CA Stock MarketDetailed Quotes

LAM Laramide Resources Ltd

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  • 0.700
  • 0.0000.00%
15min DelayTrading Jul 4 09:43 ET
174.20MMarket Cap-35000P/E (TTM)

Laramide Resources Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
55.71%7.93M
66.87%9.63M
66.87%9.63M
-74.89%2.04M
-60.74%3.53M
-47.50%5.09M
-31.92%5.77M
-31.92%5.77M
47.03%8.13M
139.85%9M
-Cash and cash equivalents
-55.65%991.7K
470.89%9.06M
470.89%9.06M
-78.12%1.65M
-65.26%2.98M
-75.20%2.24M
-79.22%1.59M
-79.22%1.59M
58.27%7.54M
187.98%8.57M
-Other receivables
-48.00%19.91K
61.85%56.93K
61.85%56.93K
187.97%97.85K
12.10%42.83K
-18.52%38.29K
21.64%35.17K
21.64%35.17K
-3.87%33.98K
-76.80%38.2K
Total current assets
47.08%8.48M
60.35%10.05M
60.35%10.05M
-69.25%2.61M
-56.05%4.13M
-42.80%5.77M
-28.52%6.26M
-28.52%6.26M
46.08%8.5M
128.32%9.39M
Non current assets
-Accumulated depreciation
8.16%-3.24M
10.50%-3.17M
10.50%-3.17M
-11.32%-3.07M
10.38%-3.04M
-24.85%-3.53M
-3.98%-3.54M
-3.98%-3.54M
18.23%-2.76M
-0.65%-3.39M
Investment properties
--0
--175.12K
--175.12K
--160.11K
1.04%265.18K
-36.63%301.73K
--0
--0
--0
-59.18%262.45K
-Long term equity investment
-98.40%62.56K
--4.17M
--4.17M
6,914.29%4.21M
--3.9M
10,589.10%3.9M
----
----
-99.11%60K
----
-Including:Available-for-sale securities
----
--175.12K
--175.12K
--160.11K
1.04%265.18K
-36.63%301.73K
----
----
----
-59.18%262.45K
-Other intangible assets
----
----
----
----
----
----
-57.39%688.58K
-57.39%688.58K
-62.53%855.43K
-73.34%874.34K
Regulatory assets
30.84%144.15K
8.74%146K
8.74%146K
249.49%238.97K
-8.66%95.08K
-1.36%110.17K
26.46%134.26K
26.46%134.26K
143.43%68.38K
16.21%104.09K
Total assets
28.39%55.42K
93.98%104.61K
93.98%104.61K
579.32%131.87K
105.64%72.4K
56.49%43.17K
63.69%53.93K
63.69%53.93K
--19.41K
--35.21K
Liabilities
Current liabilities
Current debt and capital lease obligation
12,042.43%4.43M
-97.40%156.13K
-97.40%156.13K
-97.57%145.25K
----
-99.31%36.48K
945.31%6.01M
945.31%6.01M
484.01%5.97M
472.34%5.57M
-Current debt
12,042.43%4.43M
-97.40%156.13K
-97.40%156.13K
-97.57%145.25K
----
-99.31%36.48K
945.31%6.01M
945.31%6.01M
558.86%5.97M
545.42%5.57M
-accounts payable
-34.54%826.08K
-22.22%905.45K
-22.22%905.45K
892.46%1.3M
552.77%941.2K
630.70%1.26M
538.75%1.16M
538.75%1.16M
-13.29%131.36K
-29.82%144.19K
-Total tax payable
-52.97%3.64M
101.77%7.75M
101.77%7.75M
116.26%8.05M
111.41%7.74M
109.29%7.74M
-61.22%3.84M
-61.22%3.84M
-65.22%3.72M
-64.82%3.66M
Current accrued expenses
80.42%330.56K
84.48%288.51K
84.48%288.51K
63.89%328.35K
128.94%306.46K
79.02%183.22K
-14.25%156.39K
-14.25%156.39K
