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FNC Fancamp Exploration Ltd

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  • 0.085
  • 0.0000.00%
15min DelayMarket Closed Feb 13 16:00 ET
20.48MMarket Cap2.83P/E (TTM)

Fancamp Exploration Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Oct 31, 2024
(Q1)Jul 31, 2024
(FY)Apr 30, 2024
(Q2)Oct 31, 2023
(Q1)Jul 31, 2023
(FY)Apr 30, 2023
(Q4)Apr 30, 2023
(Q3)Jan 31, 2023
(Q2)Oct 31, 2022
(Q1)Jul 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-3.79%22.79M
5.95%23.33M
-0.35%24.26M
34.67%23.68M
-0.55%22.02M
-13.87%24.35M
-13.87%24.35M
-2.48%26.31M
-23.95%17.59M
-30.81%22.14M
-Cash and cash equivalents
-1.00%1.36M
-99.13%24.62K
-76.18%564.12K
-48.54%1.38M
-44.71%2.85M
-56.65%2.37M
-56.65%2.37M
-24.11%4.87M
-66.44%2.68M
-49.57%5.15M
-Short term investments
-3.96%21.42M
21.55%23.3M
7.81%23.7M
49.61%22.31M
12.82%19.17M
-3.62%21.98M
-3.62%21.98M
4.28%21.44M
-1.57%14.91M
-22.03%16.99M
Receivables
122.53%795.15K
73.51%698.76K
167.84%879.93K
56.36%357.32K
116.15%402.71K
94.15%328.53K
94.15%328.53K
206.87%140.07K
73.82%228.52K
-55.94%186.31K
-Accrued interest receivable
--397.06K
--345.95K
--345.95K
----
----
--0
--0
----
----
----
-Taxes receivable
13.00%349.08K
-14.26%303.8K
73.64%484.97K
38.56%308.91K
96.04%354.31K
70.68%279.29K
70.68%279.29K
131.91%84.49K
82.36%222.94K
10.46%180.73K
-Other receivables
1.25%49.01K
1.25%49.01K
-0.46%49.01K
767.65%48.41K
767.65%48.41K
782.54%49.24K
782.54%49.24K
503.27%55.58K
-39.44%5.58K
-39.44%5.58K
Prepaid assets
24.82%52.79K
19.79%64.73K
-69.13%80.86K
-13.78%42.3K
-32.40%54.04K
220.12%261.92K
220.12%261.92K
-28.21%54.9K
-44.38%49.06K
-52.83%79.94K
Total current assets
-1.86%23.64M
7.20%24.09M
1.14%25.22M
34.81%24.08M
0.30%22.47M
-12.56%24.94M
-12.56%24.94M
-2.20%26.51M
-23.48%17.87M
-31.25%22.41M
Non current assets
Net PPE
-15.18%6.16M
-12.48%6.33M
-6.63%6.18M
-8.17%7.27M
-46.54%7.23M
-49.68%6.62M
-49.68%6.62M
-37.06%8.1M
-37.89%7.92M
6.40%13.53M
Investments and advances
122.44%6.53M
21.98%3.94M
33.81%4.11M
-85.20%2.93M
--3.23M
--3.07M
--3.07M
--20.14M
--19.82M
----
-Long term equity investment
122.44%6.53M
21.98%3.94M
33.81%4.11M
-85.20%2.93M
--3.23M
--3.07M
--3.07M
--20.14M
--19.82M
----
Non current note receivables
31.58%25.08M
13.17%21.57M
3.73%19.77M
--19.06M
--19.06M
--19.06M
--19.06M
----
----
----
Total non current assets
29.08%37.77M
7.85%31.84M
4.55%30.06M
5.52%29.26M
118.25%29.52M
118.53%28.75M
118.53%28.75M
119.48%28.24M
117.61%27.73M
6.40%13.53M
Total assets
15.11%61.41M
7.57%55.93M
2.97%55.28M
17.00%53.35M
44.70%52M
28.82%53.69M
28.82%53.69M
36.98%54.75M
26.34%45.6M
-20.69%35.93M
Liabilities
Current liabilities
Payables
15.52%7.37M
-12.14%6.3M
-6.70%6.46M
1,090.42%6.38M
801.45%7.17M
879.93%6.93M
879.93%6.93M
12.85%584.37K
-12.99%536.24K
15.02%795.24K
-accounts payable
-9.42%262.21K
-52.74%225.44K
8.68%263.6K
101.43%289.49K
19.24%477.06K
-19.31%242.55K
-19.31%242.55K
77.90%193.03K
-27.82%143.72K
56.18%400.09K
-Total tax payable
-0.02%6.06M
-9.12%6.06M
-9.12%6.06M
--6.06M
--6.67M
--6.67M
--6.67M
----
----
----
-Due to related parties current
2,871.89%1.05M
-39.71%16K
668.57%141.43K
-90.96%35.5K
-93.28%26.54K
-95.47%18.4K
-95.47%18.4K
-4.40%391.34K
-5.91%392.52K
-9.21%395.16K
Current deferred liabilities
----
----
----
----
----
