US Stock MarketDetailed Quotes

GAYMF GALWAY METALS INC

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  • 0.395800
  • -0.034700-8.06%
15min DelayClose Oct 15 15:58 ET
33.93MMarket Cap-10994P/E (TTM)

GALWAY METALS INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 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
--5.49M
-41.21%2.5M
-42.64%3.35M
-42.64%3.35M
-36.90%4.85M
-29.25%4.26M
-45.36%5.84M
-45.36%5.84M
-50.29%7.68M
-47.39%10.78M
-Cash and cash equivalents
--5.49M
-41.21%2.5M
-42.64%3.35M
-42.64%3.35M
-36.90%4.85M
-29.25%4.26M
-45.36%5.84M
-45.36%5.84M
-50.29%7.68M
-47.39%10.78M
Receivables
--314.31K
-44.95%294.1K
-18.91%438.11K
-18.91%438.11K
-41.62%440.27K
-50.88%534.25K
-37.74%540.31K
-37.74%540.31K
-35.08%754.12K
11.47%1.09M
-Taxes receivable
--314.31K
-44.95%294.1K
-18.91%438.11K
-18.91%438.11K
-41.62%440.27K
-50.88%534.25K
-37.74%540.31K
-37.74%540.31K
-35.08%754.12K
11.47%1.09M
Prepaid assets
--72.48K
-32.10%75.85K
-65.93%39.26K
-65.93%39.26K
-21.77%57.21K
15.63%111.71K
134.86%115.22K
134.86%115.22K
59.87%73.12K
191.57%85K
Total current assets
--5.88M
-41.41%2.87M
-41.08%3.83M
-41.08%3.83M
-37.19%5.35M
-31.92%4.9M
-44.02%6.49M
-44.02%6.49M
-48.93%8.51M
-44.40%11.95M
Non current assets
Net PPE
--10.48M
6.95%10.42M
6.86%10.4M
6.86%10.4M
6.59%10.34M
6.93%9.74M
7.02%9.74M
7.02%9.74M
8.32%9.7M
7.74%9.11M
-Gross PPE
--10.52M
7.05%10.46M
6.96%10.44M
6.96%10.44M
6.68%10.37M
7.01%9.77M
7.14%9.76M
7.14%9.76M
8.46%9.72M
7.90%9.13M
-Accumulated depreciation
---45.81K
-39.60%-42.41K
-42.96%-39.45K
-42.96%-39.45K
-40.02%-35.95K
-39.15%-30.38K
-81.45%-27.6K
-81.45%-27.6K
-105.76%-25.68K
-148.34%-23.75K
Total non current assets
--10.48M
6.95%10.42M
6.86%10.4M
6.86%10.4M
6.59%10.34M
6.93%9.74M
6.39%9.74M
6.39%9.74M
7.68%9.7M
7.08%9.11M
Total assets
--16.36M
-9.24%13.29M
-12.32%14.23M
-12.32%14.23M
-13.87%15.68M
-10.22%14.65M
-21.79%16.23M
-21.79%16.23M
-29.07%18.21M
-29.80%21.06M
Liabilities
Current liabilities
Current debt and capital lease obligation
--75K
-1.85%72.03K
3.73%72.03K
3.73%72.03K
4.45%70.76K
-0.23%73.39K
-3.70%69.44K
-3.70%69.44K
-6.78%67.74K
-0.93%68.8K
-Current debt
--75K
-1.85%72.03K
3.73%72.03K
3.73%72.03K
4.45%70.76K
-0.23%73.39K
-3.70%69.44K
-3.70%69.44K
-6.78%67.74K
-0.93%68.8K
Other current liabilities
--984.27K
-89.87%118.14K
-48.57%600K
-48.57%600K
51.43%1.77M
--1.17M
-64.20%1.17M
-64.20%1.17M
-78.54%1.17M
-78.54%1.17M
Current liabilities
--1.89M
-31.41%1.07M
-6.12%1.38M
-6.12%1.38M
25.99%2.21M
-28.56%1.56M
-65.71%1.47M
-65.71%1.47M
-75.14%1.76M
-64.25%2.35M
Non current liabilities
Long term debt and capital lease obligation
--69.45K
-44.25%73.31K
-47.22%69.45K
-47.22%69.45K
-49.01%66.86K
-30.78%131.49K
-29.35%131.57K
-29.35%131.57K
-26.74%131.11K
-30.22%124.88K
-Long term debt
--69.45K
-44.25%73.31K
-47.22%69.45K
-47.22%69.45K
-49.01%66.86K
-30.78%131.49K
-29.35%131.57K
