US Stock MarketDetailed Quotes

GSRCF GSP RESOURCE CORP

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  • 0.100000
  • +0.040300+67.50%
15min DelayClose Jul 22 16:00 ET
2.89MMarket Cap-14285P/E (TTM)

GSP RESOURCE CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Feb 29, 2024
(Q2)Nov 30, 2023
(Q1)Aug 31, 2023
(FY)May 31, 2023
(Q4)May 31, 2023
(Q3)Feb 28, 2023
(Q2)Nov 30, 2022
(Q1)Aug 31, 2022
(FY)May 31, 2022
(Q4)May 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
75.66%266.24K
132.65%337.2K
41.10%304.36K
-21.23%194.66K
-21.23%194.66K
-13.47%151.57K
-57.01%144.94K
-66.58%215.7K
-67.11%247.12K
-67.11%247.12K
-Cash and cash equivalents
77.45%262.74K
135.47%334.7K
41.54%300.36K
-21.26%189.06K
-21.26%189.06K
-13.68%148.07K
-57.84%142.14K
-66.07%212.2K
-66.10%240.12K
-66.10%240.12K
-Short-term investments
0.00%3.5K
-10.71%2.5K
14.29%4K
-20.00%5.6K
-20.00%5.6K
-3.45%3.5K
--2.8K
-82.50%3.5K
-83.72%7K
-83.72%7K
Receivables
863.98%32.54K
112.17%26.03K
39.57%11.1K
5.57%6.59K
5.57%6.59K
20.27%3.38K
-72.89%12.27K
-75.16%7.95K
-17.92%6.25K
-17.92%6.25K
-Taxes receivable
863.98%32.54K
112.17%26.03K
39.57%11.1K
5.57%6.59K
5.57%6.59K
20.27%3.38K
-72.89%12.27K
-75.16%7.95K
-17.92%6.25K
-17.92%6.25K
Prepaid assets
-32.37%8.92K
948.79%33.3K
3.89%6.6K
3.91%9.9K
3.91%9.9K
--13.2K
-94.62%3.18K
-64.19%6.35K
-84.40%9.53K
-84.40%9.53K
Other current assets
----
--1
----
----
----
----
----
----
----
----
Total current assets
83.01%307.71K
147.24%396.53K
40.02%322.05K
-19.68%211.15K
-19.68%211.15K
-5.52%168.14K
-63.66%160.38K
-66.91%230K
-67.94%262.89K
-67.94%262.89K
Non current assets
Net PPE
15.81%2.48M
16.88%2.41M
6.58%2.19M
5.28%2.16M
5.28%2.16M
-2.79%2.14M
4.08%2.06M
16.57%2.05M
54.96%2.05M
54.96%2.05M
-Gross PPE
--2.48M
--2.41M
----
----
----
----
----
----
----
----
Other non current assets
0.00%27K
0.00%27K
0.00%27K
0.00%27K
0.00%27K
0.00%27K
0.00%27K
0.00%27K
0.00%27K
0.00%27K
Total non current assets
15.61%2.5M
16.66%2.44M
6.50%2.22M
5.21%2.19M
5.21%2.19M
-2.75%2.17M
4.02%2.09M
16.32%2.08M
53.86%2.08M
53.86%2.08M
Total assets
20.47%2.81M
25.96%2.84M
9.85%2.54M
2.42%2.4M
2.42%2.4M
-2.96%2.33M
-8.16%2.25M
-6.98%2.31M
7.88%2.34M
7.88%2.34M
Liabilities
Current liabilities
Payables
22.85%62.05K
265.59%211.13K
19.04%43.98K
219.51%68.31K
219.51%68.31K
65.11%50.51K
-4.93%57.75K
209.90%36.95K
-6.76%21.38K
-6.76%21.38K
-accounts payable
24.08%62.05K
307.23%204.77K
44.87%43.98K
340.13%67.31K
340.13%67.31K
75.04%50.01K
-17.22%50.28K
186.39%30.36K
-21.79%15.29K
-21.79%15.29K
-Due to related parties current
----
-14.78%6.36K
--0
-83.57%1K
-83.57%1K
-75.27%500
--7.47K
398.56%6.59K
80.33%6.09K
