51%430.35K35.79%614.73K136.97%900.3K136.97%900.3K-79.62%78.39K
Non current liabilities
Long term provisions -10.63%5.67M-20.57%5.36M-20.62%5.29M-20.62%5.29M--6.71M--6.34M--6.74M--6.67M--6.67M----
Long term debt and capital lease obligation 26,439.65%149.95K8,046.89%184.69K5,241.56%212.22K5,241.56%212.22K--201K--565--2.27K--3.97K--3.97K----
-Long term capital lease obligation 26,439.65%149.95K8,046.89%184.69K5,241.56%212.22K5,241.56%212.22K--201K--565--2.27K--3.97K--3.97K----
Total non current liabilities -8.27%5.82M-17.86%5.54M-17.49%5.51M-17.49%5.51M--6.91M--6.34M--6.75M--6.67M--6.67M--0
Total liabilities 12.78%7.64M8.25%7.97M71.86%13.02M71.86%13.02M14,228.26%11.23M6,720.42%6.77M1,526.04%7.36M1,893.74%7.57M1,893.74%7.57M-79.62%78.39K
Shareholders'equity
Share capital 357.25%237.25M361.70%234.97M472.07%206.48M472.07%206.48M80.73%52.76M82.68%51.89M79.62%50.89M34.72%36.09M34.72%36.09M8.58%29.19M
-common stock 357.25%237.25M361.70%234.97M472.07%206.48M472.07%206.48M80.73%52.76M82.68%51.89M79.62%50.89M34.72%36.09M34.72%36.09M8.58%29.19M
Retained earnings -44.26%-41.47M-47.21%-39.27M-45.79%-34.18M-45.79%-34.18M-47.63%-32.57M-33.40%-28.74M-25.71%-26.68M-10.94%-23.44M-10.94%-23.44M-6.27%-22.06M
Paid-in capital 398.81%19.68M389.56%18.48M490.69%16.06M490.69%16.06M112.52%4.15M138.08%3.95M137.18%3.78M71.31%2.72M71.31%2.72M63.74%1.95M
Gains losses not affecting retained earnings 2,304.62%3.77M-603.34%-1.94M41.26%705.6K41.26%705.6K-0.79%749.25K-82.06%156.97K-64.55%385.61K-22.07%499.52K-22.07%499.52K2.72%755.23K
Total stockholders'equity 704.69%219.24M647.91%212.24M1,091.48%189.07M1,091.48%189.07M155.03%25.09M190.18%27.25M189.79%28.38M100.68%15.87M100.68%15.87M22.15%9.84M
Total equity 704.69%219.24M647.91%212.24M1,091.48%189.07M1,091.48%189.07M155.03%25.09M190.18%27.25M189.79%28.38M100.68%15.87M100.68%15.87M22.15%9.84M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

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Price Target

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