----
----
0.00%144.19K
0.00%144.19K
0.00%144.19K
Other current liabilities
----
----
----
---1
---1
----
----
----
----
----
Current liabilities
15.52%7.37M
-12.14%6.3M
-6.70%6.46M
838.16%6.38M
663.09%7.17M
713.90%6.93M
713.90%6.93M
-15.48%728.56K
-29.16%680.42K
-9.29%939.43K
Non current liabilities
Non current deferred liabilities
-88.83%455.18K
-88.83%455.18K
-88.83%455.18K
12.39%4.07M
12.39%4.07M
12.39%4.07M
12.39%4.07M
-12.37%3.62M
-12.37%3.62M
-12.37%3.62M
Other non current liabilities
----
----
----
----
----
----
----
0.00%-1
----
----
Total non current liabilities
-88.83%455.18K
-88.83%455.18K
-88.83%455.18K
12.39%4.07M
12.39%4.07M
12.39%4.07M
12.39%4.07M
-12.37%3.62M
-12.37%3.62M
-12.37%3.62M
Total liabilities
-25.13%7.83M
-39.92%6.75M
-37.11%6.92M
142.92%10.46M
146.34%11.24M
145.79%11M
145.79%11M
-12.91%4.35M
-15.53%4.3M
-11.75%4.56M
Shareholders'equity
Share capital
10.68%46.04M
10.68%46.04M
10.68%46.04M
0.00%41.6M
0.00%41.6M
0.00%41.6M
0.00%41.6M
1.88%41.6M
1.88%41.6M
1.88%41.6M
-common stock
10.68%46.04M
10.68%46.04M
10.68%46.04M
0.00%41.6M
0.00%41.6M
0.00%41.6M
0.00%41.6M
1.88%41.6M
1.88%41.6M
1.88%41.6M
Additional paid-in capital
3.09%14.97M
0.00%14.53M
0.00%14.53M
0.08%14.53M
0.13%14.53M
0.17%14.53M
0.17%14.53M
-4.26%14.52M
3.76%14.51M
3.71%14.51M
Retained earnings
43.79%-7.44M
25.91%-11.39M
9.18%-12.2M
10.13%-13.24M
37.63%-15.37M
28.55%-13.44M
28.55%-13.44M
73.10%-5.63M
37.94%-14.73M
-68.89%-24.64M
Total stockholders'equity
24.92%53.58M
20.67%49.18M
13.29%48.36M
3.63%42.89M
29.53%40.76M
14.46%42.69M
14.46%42.69M
43.99%50.49M
33.13%41.39M
-21.79%31.46M
Noncontrolling interests
----
--0
--0
--0
--0
--0
--0
-1.65%-94.6K
-1.44%-94.39K
-1.34%-93.28K
Total equity
24.92%53.58M
20.67%49.18M
13.29%48.36M
3.87%42.89M
29.92%40.76M
14.75%42.69M
14.75%42.69M
44.10%50.4M
33.23%41.29M
-21.84%31.37M
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
--
--
--
--
--
--
--
(Q2)Oct 31, 2024(Q1)Jul 31, 2024(FY)Apr 30, 2024(Q2)Oct 31, 2023(Q1)Jul 31, 2023(FY)Apr 30, 2023(Q4)Apr 30, 2023(Q3)Jan 31, 2023(Q2)Oct 31, 2022(Q1)Jul 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -3.79%22.79M5.95%23.33M-0.35%24.26M34.67%23.68M-0.55%22.02M-13.87%24.35M-13.87%24.35M-2.48%26.31M-23.95%17.59M-30.81%22.14M
-Cash and cash equivalents -1.00%1.36M-99.13%24.62K-76.18%564.12K-48.54%1.38M-44.71%2.85M-56.65%2.37M-56.65%2.37M-24.11%4.87M-66.44%2.68M-49.57%5.15M
-Short term investments -3.96%21.42M21.55%23.3M7.81%23.7M49.61%22.31M12.82%19.17M-3.62%21.98M-3.62%21.98M4.28%21.44M-1.57%14.91M-22.03%16.99M
Receivables 122.53%795.15K73.51%698.76K167.84%879.93K56.36%357.32K116.15%402.71K94.15%328.53K94.15%328.53K206.87%140.07K73.82%228.52K-55.94%186.31K
-Accrued interest receivable --397.06K--345.95K--345.95K----------0--0------------
-Taxes receivable 13.00%349.08K-14.26%303.8K73.64%484.97K38.56%308.91K96.04%354.31K70.68%279.29K70.68%279.29K131.91%84.49K82.36%222.94K10.46%180.73K
-Other receivables 1.25%49.01K1.25%49.01K-0.46%49.01K767.65%48.41K767.65%48.41K782.54%49.24K782.54%49.24K503.27%55.58K-39.44%5.58K-39.44%5.58K
Prepaid assets 24.82%52.79K19.79%64.73K-69.13%80.86K-13.78%42.3K-32.40%54.04K220.12%261.92K220.12%261.92K-28.21%54.9K-44.38%49.06K-52.83%79.94K
Total current assets -1.86%23.64M7.20%24.09M1.14%25.22M34.81%24.08M0.30%22.47M-12.56%24.94M-12.56%24.94M-2.20%26.51M-23.48%17.87M-31.25%22.41M