-50.82%200.34K
-48.43%133.86K
Current liabilities
115.66%9.06M
-41.44%5.21M
-41.44%5.21M
-32.39%6.1M
-61.48%3.31M
-64.68%4.2M
12.05%8.9M
12.05%8.9M
-7.74%9.02M
33.38%8.6M
Non current liabilities
Non current accrued expenses
6.22%101.03M
6.19%98.9M
6.19%98.9M
10.45%96.36M
9.22%94.21M
8.44%95.11M
7.30%93.14M
7.30%93.14M
1.68%87.25M
0.45%86.25M
Long term provisions
-98.40%62.56K
--4.17M
--4.17M
6,914.29%4.21M
--3.9M
10,589.10%3.9M
----
----
-99.09%60K
----
Total non current liabilities
6.36%12.7M
1.74%12.96M
1.74%12.96M
11.05%14.15M
-9.84%11.05M
-23.42%11.94M
-28.62%12.74M
-28.62%12.74M
-37.78%12.74M
-27.26%12.26M
Shareholders'equity
Share capital
6.49%184.49M
9.79%184.47M
9.79%184.47M
4.49%174.53M
3.87%173.37M
4.66%173.24M
5.53%168.03M
5.53%168.03M
9.75%167.03M
12.63%166.9M
-common stock
6.49%184.49M
9.79%184.47M
9.79%184.47M
4.49%174.53M
3.87%173.37M
4.66%173.24M
5.53%168.03M
5.53%168.03M
9.75%167.03M
12.63%166.9M
Additional paid-in capital
4.00%31.9M
-0.61%30.56M
-0.61%30.56M
1.10%30.24M
2.50%30.63M
1.30%30.67M
2.52%30.74M
2.52%30.74M
2.88%29.91M
2.96%29.89M
Retained earnings
0.00%40K
----
----
--40K
--40K
--40K
----
----
----
----
Gains losses not affecting retained earnings
12.60%2.41M
-48.57%1.49M
-48.57%1.49M
-92.87%107.48K
2.68%388.68K
-26.22%2.14M
16.62%2.89M
16.62%2.89M
-27.40%1.51M
-84.72%378.55K
Total equity
8.19%110M
9.72%109.6M
9.72%109.6M
3.52%99.63M
2.81%99.09M
2.99%101.67M
3.44%99.9M
3.44%99.9M
3.93%96.24M
5.82%96.38M
(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(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 55.71%7.93M66.87%9.63M66.87%9.63M-74.89%2.04M-60.74%3.53M-47.50%5.09M-31.92%5.77M-31.92%5.77M47.03%8.13M139.85%9M
-Cash and cash equivalents -55.65%991.7K470.89%9.06M470.89%9.06M-78.12%1.65M-65.26%2.98M-75.20%2.24M-79.22%1.59M-79.22%1.59M58.27%7.54M187.98%8.57M
-Other receivables -48.00%19.91K61.85%56.93K61.85%56.93K187.97%97.85K12.10%42.83K-18.52%38.29K21.64%35.17K21.64%35.17K-3.87%33.98K-76.80%38.2K
Total current assets 47.08%8.48M60.35%10.05M60.35%10.05M-69.25%2.61M-56.05%4.13M-42.80%5.77M-28.52%6.26M-28.52%6.26M46.08%8.5M128.32%9.39M
Non current assets
-Accumulated depreciation 8.16%-3.24M10.50%-3.17M10.50%-3.17M-11.32%-3.07M10.38%-3.04M-24.85%-3.53M-3.98%-3.54M-3.98%-3.54M18.23%-2.76M-0.65%-3.39M
Investment properties --0--175.12K--175.12K--160.11K1.04%265.18K-36.63%301.73K--0--0--0-59.18%262.45K
-Long term equity investment -98.40%62.56K--4.17M--4.17M6,914.29%4.21M--3.9M10,589.10%3.9M---------99.11%60K----
-Including:Available-for-sale securities ------175.12K--175.12K--160.11K1.04%265.18K-36.63%301.73K-------------59.18%262.45K