80.33%6.09K
Current deferred liabilities
--0
--0
--0
--108K
--108K
----
----
----
--0
--0
Current liabilities
22.85%62.05K
265.59%211.13K
19.04%43.98K
724.68%176.31K
724.68%176.31K
65.11%50.51K
-4.93%57.75K
209.90%36.95K
-6.76%21.38K
-6.76%21.38K
Non current liabilities
Total non current liabilities
---1
--0
--20.3K
--0
--0
--0
--0
--0
--0
--0
Total liabilities
22.85%62.05K
265.59%211.13K
73.99%64.28K
724.68%176.31K
724.68%176.31K
65.11%50.51K
-4.93%57.75K
-25.77%36.95K
-6.76%21.38K
-6.76%21.38K
Shareholders'equity
Share capital
22.86%4.06M
23.25%3.88M
16.31%3.66M
4.94%3.3M
4.94%3.3M
4.94%3.3M
1.70%3.15M
3.03%3.15M
14.22%3.15M
14.22%3.15M
-common stock
22.86%4.06M
23.25%3.88M
16.31%3.66M
4.94%3.3M
4.94%3.3M
4.94%3.3M
1.70%3.15M
3.03%3.15M
14.22%3.15M
14.22%3.15M
Retained earnings
-32.18%-2.1M
-30.56%-1.94M
-29.67%-1.82M
-21.31%-1.64M
-21.31%-1.64M
-21.61%-1.59M
-20.22%-1.48M
-23.79%-1.4M
-33.23%-1.36M
-33.23%-1.36M
Gains losses not affecting retained earnings
39.14%785.43K
28.81%681.75K
19.53%632.63K
6.65%564.47K
6.65%564.47K
6.65%564.47K
0.00%529.26K
3.30%529.26K
29.01%529.26K
29.01%529.26K
Total stockholders'equity
20.41%2.75M
19.65%2.62M
8.81%2.47M
-4.23%2.22M
-4.23%2.22M
-3.84%2.28M
-8.24%2.19M
-6.59%2.27M
8.03%2.32M
8.03%2.32M
Total equity
20.41%2.75M
19.65%2.62M
8.81%2.47M
-4.23%2.22M
-4.23%2.22M
-3.84%2.28M
-8.24%2.19M
-6.59%2.27M
8.03%2.32M
8.03%2.32M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
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Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
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(Q3)Feb 29, 2024(Q2)Nov 30, 2023(Q1)Aug 31, 2023(FY)May 31, 2023(Q4)May 31, 2023(Q3)Feb 28, 2023(Q2)Nov 30, 2022(Q1)Aug 31, 2022(FY)May 31, 2022(Q4)May 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 75.66%266.24K132.65%337.2K41.10%304.36K-21.23%194.66K-21.23%194.66K-13.47%151.57K-57.01%144.94K-66.58%215.7K-67.11%247.12K-67.11%247.12K
-Cash and cash equivalents 77.45%262.74K135.47%334.7K41.54%300.36K-21.26%189.06K-21.26%189.06K-13.68%148.07K-57.84%142.14K-66.07%212.2K-66.10%240.12K-66.10%240.12K
-Short-term investments 0.00%3.5K-10.71%2.5K14.29%4K-20.00%5.6K-20.00%5.6K-3.45%3.5K--2.8K-82.50%3.5K-83.72%7K-83.72%7K
Receivables 863.98%32.54K112.17%26.03K39.57%11.1K5.57%6.59K5.57%6.59K20.27%3.38K-72.89%12.27K-75.16%7.95K-17.92%6.25K-17.92%6.25K
-Taxes receivable 863.98%32.54K112.17%26.03K39.57%11.1K5.57%6.59K5.57%6.59K20.27%3.38K-72.89%12.27K-75.16%7.95K-17.92%6.25K-17.92%6.25K
Prepaid assets -32.37%8.92K948.79%33.3K3.89%6.6K3.91%9.9K3.91%9.9K--13.2K-94.62%3.18K-64.19%6.35K-84.40%9.53K-84.40%9.53K
