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ETFLF EASTFIELD RESOURCES

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  • 0.021
  • -0.002-7.73%
15min DelayClose Feb 26 16:00 ET
1.29MMarket Cap-3.50P/E (TTM)

EASTFIELD RESOURCES 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
406.82%353.69K
387.53%364.05K
503.25%458.1K
136.67%415.84K
136.67%415.84K
-75.64%69.79K
-19.53%74.67K
10.62%75.94K
57.90%175.7K
57.90%175.7K
-Cash and cash equivalents
-20.35%55.59K
47.12%109.86K
-49.26%38.53K
-62.82%65.32K
-62.82%65.32K
-75.64%69.79K
-19.53%74.67K
10.62%75.94K
57.90%175.7K
57.90%175.7K
-Short-term investments
--298.1K
--254.19K
--419.57K
--350.52K
--350.52K
----
----
----
--0
--0
Receivables
391.29%67.39K
627.36%102.19K
-65.73%6.26K
-72.36%7.34K
-72.36%7.34K
-39.10%13.72K
-49.73%14.05K
-29.18%18.27K
-14.00%26.56K
-14.00%26.56K
-Accounts receivable
23.27%6.61K
-24.61%7.52K
-27.17%5.67K
-57.45%5.51K
-57.45%5.51K
-36.30%5.36K
43.67%9.98K
21.32%7.79K
21.61%12.94K
21.61%12.94K
-Related party accounts receivable
84.43%15.41K
804.34%36.84K
-94.36%591
-86.52%1.84K
-86.52%1.84K
-40.76%8.36K
-80.60%4.07K
-45.90%10.48K
-32.71%13.63K
-32.71%13.63K
-Other receivables
--45.37K
--57.82K
----
----
----
----
----
----
----
----
Prepaid assets
----
----
----
----
----
--28.34K
--21.2K
--10.6K
----
----
Other current assets
--34.27K
--40.77K
----
--1
--1
----
----
----
----
----
Total current assets
307.14%455.34K
361.24%507K
343.07%464.36K
109.22%423.18K
109.22%423.18K
-63.81%111.84K
-8.97%109.92K
10.97%104.81K
42.28%202.26K
42.28%202.26K
Non current assets
Net PPE
-3.91%1.34M
-10.66%1.31M
-7.67%1.39M
-8.12%1.36M
-8.12%1.36M
-6.74%1.4M
5.69%1.46M
-1.73%1.5M
-3.19%1.48M
-3.19%1.48M
-Gross PPE
-13.37%1.34M
-18.58%1.31M
-4.46%1.56M
-4.86%1.53M
-4.86%1.53M
-3.99%1.55M
7.57%1.61M
0.46%1.64M
-0.93%1.61M
-0.93%1.61M
-Accumulated depreciation
--0
----
-31.47%-176.28K
-33.58%-167.88K
-33.58%-167.88K
-31.47%-152.48K
-31.67%-142.18K
-34.10%-134.08K
-36.62%-125.68K
-36.62%-125.68K
Investments and advances
----
----
----
--0
--0
-46.78%559.32K
-12.95%977.01K
-38.20%978.25K
-36.12%1.03M
-36.12%1.03M
Non current accounts receivable
----
----
-37.27%71.19K
-33.84%82.69K
-33.84%82.69K
-59.08%83.29K
-53.44%101.36K
-51.37%113.49K
-49.69%124.99K
-49.69%124.99K
Related parties assets
84.43%15.41K
804.34%36.84K
-94.36%591
-86.52%1.84K
-86.52%1.84K
-40.76%8.36K
-80.60%4.07K
-45.90%10.48K
-32.71%13.63K
-32.71%13.63K
Non current prepaid assets
-79.41%28.65K
0.00%139.15K
0.00%139.15K
0.00%139.15K
0.00%139.15K
0.00%139.15K
0.00%139.15K
0.00%139.15K
385.74%139.15K
385.74%139.15K
Other non current assets
--110.5K
----
----
----
----
----
----
----
----
----
Total non current assets
-32.02%1.48M
-46.05%1.45M
-41.54%1.6M
-42.99%1.58M
-42.99%1.58M
-24.66%2.18M
-6.38%2.68M
-21.55%2.73M
-23.64%2.78M
-23.64%2.78M
Total assets
-15.45%1.94M
