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GRYRF GEO ENERGY RESOURCES LTD

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  • 0.225
  • 0.0000.00%
15min DelayClose Aug 29 16:00 ET
315.41MMarket Cap5.11P/E (TTM)

GEO ENERGY RESOURCES LTD 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
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-49.47%75.52M
----
-41.98%135.8M
-41.98%135.8M
----
-15.46%149.46M
----
22.82%234.08M
22.82%234.08M
----
-Cash and cash equivalents
-49.47%75.52M
----
-41.98%135.8M
-41.98%135.8M
----
-15.46%149.46M
----
22.82%234.08M
22.82%234.08M
----
-Accounts receivable
-13.63%12.11M
20.89%85.05M
-28.60%15.14M
-28.60%15.14M
-4.01%80.52M
-67.58%14.02M
-23.75%70.36M
14.17%21.21M
14.17%21.21M
11.59%83.89M
-Taxes receivable
5.15%30.6M
----
-33.69%22.36M
-33.69%22.36M
----
-14.38%29.1M
----
32.11%33.72M
32.11%33.72M
----
-Other receivables
268.29%31.5M
----
83.76%12.51M
83.76%12.51M
----
-52.97%8.55M
----
-56.94%6.81M
-56.94%6.81M
----
Inventory
22.50%48.68M
20.66%40.85M
49.71%46.36M
49.71%46.36M
77.63%42.4M
43.55%39.74M
20.63%33.86M
28.35%30.97M
28.35%30.97M
-18.59%23.87M
Prepaid assets
137.10%91.79M
78.10%70.57M
514.35%73.98M
514.35%73.98M
--59.12M
202.30%38.71M
19.58%39.62M
-18.06%12.04M
-18.06%12.04M
----
Total current assets
3.80%290.19M
----
-9.64%306.16M
-9.64%306.16M
----
-10.59%279.58M
----
17.11%338.83M
17.11%338.83M
----
Non current assets
Net PPE
274.12%490.67M
301.30%416.8M
264.38%493.21M
264.38%493.21M
-11.43%97.61M
-5.91%131.15M
-11.42%103.86M
-6.79%135.36M
-6.79%135.36M
-11.54%110.2M
-Gross PPE
266.44%480.6M
----
152.29%657.49M
152.29%657.49M
----
-5.91%131.15M
----
3.02%260.61M
3.02%260.61M
----
-Accumulated depreciation
----
----
-31.15%-164.28M
-31.15%-164.28M
----
----
----
-16.24%-125.26M
-16.24%-125.26M
----
Goodwill and other intangible assets
----
----
-98.44%153.7K
-98.44%153.7K
----
----
----
6,298.25%9.83M
6,298.25%9.83M
----
-Other intangible assets
----
----
-98.44%153.7K
-98.44%153.7K
----
----
----
6,298.25%9.83M
6,298.25%9.83M
----
Financial assets
----
----
--936K
--936K
----
----
----
----
----
----
Non current deferred assets
5.70%42.87M
0.60%42.13M
24.58%53.35M
24.58%53.35M
-12.68%38.97M
-10.94%40.56M
-10.78%41.88M
-10.38%42.82M
-10.38%42.82M
-9.88%44.63M
Non current prepaid assets
-20.90%16.88M
----
280.87%19.03M
280.87%19.03M
----
12.04%21.34M
----
-73.65%5M
-73.65%5M
----
Other non current assets
5,137.34%8.05M
----
----
----
----
0.00%153.7K
----
----
----
----
Total non current assets
174.37%618.95M
----
181.54%631.21M
181.54%631.21M
----
-2.70%225.59M
----
-5.15%224.2M
-5.15%224.2M
----
Total assets
79.97%909.14M
65.05%905.44M
66.49%937.37M
66.49%937.37M
-3.17%539.38M
-7.23%505.17M
-3.55%548.57M
7.10%563.03M
7.10%563.03M
17.57%557.01M
Liabilities
Current liabilities
Payables
-28.13%67.03M
----
-45.41%57.96M
-45.41%57.96M
----
-33.91%93.28M
----
-9.78%106.18M
-9.78%106.18M
----
-accounts payable
-26.08%66.02M
-22.97%72.19M
-44.85%46.3M
-44.85%46.3M
-30.11%87.47M
-27.16%89.32M
-15.74%93.71M
17.41%83.94M
17.41%83.94M
58.33%125.15M
-Total tax payable
-74.42%1.01M
----
-90.21%2.12M
-90.21%2.12M
----
-78.62%3.96M
----
-50.81%21.69M
-50.81%21.69M
----
-Other payable
----
----
1,659.93%9.54M
1,659.93%9.54M
----
----
----
-74.10%541.93K
-74.10%541.93K
----
Current debt and capital lease obligation
1,126.53%25.31M
----
6,706.46%26.19M
6,706.46%26.19M
----
466.86%2.06M
----
3.92%384.73K
3.92%384.73K
----
-Current debt
505.43%12.3M
----
2,791.22%10.67M
2,791.22%10.67M
----
466.89%2.03M
----
1.14%369.2K
1.14%369.2K
----