-Other intangible assets -------------------------57.39%688.58K-57.39%688.58K-62.53%855.43K-73.34%874.34K
Regulatory assets 30.84%144.15K8.74%146K8.74%146K249.49%238.97K-8.66%95.08K-1.36%110.17K26.46%134.26K26.46%134.26K143.43%68.38K16.21%104.09K
Total assets 28.39%55.42K93.98%104.61K93.98%104.61K579.32%131.87K105.64%72.4K56.49%43.17K63.69%53.93K63.69%53.93K--19.41K--35.21K
Liabilities
Current liabilities
Current debt and capital lease obligation 12,042.43%4.43M-97.40%156.13K-97.40%156.13K-97.57%145.25K-----99.31%36.48K945.31%6.01M945.31%6.01M484.01%5.97M472.34%5.57M
-Current debt 12,042.43%4.43M-97.40%156.13K-97.40%156.13K-97.57%145.25K-----99.31%36.48K945.31%6.01M945.31%6.01M558.86%5.97M545.42%5.57M
-accounts payable -34.54%826.08K-22.22%905.45K-22.22%905.45K892.46%1.3M552.77%941.2K630.70%1.26M538.75%1.16M538.75%1.16M-13.29%131.36K-29.82%144.19K
-Total tax payable -52.97%3.64M101.77%7.75M101.77%7.75M116.26%8.05M111.41%7.74M109.29%7.74M-61.22%3.84M-61.22%3.84M-65.22%3.72M-64.82%3.66M
Current accrued expenses 80.42%330.56K84.48%288.51K84.48%288.51K63.89%328.35K128.94%306.46K79.02%183.22K-14.25%156.39K-14.25%156.39K-50.82%200.34K-48.43%133.86K
Current liabilities 115.66%9.06M-41.44%5.21M-41.44%5.21M-32.39%6.1M-61.48%3.31M-64.68%4.2M12.05%8.9M12.05%8.9M-7.74%9.02M33.38%8.6M
Non current liabilities
Non current accrued expenses 6.22%101.03M6.19%98.9M6.19%98.9M10.45%96.36M9.22%94.21M8.44%95.11M7.30%93.14M7.30%93.14M1.68%87.25M0.45%86.25M
Long term provisions -98.40%62.56K--4.17M--4.17M6,914.29%4.21M--3.9M10,589.10%3.9M---------99.09%60K----
Total non current liabilities 6.36%12.7M1.74%12.96M1.74%12.96M11.05%14.15M-9.84%11.05M-23.42%11.94M-28.62%12.74M-28.62%12.74M-37.78%12.74M-27.26%12.26M
Shareholders'equity
Share capital 6.49%184.49M9.79%184.47M9.79%184.47M4.49%174.53M3.87%173.37M4.66%173.24M5.53%168.03M5.53%168.03M9.75%167.03M12.63%166.9M
-common stock 6.49%184.49M9.79%184.47M9.79%184.47M4.49%174.53M3.87%173.37M4.66%173.24M5.53%168.03M5.53%168.03M9.75%167.03M12.63%166.9M
Additional paid-in capital 4.00%31.9M-0.61%30.56M-0.61%30.56M1.10%30.24M2.50%30.63M1.30%30.67M2.52%30.74M2.52%30.74M2.88%29.91M2.96%29.89M
Retained earnings 0.00%40K----------40K--40K--40K----------------
Gains losses not affecting retained earnings 12.60%2.41M-48.57%1.49M-48.57%1.49M-92.87%107.48K2.68%388.68K-26.22%2.14M16.62%2.89M16.62%2.89M-27.40%1.51M-84.72%378.55K
Total equity 8.19%110M9.72%109.6M9.72%109.6M3.52%99.63M2.81%99.09M2.99%101.67M3.44%99.9M3.44%99.9M3.93%96.24M5.82%96.38M

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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