Other current assets ------1--------------------------------
Total current assets 83.01%307.71K147.24%396.53K40.02%322.05K-19.68%211.15K-19.68%211.15K-5.52%168.14K-63.66%160.38K-66.91%230K-67.94%262.89K-67.94%262.89K
Non current assets
Net PPE 15.81%2.48M16.88%2.41M6.58%2.19M5.28%2.16M5.28%2.16M-2.79%2.14M4.08%2.06M16.57%2.05M54.96%2.05M54.96%2.05M
-Gross PPE --2.48M--2.41M--------------------------------
Other non current assets 0.00%27K0.00%27K0.00%27K0.00%27K0.00%27K0.00%27K0.00%27K0.00%27K0.00%27K0.00%27K
Total non current assets 15.61%2.5M16.66%2.44M6.50%2.22M5.21%2.19M5.21%2.19M-2.75%2.17M4.02%2.09M16.32%2.08M53.86%2.08M53.86%2.08M
Total assets 20.47%2.81M25.96%2.84M9.85%2.54M2.42%2.4M2.42%2.4M-2.96%2.33M-8.16%2.25M-6.98%2.31M7.88%2.34M7.88%2.34M
Liabilities
Current liabilities
Payables 22.85%62.05K265.59%211.13K19.04%43.98K219.51%68.31K219.51%68.31K65.11%50.51K-4.93%57.75K209.90%36.95K-6.76%21.38K-6.76%21.38K
-accounts payable 24.08%62.05K307.23%204.77K44.87%43.98K340.13%67.31K340.13%67.31K75.04%50.01K-17.22%50.28K186.39%30.36K-21.79%15.29K-21.79%15.29K
-Due to related parties current -----14.78%6.36K--0-83.57%1K-83.57%1K-75.27%500--7.47K398.56%6.59K80.33%6.09K80.33%6.09K
Current deferred liabilities --0--0--0--108K--108K--------------0--0
Current liabilities 22.85%62.05K265.59%211.13K19.04%43.98K724.68%176.31K724.68%176.31K65.11%50.51K-4.93%57.75K209.90%36.95K-6.76%21.38K-6.76%21.38K
Non current liabilities
Total non current liabilities ---1--0--20.3K--0--0--0--0--0--0--0
Total liabilities 22.85%62.05K265.59%211.13K73.99%64.28K724.68%176.31K724.68%176.31K65.11%50.51K-4.93%57.75K-25.77%36.95K-6.76%21.38K-6.76%21.38K
Shareholders'equity
Share capital 22.86%4.06M23.25%3.88M16.31%3.66M4.94%3.3M4.94%3.3M4.94%3.3M1.70%3.15M3.03%3.15M14.22%3.15M14.22%3.15M
-common stock 22.86%4.06M23.25%3.88M16.31%3.66M4.94%3.3M4.94%3.3M4.94%3.3M1.70%3.15M3.03%3.15M14.22%3.15M14.22%3.15M
Retained earnings -32.18%-2.1M-30.56%-1.94M-29.67%-1.82M-21.31%-1.64M-21.31%-1.64M-21.61%-1.59M-20.22%-1.48M-23.79%-1.4M-33.23%-1.36M-33.23%-1.36M
Gains losses not affecting retained earnings 39.14%785.43K28.81%681.75K19.53%632.63K6.65%564.47K6.65%564.47K6.65%564.47K0.00%529.26K3.30%529.26K29.01%529.26K29.01%529.26K
Total stockholders'equity 20.41%2.75M19.65%2.62M8.81%2.47M-4.23%2.22M-4.23%2.22M-3.84%2.28M-8.24%2.19M-6.59%2.27M8.03%2.32M8.03%2.32M
Total equity 20.41%2.75M19.65%2.62M8.81%2.47M-4.23%2.22M-4.23%2.22M-3.84%2.28M-8.24%2.19M-6.59%2.27M8.03%2.32M8.03%2.32M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

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Price Target

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