CA Stock MarketDetailed Quotes

EXN Excellon Resources Inc

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  • 0.135
  • -0.005-3.57%
15min DelayMarket Closed Jul 12 16:00 ET
14.63MMarket Cap-311P/E (TTM)

Excellon Resources Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-27.47%338K
-49.49%744K
-49.49%744K
-92.98%146K
-98.01%58K
-86.77%466K
-67.45%1.47M
-67.45%1.47M
-57.99%2.08M
-58.95%2.91M
-Cash and cash equivalents
-27.47%338K
-52.93%691K
-52.93%691K
-92.98%146K
-97.98%58K
-86.09%466K
-63.94%1.47M
-63.94%1.47M
-38.82%2.08M
-47.68%2.87M
-Accounts receivable
----
--0
--0
--0
--0
--0
111.66%690K
111.66%690K
86.01%891K
-92.58%131K
Current deferred assets
----
--0
--0
----
----
----
--1.23M
--1.23M
----
----
Total current assets
-79.21%917K
-79.05%1.24M
-79.05%1.24M
-88.77%997K
-58.81%3.88M
-58.47%4.41M
-51.60%5.93M
-51.60%5.93M
-37.41%8.88M
-49.85%9.41M
Non current assets
-Accumulated depreciation
----
----
----
----
----
----
----
----
-50.98%-73.08M
-53.96%-73.48M
-Long term equity investment
--2.68M
----
----
----
----
----
-99.50%47K
-99.50%47K
-99.02%90K
20.25%10.54M
Regulatory assets
-91.00%199K
-93.30%180K
-93.30%180K
-90.69%340K
-28.35%2.1M
-37.66%2.21M
-30.99%2.69M
-30.99%2.69M
-3.49%3.65M
-53.06%2.93M
Total assets
-91.00%199K
-90.99%180K
-90.99%180K
-87.69%340K
-24.99%2.1M
-27.90%2.21M
-44.02%2M
-44.02%2M
-16.46%2.76M
-37.47%2.8M
Liabilities
Current liabilities
Current debt and capital lease obligation
-93.88%763K
4.65%11.99M
4.65%11.99M
10.55%11.96M
7,344.69%13.33M
6,675.00%12.47M
5,303.77%11.46M
5,303.77%11.46M
4,331.97%10.81M
-43.17%179K
-Current debt
----
5.85%11.94M
5.85%11.94M
11.44%11.86M
--13.19M
--12.29M
--11.28M
--11.28M
--10.65M
----
-Current capital lease obligation
326.26%763K
-72.99%47K
-72.99%47K
-45.83%91K
-22.91%138K
-2.72%179K
-17.92%174K
-17.92%174K
-31.15%168K
-43.17%179K
-accounts payable
23.11%9.61M
-2.39%4.49M
-2.39%4.49M
65.09%9.77M
73.59%9.37M
30.56%7.81M
15.34%4.6M
15.34%4.6M
39.24%5.92M
-43.89%5.4M
-Total tax payable
5.47%3.45M
-64.48%748K
-64.48%748K
-46.71%1.48M
-88.85%1.46M
-74.74%3.27M
-82.30%2.11M
-82.30%2.11M
-77.69%2.78M
10.22%13.1M
-Other payable
----
-82.10%41K
-82.10%41K
--97K
--144K
--185K
--229K
--229K
----
----
Current accrued expenses
----
70.89%5.49M
70.89%5.49M
----
----
----
-22.59%3.22M
-22.59%3.22M
----
----
Current provisions
----
-96.96%753K
-96.96%753K
-97.00%722K
-94.60%1.31M
----
3.39%24.77M
3.39%24.77M
8.39%24.04M
--24.31M
Current liabilities
-41.76%13.4M
-44.63%25.72M
-44.63%25.72M
-41.10%25.28M
-14.43%26.93M
-27.91%23.01M
36.02%46.45M
36.02%46.45M
34.18%42.92M
158.11%31.48M
