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GANDD GANDER GOLD CORP

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  • 0.141
  • 0.0000.00%
15min DelayClose Sep 13 16:00 ET
1.32MMarket Cap-0.77P/E (TTM)

GANDER GOLD CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
(Q1)Sep 30, 2022
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-98.87%17.76K
-98.15%39K
-87.59%349.32K
-18.40%573.44K
-18.40%573.44K
-19.55%1.57M
--2.11M
--2.81M
-84.11%702.74K
--702.74K
-Cash and cash equivalents
-98.87%17.76K
-98.15%39K
-87.59%349.32K
-18.40%573.44K
-18.40%573.44K
-19.55%1.57M
--2.11M
--2.81M
-84.11%702.74K
--702.74K
Receivables
899.75%124.34K
-84.07%32.96K
28.25%109.45K
-68.69%79.14K
-68.69%79.14K
-29.46%12.44K
--206.86K
--85.34K
740.38%252.76K
--252.76K
-Taxes receivable
899.75%124.34K
-84.07%32.96K
28.25%109.45K
-68.69%79.14K
-68.69%79.14K
-29.46%12.44K
--206.86K
--85.34K
740.38%252.76K
--252.76K
Prepaid assets
-86.88%5.25K
-61.30%16.67K
-60.63%28.1K
505.12%143.72K
505.12%143.72K
-59.72%40.02K
--43.08K
--71.36K
--23.75K
--23.75K
Total current assets
-90.91%147.35K
-96.25%88.63K
-83.61%486.86K
-18.68%796.3K
-18.68%796.3K
-21.57%1.62M
--2.36M
--2.97M
-78.01%979.25K
--979.25K
Non current assets
Net PPE
7.39%11.44M
14.80%11.46M
23.65%11.31M
23.74%10.6M
23.74%10.6M
86.98%10.66M
--9.98M
--9.15M
153.33%8.57M
--8.57M
Non current prepaid assets
0.00%28.95K
0.00%28.95K
-58.76%110.38K
37.77%528.95K
37.77%528.95K
-92.79%28.95K
--28.95K
--267.64K
1,226.25%383.95K
--383.95K
Total non current assets
7.37%11.47M
14.76%11.49M
21.31%11.42M
24.34%11.13M
24.34%11.13M
75.14%10.68M
--10.01M
--9.42M
162.44%8.95M
--8.95M
Total assets
-5.57%11.62M
-6.42%11.58M
-3.86%11.91M
20.10%11.93M
20.10%11.93M
50.67%12.3M
--12.37M
--12.39M
26.29%9.93M
--9.93M
Liabilities
Current liabilities
Payables
624.55%214.3K
-48.13%127.84K
1,048.46%409.5K
-60.33%456.12K
-60.33%456.12K
275.58%29.58K
--246.46K
--35.66K
401.43%1.15M
--1.15M
-accounts payable
624.55%214.3K
-44.73%127.84K
1,374.01%409.5K
-60.33%456.12K
-60.33%456.12K
--29.58K
--231.3K
--27.78K
401.43%1.15M
--1.15M
-Due to related parties current
----
----
----
----
----
----
--15.16K
--7.88K
----
----
Current accrued expenses
7.14%22.5K
7.14%15K
42.59%38.5K
105.00%41K
105.00%41K
20.00%21K
--14K
--27K
100.00%20K
--20K
Current debt and capital lease obligation
3,563.20%624.8K
2,892.00%510.32K
1,698.86%300.25K
----
----
--17.06K
--17.06K
--16.69K
----
----
-Current debt
3,563.20%624.8K
2,892.00%510.32K
1,698.86%300.25K
----
----
--17.06K
--17.06K
--16.69K
----
----
Other current liabilities
----
----
----
--100.92K
--100.92K
--153.15K
--153.15K
--521.46K
----
----
Current liabilities
290.25%861.6K
51.66%653.15K
24.54%748.24K
-48.87%598.04K
-48.87%598.04K
770.07%220.78K
--430.66K
--600.81K
-59.51%1.17M
--1.17M
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
290.25%861.6K
51.66%653.15K
24.54%748.24K
-48.87%598.04K
-48.87%598.04K
770.07%220.78K
--430.66K
--600.81K
-59.51%1.17M
--1.17M
Shareholders'equity
Share capital
1.85%13.11M
3.98%13.03M
3.58%12.96M
37.39%12.87M
37.39%12.87M
50.52%12.87M
--12.53M
--12.51M
1,667.19%9.37M
--9.37M
-common stock
1.85%13.11M
3.98%13.03M
3.58%12.96M
37.39%12.87M
37.39%12.87M
50.52%12.87M
--12.53M
--12.51M
1,667.19%9.37M
--9.37M
Retained earnings
-124.83%-3.5M
-142.62%-3.31M
-100.85%-3.02M
-117.47%-2.7M
-117.47%-2.7M
-91.39%-1.56M
---1.36M
---1.5M
-4,834.38%-1.24M
---1.24M
Gains losses not affecting retained earnings
49.20%1.16M
55.17%1.2M
56.94%1.22M
82.01%1.16M
82.01%1.16M
90.56%775.05K
--775.05K
--775.05K
-85.73%638.15K
--638.15K
Total stockholders'equity
-10.97%10.76M
-8.52%10.93M
-5.30%11.16M
29.30%11.33M
29.30%11.33M
48.43%12.08M
--11.94M
--11.79M
76.09%8.76M
--8.76M
Total equity
-10.97%10.76M
-8.52%10.93M
-5.30%11.16M
29.30%11.33M
29.30%11.33M
48.43%12.08M
--11.94M
--11.79M