-29.35%131.57K
-26.74%131.11K
-30.22%124.88K
Total non current liabilities
--69.45K
-44.25%73.31K
-47.22%69.45K
-47.22%69.45K
-49.01%66.86K
-30.78%131.49K
-29.35%131.57K
-29.35%131.57K
-26.74%131.11K
-30.22%124.88K
Total liabilities
--1.96M
-32.41%1.14M
-9.49%1.45M
-9.49%1.45M
20.78%2.28M
-28.74%1.69M
-64.20%1.6M
-64.20%1.6M
-73.95%1.89M
-63.35%2.48M
Shareholders'equity
Share capital
--71.29M
5.10%68.61M
5.10%68.61M
5.10%68.61M
5.19%68.67M
15.26%65.28M
15.26%65.28M
15.26%65.28M
15.23%65.28M
14.57%64.9M
-common stock
--71.29M
5.10%68.61M
5.10%68.61M
5.10%68.61M
5.19%68.67M
15.26%65.28M
15.26%65.28M
15.26%65.28M
15.23%65.28M
14.57%64.9M
Retained earnings
---67.69M
-7.14%-66.4M
-8.96%-65.69M
-8.96%-65.69M
-11.04%-64.93M
-19.32%-61.97M
-21.68%-60.29M
-21.68%-60.29M
-23.76%-58.47M
-32.27%-55.81M
Paid-in capital
--10.68M
3.31%9.82M
2.72%9.74M
2.72%9.74M
1.87%9.56M
4.54%9.5M
5.09%9.48M
5.09%9.48M
5.98%9.38M
8.74%9.38M
Gains losses not affecting retained earnings
--28.02K
-80.72%27.57K
-82.10%26.68K
-82.10%26.68K
-19.14%109.42K
-7.67%142.94K
-4.72%149.05K
-4.72%149.05K
-22.27%135.31K
-30.36%111.34K
Other equity interest
--91.07K
--91.07K
--91.07K
--91.07K
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Total stockholders'equity
--14.39M
-6.22%12.15M
-12.63%12.78M
-12.63%12.78M
-17.88%13.4M
-7.07%12.96M
-10.10%14.62M
-10.10%14.62M
-11.42%16.32M
-20.04%18.58M
Total equity
--14.39M
-6.22%12.15M
-12.63%12.78M
-12.63%12.78M
-17.88%13.4M
-7.07%12.96M
-10.10%14.62M
-10.10%14.62M
-11.42%16.32M
-20.04%18.58M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
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Unqualified Opinion
--
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(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 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 --5.49M-41.21%2.5M-42.64%3.35M-42.64%3.35M-36.90%4.85M-29.25%4.26M-45.36%5.84M-45.36%5.84M-50.29%7.68M-47.39%10.78M
-Cash and cash equivalents --5.49M-41.21%2.5M-42.64%3.35M-42.64%3.35M-36.90%4.85M-29.25%4.26M-45.36%5.84M-45.36%5.84M-50.29%7.68M-47.39%10.78M
Receivables --314.31K-44.95%294.1K-18.91%438.11K-18.91%438.11K-41.62%440.27K-50.88%534.25K-37.74%540.31K-37.74%540.31K-35.08%754.12K11.47%1.09M
-Taxes receivable --314.31K-44.95%294.1K-18.91%438.11K-18.91%438.11K-41.62%440.27K-50.88%534.25K-37.74%540.31K-37.74%540.31K-35.08%754.12K11.47%1.09M
Prepaid assets --72.48K-32.10%75.85K-65.93%39.26K-65.93%39.26K-21.77%57.21K15.63%111.71K134.86%115.22K134.86%115.22K59.87%73.12K191.57%85K
Total current assets --5.88M-41.41%2.87M-41.08%3.83M-41.08%3.83M-37.19%5.35M-31.92%4.9M-44.02%6.49M-44.02%6.49M-48.93%8.51M-44.40%11.95M
Non current assets
Net PPE --10.48M6.95%10.42M6.86%10.4M6.86%10.4M6.59%10.34M6.93%9.74M7.02%9.74M7.02%9.74M8.32%9.7M7.74%9.11M
-Gross PPE --10.52M7.05%10.46M6.96%10.44M6.96%10.44M6.68%10.37M7.01%9.77M7.14%9.76M7.14%9.76M8.46%9.72M7.90%9.13M