-30.00%1.95M
-27.34%2.06M
-32.66%2.01M
-32.66%2.01M
-28.44%2.29M
-6.49%2.79M
-20.69%2.84M
-21.16%2.98M
-21.16%2.98M
Liabilities
Current liabilities
Payables
19.24%83.28K
13.97%83.78K
77.54%181.99K
11.78%146.38K
11.78%146.38K
-57.55%69.85K
-27.79%73.52K
-4.85%102.5K
11.60%130.96K
11.60%130.96K
-accounts payable
--0
-19.97%10.28K
57.90%66.05K
-30.23%49.04K
-30.23%49.04K
-93.91%8K
-86.88%12.85K
-58.79%41.83K
-35.74%70.29K
-35.74%70.29K
-Due to related parties current
1,143.04%83.28K
1,230.61%73.5K
1,000.42%60.79K
663.81%42.19K
663.81%42.19K
-79.79%6.7K
41.35%5.52K
-11.12%5.52K
-30.57%5.52K
-30.57%5.52K
-Other payable
----
----
0.00%55.15K
0.00%55.15K
0.00%55.15K
--55.15K
--55.15K
--55.15K
--55.15K
--55.15K
Current debt and capital lease obligation
10.99%83.24K
28.07%108.35K
51.70%128.34K
45.92%123.45K
45.92%123.45K
-12.28%75K
-1.05%84.6K
-14.07%84.6K
-14.07%84.6K
-14.07%84.6K
-Current capital lease obligation
10.99%83.24K
28.07%108.35K
51.70%128.34K
45.92%123.45K
45.92%123.45K
-12.28%75K
-1.05%84.6K
-14.07%84.6K
-14.07%84.6K
-14.07%84.6K
Current deferred liabilities
----
----
----
--0
--0
--22.93K
--22.93K
--22.93K
--22.93K
--22.93K
Current liabilities
-0.75%166.53K
6.12%192.13K
47.75%310.32K
13.14%269.83K
13.14%269.83K
-34.73%167.78K
-3.34%181.05K
-2.96%210.04K
5.50%238.49K
5.50%238.49K
Non current liabilities
Long term debt and capital lease obligation
----
----
-92.74%10.53K
-74.65%41.92K
-74.65%41.92K
-58.19%91.81K
-46.24%130.31K
-42.33%145.04K
-39.69%165.37K
-39.69%165.37K
-Long term capital lease obligation
--0
--0
-92.74%10.53K
-74.65%41.92K
-74.65%41.92K
-58.19%91.81K
-46.24%130.31K
-42.33%145.04K
-39.69%165.37K
-39.69%165.37K
Total non current liabilities
-52.46%43.65K
-66.51%43.65K
-92.74%10.53K
-74.65%41.92K
-74.65%41.92K
-58.19%91.81K
-46.24%130.31K
-42.33%145.04K
-39.69%165.37K
-39.69%165.37K
Total liabilities
-19.04%210.17K
-24.28%235.78K
-9.64%320.85K
-22.81%311.75K
-22.81%311.75K
-45.54%259.59K
-27.54%311.36K
-24.12%355.08K
-19.27%403.86K
-19.27%403.86K
Shareholders'equity
Share capital
-0.04%4.76M
-0.04%4.76M
0.00%4.76M
0.00%4.76M
0.00%4.76M
1.23%4.76M
5.83%4.76M
5.83%4.76M
5.83%4.76M
5.83%4.76M
-common stock
-0.04%4.76M
-0.04%4.76M
0.00%4.76M
0.00%4.76M
0.00%4.76M
1.23%4.76M
5.83%4.76M
5.83%4.76M
5.83%4.76M
5.83%4.76M
Retained earnings
-8.51%-3.46M
-9.08%-3.43M
-10.21%-3.38M
-10.61%-3.35M
-10.61%-3.35M
-13.74%-3.19M
-12.77%-3.14M
-11.21%-3.07M
-15.50%-3.03M
-15.50%-3.03M
Gains losses not affecting retained earnings
-33.43%-863.4K
-267.05%-907.31K
-150.15%-780.28K
-231.51%-857.87K
-231.51%-857.87K
-94.52%-647.07K
5.42%-247.19K
-216.02%-311.93K
-186.11%-258.77K
-186.11%-258.77K
Other equity interest
16.73%1.29M
16.73%1.29M
3.57%1.14M
3.57%1.14M
3.57%1.14M
-4.40%1.11M
0.36%1.11M
0.00%1.1M
0.00%1.1M
0.00%1.1M
Total stockholders'equity
-14.99%1.73M
-30.72%1.72M
-29.87%1.74M
-34.20%1.7M