76.09%8.76M
--8.76M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
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--
--
--
--
--
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Unqualified Opinion with Explanatory Notes
--
(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022(Q1)Sep 30, 2022(FY)Jun 30, 2022(Q4)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -98.87%17.76K-98.15%39K-87.59%349.32K-18.40%573.44K-18.40%573.44K-19.55%1.57M--2.11M--2.81M-84.11%702.74K--702.74K
-Cash and cash equivalents -98.87%17.76K-98.15%39K-87.59%349.32K-18.40%573.44K-18.40%573.44K-19.55%1.57M--2.11M--2.81M-84.11%702.74K--702.74K
Receivables 899.75%124.34K-84.07%32.96K28.25%109.45K-68.69%79.14K-68.69%79.14K-29.46%12.44K--206.86K--85.34K740.38%252.76K--252.76K
-Taxes receivable 899.75%124.34K-84.07%32.96K28.25%109.45K-68.69%79.14K-68.69%79.14K-29.46%12.44K--206.86K--85.34K740.38%252.76K--252.76K
Prepaid assets -86.88%5.25K-61.30%16.67K-60.63%28.1K505.12%143.72K505.12%143.72K-59.72%40.02K--43.08K--71.36K--23.75K--23.75K
Total current assets -90.91%147.35K-96.25%88.63K-83.61%486.86K-18.68%796.3K-18.68%796.3K-21.57%1.62M--2.36M--2.97M-78.01%979.25K--979.25K
Non current assets
Net PPE 7.39%11.44M14.80%11.46M23.65%11.31M23.74%10.6M23.74%10.6M86.98%10.66M--9.98M--9.15M153.33%8.57M--8.57M
Non current prepaid assets 0.00%28.95K0.00%28.95K-58.76%110.38K37.77%528.95K37.77%528.95K-92.79%28.95K--28.95K--267.64K1,226.25%383.95K--383.95K
Total non current assets 7.37%11.47M14.76%11.49M21.31%11.42M24.34%11.13M24.34%11.13M75.14%10.68M--10.01M--9.42M162.44%8.95M--8.95M
Total assets -5.57%11.62M-6.42%11.58M-3.86%11.91M20.10%11.93M20.10%11.93M50.67%12.3M--12.37M--12.39M26.29%9.93M--9.93M
Liabilities
Current liabilities
Payables 624.55%214.3K-48.13%127.84K1,048.46%409.5K-60.33%456.12K-60.33%456.12K275.58%29.58K--246.46K--35.66K401.43%1.15M--1.15M
-accounts payable 624.55%214.3K-44.73%127.84K1,374.01%409.5K-60.33%456.12K-60.33%456.12K--29.58K--231.3K--27.78K401.43%1.15M--1.15M
-Due to related parties current --------------------------15.16K--7.88K--------
Current accrued expenses 7.14%22.5K7.14%15K42.59%38.5K105.00%41K105.00%41K20.00%21K--14K--27K100.00%20K--20K
Current debt and capital lease obligation 3,563.20%624.8K2,892.00%510.32K1,698.86%300.25K----------17.06K--17.06K--16.69K--------
-Current debt 3,563.20%624.8K2,892.00%510.32K1,698.86%300.25K----------17.06K--17.06K--16.69K--------
Other current liabilities --------------100.92K--100.92K--153.15K--153.15K--521.46K--------
Current liabilities 290.25%861.6K51.66%653.15K24.54%748.24K-48.87%598.04K-48.87%598.04K770.07%220.78K--430.66K--600.81K-59.51%1.17M--1.17M
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities 290.25%861.6K51.66%653.15K24.54%748.24K-48.87%598.04K-48.87%598.04K770.07%220.78K--430.66K--600.81K-59.51%1.17M--1.17M
Shareholders'equity
Share capital 1.85%13.11M3.98%13.03M3.58%12.96M37.39%12.87M37.39%12.87M50.52%12.87M--12.53M--12.51M1,667.19%9.37M--9.37M
-common stock 1.85%13.11M3.98%13.03M3.58%12.96M37.39%12.87M37.39%12.87M50.52%12.87M--12.53M--12.51M1,667.19%9.37M--9.37M
Retained earnings -124.83%-3.5M-142.62%-3.31M-100.85%-3.02M-117.47%-2.7M-117.47%-2.7M-91.39%-1.56M---1.36M---1.5M-4,834.38%-1.24M---1.24M
Gains losses not affecting retained earnings 49.20%1.16M55.17%1.2M56.94%1.22M82.01%1.16M82.01%1.16M90.56%775.05K--775.05K--775.05K-85.73%638.15K--638.15K
Total stockholders'equity -10.97%10.76M-8.52%10.93M-5.30%11.16M29.30%11.33M29.30%11.33M48.43%12.08M--11.94M--11.79M76.09%8.76M--8.76M
Total equity -10.97%10.76M-8.52%10.93M-5.30%11.16M29.30%11.33M29.30%11.33M48.43%12.08M--11.94M--11.79M76.09%8.76M--8.76M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----------------Unqualified Opinion with Explanatory Notes--
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