-Current capital lease obligation
41,144.16%13.01M
----
99,766.00%15.51M
99,766.00%15.51M
----
465.42%31.54K
----
201.55%15.53K
201.55%15.53K
----
Current liabilities
-3.14%92.35M
----
-9.59%122.63M
-9.59%122.63M
----
-32.63%95.34M
----
-13.66%135.64M
-13.66%135.64M
----
Non current liabilities
Long term provisions
126.20%4.16M
----
132.13%4.06M
132.13%4.06M
----
-9.76%1.84M
----
-9.91%1.75M
-9.91%1.75M
----
Long term debt and capital lease obligation
2,589.79%207.43M
--13.61M
7,285.69%223.82M
7,285.69%223.82M
--35.77M
147.39%7.71M
----
-10.03%3.03M
-10.03%3.03M
----
-Long term debt
2,601.26%207.35M
----
7,044.31%215.57M
7,044.31%215.57M
----
146.97%7.68M
----
-10.08%3.02M
-10.08%3.02M
----
-Long term capital lease obligation
122.40%79.34K
--13.61M
63,149.63%8.25M
63,149.63%8.25M
--35.77M
290.18%35.67K
----
4.58%13.04K
4.58%13.04K
----
Total non current liabilities
1,223.07%297.02M
----
1,550.08%315.13M
1,550.08%315.13M
----
14.08%22.45M
----
-2.09%19.1M
-2.09%19.1M
----
Total liabilities
230.56%389.37M
215.89%400.88M
182.90%437.76M
182.90%437.76M
-6.53%149.56M
-26.92%117.79M
-30.09%126.91M
-12.38%154.74M
-12.38%154.74M
-11.31%160.02M
Shareholders'equity
Share capital
0.00%109.54M
----
0.00%109.54M
0.00%109.54M
----
0.00%109.54M
----
0.12%109.54M
0.12%109.54M
----
-common stock
0.00%109.54M
----
0.00%109.54M
0.00%109.54M
----
0.00%109.54M
----
0.12%109.54M
0.12%109.54M
----
Retained earnings
15.78%315.23M
----
1.56%297.21M
1.56%297.21M
----
2.04%272.27M
----
25.64%292.64M
25.64%292.64M
----
Less: Treasury stock
-37.97%4.3M
----
41.42%6.93M
41.42%6.93M
----
141.07%6.93M
----
127.95%4.9M
127.95%4.9M
----
Total stockholders'equity
13.81%438.84M
0.79%424.06M
2.88%419.1M
2.88%419.1M
-1.69%388.04M
1.20%385.6M
9.03%420.74M
17.13%407.36M
17.13%407.36M
34.83%394.7M
Noncontrolling interests
4,446.64%80.93M
----
8,645.25%80.5M
8,645.25%80.5M
----
-22.51%1.78M
----
-30.40%920.51K
-30.40%920.51K
----
Total equity
34.18%519.77M
19.66%504.56M
22.37%499.6M
22.37%499.6M
-1.81%389.82M
1.06%387.38M
8.89%421.66M
16.95%408.29M
16.95%408.29M
35.33%397M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(Q2)Jun 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments -49.47%75.52M-----41.98%135.8M-41.98%135.8M-----15.46%149.46M----22.82%234.08M22.82%234.08M----
-Cash and cash equivalents -49.47%75.52M-----41.98%135.8M-41.98%135.8M-----15.46%149.46M----22.82%234.08M22.82%234.08M----
-Accounts receivable -13.63%12.11M20.89%85.05M-28.60%15.14M-28.60%15.14M-4.01%80.52M-67.58%14.02M-23.75%70.36M14.17%21.21M14.17%21.21M11.59%83.89M
-Taxes receivable 5.15%30.6M-----33.69%22.36M-33.69%22.36M-----14.38%29.1M----32.11%33.72M32.11%33.72M----
-Other receivables 268.29%31.5M----83.76%12.51M83.76%12.51M-----52.97%8.55M-----56.94%6.81M-56.94%6.81M----
Inventory 22.50%48.68M20.66%40.85M49.71%46.36M49.71%46.36M77.63%42.4M43.55%39.74M20.63%33.86M28.35%30.97M28.35%30.97M-18.59%23.87M
Prepaid assets 137.10%91.79M78.10%70.57M514.35%73.98M514.35%73.98M--59.12M202.30%38.71M19.58%39.62M-18.06%12.04M-18.06%12.04M----
Total current assets 3.80%290.19M-----9.64%306.16M-9.64%306.16M-----10.59%279.58M----17.11%338.83M17.11%338.83M----
Non current assets
Net PPE 274.12%490.67M301.30%416.8M264.38%493.21M264.38%493.21M-11.43%97.61M-5.91%131.15M-11.42%103.86M-6.79%135.36M-6.79%135.36M-11.54%110.2M
-Gross PPE 266.44%480.6M----152.29%657.49M152.29%657.49M-----5.91%131.15M----3.02%260.61M3.02%260.61M----
-Accumulated depreciation ---------31.15%-164.28M-31.15%-164.28M-------------16.24%-125.26M-16.24%-125.26M----