-34.20%1.7M
-25.45%2.03M
-2.95%2.48M
-20.17%2.48M
-21.45%2.58M
-21.45%2.58M
Total equity
-14.99%1.73M
-30.72%1.72M
-29.87%1.74M
-34.20%1.7M
-34.20%1.7M
-25.45%2.03M
-2.95%2.48M
-20.17%2.48M
-21.45%2.58M
-21.45%2.58M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
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 406.82%353.69K387.53%364.05K503.25%458.1K136.67%415.84K136.67%415.84K-75.64%69.79K-19.53%74.67K10.62%75.94K57.90%175.7K57.90%175.7K
-Cash and cash equivalents -20.35%55.59K47.12%109.86K-49.26%38.53K-62.82%65.32K-62.82%65.32K-75.64%69.79K-19.53%74.67K10.62%75.94K57.90%175.7K57.90%175.7K
-Short-term investments --298.1K--254.19K--419.57K--350.52K--350.52K--------------0--0
Receivables 391.29%67.39K627.36%102.19K-65.73%6.26K-72.36%7.34K-72.36%7.34K-39.10%13.72K-49.73%14.05K-29.18%18.27K-14.00%26.56K-14.00%26.56K
-Accounts receivable 23.27%6.61K-24.61%7.52K-27.17%5.67K-57.45%5.51K-57.45%5.51K-36.30%5.36K43.67%9.98K21.32%7.79K21.61%12.94K21.61%12.94K
-Related party accounts receivable 84.43%15.41K804.34%36.84K-94.36%591-86.52%1.84K-86.52%1.84K-40.76%8.36K-80.60%4.07K-45.90%10.48K-32.71%13.63K-32.71%13.63K
-Other receivables --45.37K--57.82K--------------------------------
Prepaid assets ----------------------28.34K--21.2K--10.6K--------
Other current assets --34.27K--40.77K------1--1--------------------
Total current assets 307.14%455.34K361.24%507K343.07%464.36K109.22%423.18K109.22%423.18K-63.81%111.84K-8.97%109.92K10.97%104.81K42.28%202.26K42.28%202.26K
Non current assets
Net PPE -3.91%1.34M-10.66%1.31M-7.67%1.39M-8.12%1.36M-8.12%1.36M-6.74%1.4M5.69%1.46M-1.73%1.5M-3.19%1.48M-3.19%1.48M
-Gross PPE -13.37%1.34M-18.58%1.31M-4.46%1.56M-4.86%1.53M-4.86%1.53M-3.99%1.55M7.57%1.61M0.46%1.64M-0.93%1.61M-0.93%1.61M
-Accumulated depreciation --0-----31.47%-176.28K-33.58%-167.88K-33.58%-167.88K-31.47%-152.48K-31.67%-142.18K-34.10%-134.08K-36.62%-125.68K-36.62%-125.68K
Investments and advances --------------0--0-46.78%559.32K-12.95%977.01K-38.20%978.25K-36.12%1.03M-36.12%1.03M
Non current accounts receivable ---------37.27%71.19K-33.84%82.69K-33.84%82.69K-59.08%83.29K-53.44%101.36K-51.37%113.49K-49.69%124.99K-49.69%124.99K
Related parties assets 84.43%15.41K804.34%36.84K-94.36%591-86.52%1.84K-86.52%1.84K-40.76%8.36K-80.60%4.07K-45.90%10.48K-32.71%13.63K-32.71%13.63K
Non current prepaid assets -79.41%28.65K0.00%139.15K0.00%139.15K0.00%139.15K0.00%139.15K0.00%139.15K0.00%139.15K0.00%139.15K385.74%139.15K385.74%139.15K
Other non current assets --110.5K------------------------------------
Total non current assets -32.02%1.48M-46.05%1.45M-41.54%1.6M-42.99%1.58M-42.99%1.58M-24.66%2.18M-6.38%2.68M-21.55%2.73M-23.64%2.78M-23.64%2.78M
Total assets -15.45%1.94M-30.00%1.95M-27.34%2.06M-32.66%2.01M-32.66%2.01M-28.44%2.29M-6.49%2.79M-20.69%2.84M-21.16%2.98M-21.16%2.98M
Liabilities
Current liabilities