Non current liabilities
-Long term debt
----
--0
--0
--0
--0
--0
-79.83%47K
-79.83%47K
-67.51%90K
-57.36%142K
Non current accrued expenses
-25.31%15.32M
-25.11%15.36M
-25.11%15.36M
-32.20%16.32M
-16.78%20.55M
-25.46%20.51M
-30.04%20.51M
-30.04%20.51M
-48.01%24.08M
-47.67%24.69M
Long term provisions
--2.68M
----
----
----
----
----
----
----
----
23.31%10.39M
Total non current liabilities
-35.88%16.85M
-45.49%26.47M
-45.49%26.47M
-41.44%26.76M
-36.30%28.39M
-41.43%26.28M
5.46%48.56M
5.46%48.56M
2.79%45.7M
85.12%44.57M
Shareholders'equity
Share capital
6.72%150.78M
1.66%143.39M
1.66%143.39M
2.05%143.27M
1.94%142.48M
1.59%141.28M
1.50%141.05M
1.50%141.05M
1.73%140.39M
1.66%139.77M
-common stock
6.72%150.78M
1.66%143.39M
1.66%143.39M
2.05%143.27M
1.94%142.48M
1.59%141.28M
1.50%141.05M
1.50%141.05M
1.73%140.39M
1.66%139.77M
Additional paid-in capital
13.66%39.37M
-3.05%33.7M
-3.05%33.7M
-2.54%33.8M
-1.46%34.2M
-0.02%34.64M
0.56%34.76M
0.56%34.76M
-0.16%34.68M
0.23%34.7M
Gains losses not affecting retained earnings
-2.34%-12.27M
25.46%-12.45M
25.46%-12.45M
21.40%-12.13M
22.28%-12.7M
27.70%-11.99M
-5.38%-16.7M
-5.38%-16.7M
0.04%-15.43M
-7.54%-16.34M
Other equity interest
-78.09%380K
16.67%14K
16.67%14K
-74.26%511K
-28.03%1.72M
6.38%1.73M
-86.36%12K
-86.36%12K
-7.72%1.99M
0.67%2.39M
Total equity
-35.32%16.24M
-37.59%16.64M
-37.59%16.64M
-47.15%17.42M
-27.95%24.57M
-34.16%25.11M
-35.84%26.66M
-35.84%26.66M
-46.00%32.96M
-52.06%34.1M
(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(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -27.47%338K-49.49%744K-49.49%744K-92.98%146K-98.01%58K-86.77%466K-67.45%1.47M-67.45%1.47M-57.99%2.08M-58.95%2.91M
-Cash and cash equivalents -27.47%338K-52.93%691K-52.93%691K-92.98%146K-97.98%58K-86.09%466K-63.94%1.47M-63.94%1.47M-38.82%2.08M-47.68%2.87M
-Accounts receivable ------0--0--0--0--0111.66%690K111.66%690K86.01%891K-92.58%131K
Current deferred assets ------0--0--------------1.23M--1.23M--------
Total current assets -79.21%917K-79.05%1.24M-79.05%1.24M-88.77%997K-58.81%3.88M-58.47%4.41M-51.60%5.93M-51.60%5.93M-37.41%8.88M-49.85%9.41M
Non current assets
-Accumulated depreciation ---------------------------------50.98%-73.08M-53.96%-73.48M
-Long term equity investment --2.68M---------------------99.50%47K-99.50%47K-99.02%90K20.25%10.54M
Regulatory assets -91.00%199K-93.30%180K-93.30%180K-90.69%340K-28.35%2.1M-37.66%2.21M-30.99%2.69M-30.99%2.69M-3.49%3.65M-53.06%2.93M
Total assets -91.00%199K-90.99%180K-90.99%180K-87.69%340K-24.99%2.1M-27.90%2.21M-44.02%2M-44.02%2M-16.46%2.76M-37.47%2.8M
Liabilities