Non current assets
Net PPE -15.18%6.16M-12.48%6.33M-6.63%6.18M-8.17%7.27M-46.54%7.23M-49.68%6.62M-49.68%6.62M-37.06%8.1M-37.89%7.92M6.40%13.53M
Investments and advances 122.44%6.53M21.98%3.94M33.81%4.11M-85.20%2.93M--3.23M--3.07M--3.07M--20.14M--19.82M----
-Long term equity investment 122.44%6.53M21.98%3.94M33.81%4.11M-85.20%2.93M--3.23M--3.07M--3.07M--20.14M--19.82M----
Non current note receivables 31.58%25.08M13.17%21.57M3.73%19.77M--19.06M--19.06M--19.06M--19.06M------------
Total non current assets 29.08%37.77M7.85%31.84M4.55%30.06M5.52%29.26M118.25%29.52M118.53%28.75M118.53%28.75M119.48%28.24M117.61%27.73M6.40%13.53M
Total assets 15.11%61.41M7.57%55.93M2.97%55.28M17.00%53.35M44.70%52M28.82%53.69M28.82%53.69M36.98%54.75M26.34%45.6M-20.69%35.93M
Liabilities
Current liabilities
Payables 15.52%7.37M-12.14%6.3M-6.70%6.46M1,090.42%6.38M801.45%7.17M879.93%6.93M879.93%6.93M12.85%584.37K-12.99%536.24K15.02%795.24K
-accounts payable -9.42%262.21K-52.74%225.44K8.68%263.6K101.43%289.49K19.24%477.06K-19.31%242.55K-19.31%242.55K77.90%193.03K-27.82%143.72K56.18%400.09K
-Total tax payable -0.02%6.06M-9.12%6.06M-9.12%6.06M--6.06M--6.67M--6.67M--6.67M------------
-Due to related parties current 2,871.89%1.05M-39.71%16K668.57%141.43K-90.96%35.5K-93.28%26.54K-95.47%18.4K-95.47%18.4K-4.40%391.34K-5.91%392.52K-9.21%395.16K
Current deferred liabilities ----------------------------0.00%144.19K0.00%144.19K0.00%144.19K
Other current liabilities ---------------1---1--------------------
Current liabilities 15.52%7.37M-12.14%6.3M-6.70%6.46M838.16%6.38M663.09%7.17M713.90%6.93M713.90%6.93M-15.48%728.56K-29.16%680.42K-9.29%939.43K
Non current liabilities
Non current deferred liabilities -88.83%455.18K-88.83%455.18K-88.83%455.18K12.39%4.07M12.39%4.07M12.39%4.07M12.39%4.07M-12.37%3.62M-12.37%3.62M-12.37%3.62M
Other non current liabilities ----------------------------0.00%-1--------
Total non current liabilities -88.83%455.18K-88.83%455.18K-88.83%455.18K12.39%4.07M12.39%4.07M12.39%4.07M12.39%4.07M-12.37%3.62M-12.37%3.62M-12.37%3.62M
Total liabilities -25.13%7.83M-39.92%6.75M-37.11%6.92M142.92%10.46M146.34%11.24M145.79%11M145.79%11M-12.91%4.35M-15.53%4.3M-11.75%4.56M
Shareholders'equity
Share capital 10.68%46.04M10.68%46.04M10.68%46.04M0.00%41.6M0.00%41.6M0.00%41.6M0.00%41.6M1.88%41.6M1.88%41.6M1.88%41.6M
-common stock 10.68%46.04M10.68%46.04M10.68%46.04M0.00%41.6M0.00%41.6M0.00%41.6M0.00%41.6M1.88%41.6M1.88%41.6M1.88%41.6M
Additional paid-in capital 3.09%14.97M0.00%14.53M0.00%14.53M0.08%14.53M0.13%14.53M0.17%14.53M0.17%14.53M-4.26%14.52M3.76%14.51M3.71%14.51M
Retained earnings 43.79%-7.44M25.91%-11.39M9.18%-12.2M10.13%-13.24M37.63%-15.37M28.55%-13.44M28.55%-13.44M73.10%-5.63M37.94%-14.73M-68.89%-24.64M
Total stockholders'equity 24.92%53.58M20.67%49.18M13.29%48.36M3.63%42.89M29.53%40.76M14.46%42.69M14.46%42.69M43.99%50.49M33.13%41.39M-21.79%31.46M
Noncontrolling interests ------0--0--0--0--0--0-1.65%-94.6K-1.44%-94.39K-1.34%-93.28K
Total equity 24.92%53.58M20.67%49.18M13.29%48.36M3.87%42.89M29.92%40.76M14.75%42.69M14.75%42.69M44.10%50.4M33.23%41.29M-21.84%31.37M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----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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