-Accumulated depreciation ---45.81K-39.60%-42.41K-42.96%-39.45K-42.96%-39.45K-40.02%-35.95K-39.15%-30.38K-81.45%-27.6K-81.45%-27.6K-105.76%-25.68K-148.34%-23.75K
Total non current assets --10.48M6.95%10.42M6.86%10.4M6.86%10.4M6.59%10.34M6.93%9.74M6.39%9.74M6.39%9.74M7.68%9.7M7.08%9.11M
Total assets --16.36M-9.24%13.29M-12.32%14.23M-12.32%14.23M-13.87%15.68M-10.22%14.65M-21.79%16.23M-21.79%16.23M-29.07%18.21M-29.80%21.06M
Liabilities
Current liabilities
Current debt and capital lease obligation --75K-1.85%72.03K3.73%72.03K3.73%72.03K4.45%70.76K-0.23%73.39K-3.70%69.44K-3.70%69.44K-6.78%67.74K-0.93%68.8K
-Current debt --75K-1.85%72.03K3.73%72.03K3.73%72.03K4.45%70.76K-0.23%73.39K-3.70%69.44K-3.70%69.44K-6.78%67.74K-0.93%68.8K
Other current liabilities --984.27K-89.87%118.14K-48.57%600K-48.57%600K51.43%1.77M--1.17M-64.20%1.17M-64.20%1.17M-78.54%1.17M-78.54%1.17M
Current liabilities --1.89M-31.41%1.07M-6.12%1.38M-6.12%1.38M25.99%2.21M-28.56%1.56M-65.71%1.47M-65.71%1.47M-75.14%1.76M-64.25%2.35M
Non current liabilities
Long term debt and capital lease obligation --69.45K-44.25%73.31K-47.22%69.45K-47.22%69.45K-49.01%66.86K-30.78%131.49K-29.35%131.57K-29.35%131.57K-26.74%131.11K-30.22%124.88K
-Long term debt --69.45K-44.25%73.31K-47.22%69.45K-47.22%69.45K-49.01%66.86K-30.78%131.49K-29.35%131.57K-29.35%131.57K-26.74%131.11K-30.22%124.88K
Total non current liabilities --69.45K-44.25%73.31K-47.22%69.45K-47.22%69.45K-49.01%66.86K-30.78%131.49K-29.35%131.57K-29.35%131.57K-26.74%131.11K-30.22%124.88K
Total liabilities --1.96M-32.41%1.14M-9.49%1.45M-9.49%1.45M20.78%2.28M-28.74%1.69M-64.20%1.6M-64.20%1.6M-73.95%1.89M-63.35%2.48M
Shareholders'equity
Share capital --71.29M5.10%68.61M5.10%68.61M5.10%68.61M5.19%68.67M15.26%65.28M15.26%65.28M15.26%65.28M15.23%65.28M14.57%64.9M
-common stock --71.29M5.10%68.61M5.10%68.61M5.10%68.61M5.19%68.67M15.26%65.28M15.26%65.28M15.26%65.28M15.23%65.28M14.57%64.9M
Retained earnings ---67.69M-7.14%-66.4M-8.96%-65.69M-8.96%-65.69M-11.04%-64.93M-19.32%-61.97M-21.68%-60.29M-21.68%-60.29M-23.76%-58.47M-32.27%-55.81M
Paid-in capital --10.68M3.31%9.82M2.72%9.74M2.72%9.74M1.87%9.56M4.54%9.5M5.09%9.48M5.09%9.48M5.98%9.38M8.74%9.38M
Gains losses not affecting retained earnings --28.02K-80.72%27.57K-82.10%26.68K-82.10%26.68K-19.14%109.42K-7.67%142.94K-4.72%149.05K-4.72%149.05K-22.27%135.31K-30.36%111.34K
Other equity interest --91.07K--91.07K--91.07K--91.07K------------------------
Total stockholders'equity --14.39M-6.22%12.15M-12.63%12.78M-12.63%12.78M-17.88%13.4M-7.07%12.96M-10.10%14.62M-10.10%14.62M-11.42%16.32M-20.04%18.58M
Total equity --14.39M-6.22%12.15M-12.63%12.78M-12.63%12.78M-17.88%13.4M-7.07%12.96M-10.10%14.62M-10.10%14.62M-11.42%16.32M-20.04%18.58M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------------Unqualified Opinion------

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