Current liabilities
Current debt and capital lease obligation -93.88%763K4.65%11.99M4.65%11.99M10.55%11.96M7,344.69%13.33M6,675.00%12.47M5,303.77%11.46M5,303.77%11.46M4,331.97%10.81M-43.17%179K
-Current debt ----5.85%11.94M5.85%11.94M11.44%11.86M--13.19M--12.29M--11.28M--11.28M--10.65M----
-Current capital lease obligation 326.26%763K-72.99%47K-72.99%47K-45.83%91K-22.91%138K-2.72%179K-17.92%174K-17.92%174K-31.15%168K-43.17%179K
-accounts payable 23.11%9.61M-2.39%4.49M-2.39%4.49M65.09%9.77M73.59%9.37M30.56%7.81M15.34%4.6M15.34%4.6M39.24%5.92M-43.89%5.4M
-Total tax payable 5.47%3.45M-64.48%748K-64.48%748K-46.71%1.48M-88.85%1.46M-74.74%3.27M-82.30%2.11M-82.30%2.11M-77.69%2.78M10.22%13.1M
-Other payable -----82.10%41K-82.10%41K--97K--144K--185K--229K--229K--------
Current accrued expenses ----70.89%5.49M70.89%5.49M-------------22.59%3.22M-22.59%3.22M--------
Current provisions -----96.96%753K-96.96%753K-97.00%722K-94.60%1.31M----3.39%24.77M3.39%24.77M8.39%24.04M--24.31M
Current liabilities -41.76%13.4M-44.63%25.72M-44.63%25.72M-41.10%25.28M-14.43%26.93M-27.91%23.01M36.02%46.45M36.02%46.45M34.18%42.92M158.11%31.48M
Non current liabilities
-Long term debt ------0--0--0--0--0-79.83%47K-79.83%47K-67.51%90K-57.36%142K
Non current accrued expenses -25.31%15.32M-25.11%15.36M-25.11%15.36M-32.20%16.32M-16.78%20.55M-25.46%20.51M-30.04%20.51M-30.04%20.51M-48.01%24.08M-47.67%24.69M
Long term provisions --2.68M--------------------------------23.31%10.39M
Total non current liabilities -35.88%16.85M-45.49%26.47M-45.49%26.47M-41.44%26.76M-36.30%28.39M-41.43%26.28M5.46%48.56M5.46%48.56M2.79%45.7M85.12%44.57M
Shareholders'equity
Share capital 6.72%150.78M1.66%143.39M1.66%143.39M2.05%143.27M1.94%142.48M1.59%141.28M1.50%141.05M1.50%141.05M1.73%140.39M1.66%139.77M
-common stock 6.72%150.78M1.66%143.39M1.66%143.39M2.05%143.27M1.94%142.48M1.59%141.28M1.50%141.05M1.50%141.05M1.73%140.39M1.66%139.77M
Additional paid-in capital 13.66%39.37M-3.05%33.7M-3.05%33.7M-2.54%33.8M-1.46%34.2M-0.02%34.64M0.56%34.76M0.56%34.76M-0.16%34.68M0.23%34.7M
Gains losses not affecting retained earnings -2.34%-12.27M25.46%-12.45M25.46%-12.45M21.40%-12.13M22.28%-12.7M27.70%-11.99M-5.38%-16.7M-5.38%-16.7M0.04%-15.43M-7.54%-16.34M
Other equity interest -78.09%380K16.67%14K16.67%14K-74.26%511K-28.03%1.72M6.38%1.73M-86.36%12K-86.36%12K-7.72%1.99M0.67%2.39M
Total equity -35.32%16.24M-37.59%16.64M-37.59%16.64M-47.15%17.42M-27.95%24.57M-34.16%25.11M-35.84%26.66M-35.84%26.66M-46.00%32.96M-52.06%34.1M

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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