Goodwill and other intangible assets ---------98.44%153.7K-98.44%153.7K------------6,298.25%9.83M6,298.25%9.83M----
-Other intangible assets ---------98.44%153.7K-98.44%153.7K------------6,298.25%9.83M6,298.25%9.83M----
Financial assets ----------936K--936K------------------------
Non current deferred assets 5.70%42.87M0.60%42.13M24.58%53.35M24.58%53.35M-12.68%38.97M-10.94%40.56M-10.78%41.88M-10.38%42.82M-10.38%42.82M-9.88%44.63M
Non current prepaid assets -20.90%16.88M----280.87%19.03M280.87%19.03M----12.04%21.34M-----73.65%5M-73.65%5M----
Other non current assets 5,137.34%8.05M----------------0.00%153.7K----------------
Total non current assets 174.37%618.95M----181.54%631.21M181.54%631.21M-----2.70%225.59M-----5.15%224.2M-5.15%224.2M----
Total assets 79.97%909.14M65.05%905.44M66.49%937.37M66.49%937.37M-3.17%539.38M-7.23%505.17M-3.55%548.57M7.10%563.03M7.10%563.03M17.57%557.01M
Liabilities
Current liabilities
Payables -28.13%67.03M-----45.41%57.96M-45.41%57.96M-----33.91%93.28M-----9.78%106.18M-9.78%106.18M----
-accounts payable -26.08%66.02M-22.97%72.19M-44.85%46.3M-44.85%46.3M-30.11%87.47M-27.16%89.32M-15.74%93.71M17.41%83.94M17.41%83.94M58.33%125.15M
-Total tax payable -74.42%1.01M-----90.21%2.12M-90.21%2.12M-----78.62%3.96M-----50.81%21.69M-50.81%21.69M----
-Other payable --------1,659.93%9.54M1,659.93%9.54M-------------74.10%541.93K-74.10%541.93K----
Current debt and capital lease obligation 1,126.53%25.31M----6,706.46%26.19M6,706.46%26.19M----466.86%2.06M----3.92%384.73K3.92%384.73K----
-Current debt 505.43%12.3M----2,791.22%10.67M2,791.22%10.67M----466.89%2.03M----1.14%369.2K1.14%369.2K----
-Current capital lease obligation 41,144.16%13.01M----99,766.00%15.51M99,766.00%15.51M----465.42%31.54K----201.55%15.53K201.55%15.53K----
Current liabilities -3.14%92.35M-----9.59%122.63M-9.59%122.63M-----32.63%95.34M-----13.66%135.64M-13.66%135.64M----
Non current liabilities
Long term provisions 126.20%4.16M----132.13%4.06M132.13%4.06M-----9.76%1.84M-----9.91%1.75M-9.91%1.75M----
Long term debt and capital lease obligation 2,589.79%207.43M--13.61M7,285.69%223.82M7,285.69%223.82M--35.77M147.39%7.71M-----10.03%3.03M-10.03%3.03M----
-Long term debt 2,601.26%207.35M----7,044.31%215.57M7,044.31%215.57M----146.97%7.68M-----10.08%3.02M-10.08%3.02M----
-Long term capital lease obligation 122.40%79.34K--13.61M63,149.63%8.25M63,149.63%8.25M--35.77M290.18%35.67K----4.58%13.04K4.58%13.04K----
Total non current liabilities 1,223.07%297.02M----1,550.08%315.13M1,550.08%315.13M----14.08%22.45M-----2.09%19.1M-2.09%19.1M----
Total liabilities 230.56%389.37M215.89%400.88M182.90%437.76M182.90%437.76M-6.53%149.56M-26.92%117.79M-30.09%126.91M-12.38%154.74M-12.38%154.74M-11.31%160.02M
Shareholders'equity
Share capital 0.00%109.54M----0.00%109.54M0.00%109.54M----0.00%109.54M----0.12%109.54M0.12%109.54M----
-common stock 0.00%109.54M----0.00%109.54M0.00%109.54M----0.00%109.54M----0.12%109.54M0.12%109.54M----
Retained earnings 15.78%315.23M----1.56%297.21M1.56%297.21M----2.04%272.27M----25.64%292.64M25.64%292.64M----
Less: Treasury stock -37.97%4.3M----41.42%6.93M41.42%6.93M----141.07%6.93M----127.95%4.9M127.95%4.9M----
Total stockholders'equity 13.81%438.84M0.79%424.06M2.88%419.1M2.88%419.1M-1.69%388.04M1.20%385.6M9.03%420.74M17.13%407.36M17.13%407.36M34.83%394.7M
Noncontrolling interests 4,446.64%80.93M----8,645.25%80.5M8,645.25%80.5M-----22.51%1.78M-----30.40%920.51K-30.40%920.51K----
Total equity 34.18%519.77M19.66%504.56M22.37%499.6M22.37%499.6M-1.81%389.82M1.06%387.38M8.89%421.66M16.95%408.29M16.95%408.29M35.33%397M
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