Payables 19.24%83.28K13.97%83.78K77.54%181.99K11.78%146.38K11.78%146.38K-57.55%69.85K-27.79%73.52K-4.85%102.5K11.60%130.96K11.60%130.96K
-accounts payable --0-19.97%10.28K57.90%66.05K-30.23%49.04K-30.23%49.04K-93.91%8K-86.88%12.85K-58.79%41.83K-35.74%70.29K-35.74%70.29K
-Due to related parties current 1,143.04%83.28K1,230.61%73.5K1,000.42%60.79K663.81%42.19K663.81%42.19K-79.79%6.7K41.35%5.52K-11.12%5.52K-30.57%5.52K-30.57%5.52K
-Other payable --------0.00%55.15K0.00%55.15K0.00%55.15K--55.15K--55.15K--55.15K--55.15K--55.15K
Current debt and capital lease obligation 10.99%83.24K28.07%108.35K51.70%128.34K45.92%123.45K45.92%123.45K-12.28%75K-1.05%84.6K-14.07%84.6K-14.07%84.6K-14.07%84.6K
-Current capital lease obligation 10.99%83.24K28.07%108.35K51.70%128.34K45.92%123.45K45.92%123.45K-12.28%75K-1.05%84.6K-14.07%84.6K-14.07%84.6K-14.07%84.6K
Current deferred liabilities --------------0--0--22.93K--22.93K--22.93K--22.93K--22.93K
Current liabilities -0.75%166.53K6.12%192.13K47.75%310.32K13.14%269.83K13.14%269.83K-34.73%167.78K-3.34%181.05K-2.96%210.04K5.50%238.49K5.50%238.49K
Non current liabilities
Long term debt and capital lease obligation ---------92.74%10.53K-74.65%41.92K-74.65%41.92K-58.19%91.81K-46.24%130.31K-42.33%145.04K-39.69%165.37K-39.69%165.37K
-Long term capital lease obligation --0--0-92.74%10.53K-74.65%41.92K-74.65%41.92K-58.19%91.81K-46.24%130.31K-42.33%145.04K-39.69%165.37K-39.69%165.37K
Total non current liabilities -52.46%43.65K-66.51%43.65K-92.74%10.53K-74.65%41.92K-74.65%41.92K-58.19%91.81K-46.24%130.31K-42.33%145.04K-39.69%165.37K-39.69%165.37K
Total liabilities -19.04%210.17K-24.28%235.78K-9.64%320.85K-22.81%311.75K-22.81%311.75K-45.54%259.59K-27.54%311.36K-24.12%355.08K-19.27%403.86K-19.27%403.86K
Shareholders'equity
Share capital -0.04%4.76M-0.04%4.76M0.00%4.76M0.00%4.76M0.00%4.76M1.23%4.76M5.83%4.76M5.83%4.76M5.83%4.76M5.83%4.76M
-common stock -0.04%4.76M-0.04%4.76M0.00%4.76M0.00%4.76M0.00%4.76M1.23%4.76M5.83%4.76M5.83%4.76M5.83%4.76M5.83%4.76M
Retained earnings -8.51%-3.46M-9.08%-3.43M-10.21%-3.38M-10.61%-3.35M-10.61%-3.35M-13.74%-3.19M-12.77%-3.14M-11.21%-3.07M-15.50%-3.03M-15.50%-3.03M
Gains losses not affecting retained earnings -33.43%-863.4K-267.05%-907.31K-150.15%-780.28K-231.51%-857.87K-231.51%-857.87K-94.52%-647.07K5.42%-247.19K-216.02%-311.93K-186.11%-258.77K-186.11%-258.77K
Other equity interest 16.73%1.29M16.73%1.29M3.57%1.14M3.57%1.14M3.57%1.14M-4.40%1.11M0.36%1.11M0.00%1.1M0.00%1.1M0.00%1.1M
Total stockholders'equity -14.99%1.73M-30.72%1.72M-29.87%1.74M-34.20%1.7M-34.20%1.7M-25.45%2.03M-2.95%2.48M-20.17%2.48M-21.45%2.58M-21.45%2.58M
Total equity -14.99%1.73M-30.72%1.72M-29.87%1.74M-34.20%1.7M-34.20%1.7M-25.45%2.03M-2.95%2.48M-20.17%2.48M-21.45%2.58M-21.45%2.58M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--

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