CA Stock MarketDetailed Quotes

NFG New Found Gold Corp

Watchlist
  • 2.300
  • -0.080-3.36%
15min DelayMarket Closed Dec 13 16:00 ET
457.49MMarket Cap-7.67P/E (TTM)

New Found Gold Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
37.72%40.63M
17.19%54.53M
-13.68%53.31M
-36.09%57.29M
-36.09%57.29M
-53.09%29.5M
-42.18%46.53M
-41.07%61.76M
-30.55%89.64M
-30.55%89.64M
-Cash and cash equivalents
50.61%39.11M
25.93%52.23M
-10.53%50.25M
-34.42%53.88M
-34.42%53.88M
-53.81%25.97M
-42.61%41.47M
-33.70%56.17M
-18.23%82.17M
-18.23%82.17M
-Short term investments
-57.02%1.52M
-54.43%2.31M
-45.31%3.06M
-54.40%3.41M
-54.40%3.41M
-47.02%3.53M
-38.42%5.06M
-72.17%5.59M
-73.85%7.47M
-73.85%7.47M
Receivables
-51.09%1.83M
-56.67%1.58M
-63.37%2.16M
7.34%3.37M
7.34%3.37M
27.47%3.74M
37.26%3.65M
173.26%5.91M
73.99%3.14M
73.99%3.14M
-Accounts receivable
----
----
154.13%115.5K
----
----
----
----
--45.45K
----
----
-Accrued interest receivable
86.89%73.1K
--77.61K
--76.76K
--75.32K
--75.32K
--39.11K
----
----
--0
--0
-Taxes receivable
-52.55%1.75M
-58.79%1.5M
-66.36%1.97M
4.94%3.3M
4.94%3.3M
26.14%3.7M
38.61%3.65M
171.16%5.86M
73.99%3.14M
73.99%3.14M
Prepaid assets
-21.79%1.46M
-13.66%1.31M
-9.70%1.31M
5.08%1.52M
5.08%1.52M
23.55%1.86M
-1.23%1.52M
-24.55%1.45M
-33.65%1.45M
-33.65%1.45M
Hedging assets-current
-53.60%55.4K
--165.3K
--233.7K
601.58%188.5K
601.58%188.5K
543.63%119.4K
--0
--0
-99.20%26.87K
-99.20%26.87K
Other current assets
--2.61M
----
----
----
----
----
----
78.20%105.82K
-28.94%76.3K
-28.94%76.3K
Total current assets
32.25%46.58M
11.39%57.59M
-17.63%57.02M
-33.88%62.38M
-33.88%62.38M
-47.77%35.22M
-39.23%51.7M
-37.38%69.22M
-30.90%94.33M
-30.90%94.33M
Non current assets
Net PPE
148.84%41.01M
3.31%16.84M
2.66%16.9M
3.26%16.89M
3.26%16.89M
6.80%16.48M
13.61%16.3M
26.85%16.47M
41.76%16.35M
41.76%16.35M
-Gross PPE
136.76%43.67M
5.23%19.33M
4.95%19.23M
7.36%19.04M
7.36%19.04M
11.07%18.44M
18.31%18.37M
31.43%18.32M
44.55%17.73M
44.55%17.73M
-Accumulated depreciation
-35.32%-2.66M
-20.31%-2.49M
-25.20%-2.32M
-55.99%-2.15M
-55.99%-2.15M
-67.29%-1.96M
-75.42%-2.07M
-93.42%-1.86M
-88.70%-1.38M
-88.70%-1.38M
Investments and advances
-57.14%1.8M
-52.60%2.12M
--2.46M
--2.86M
--2.86M
--4.2M
--4.47M
----
--0
--0
-Long term equity investment
-57.14%1.8M
-52.60%2.12M
--2.46M
--2.86M
--2.86M
--4.2M
--4.47M
----
--0
--0
Non current note receivables
--0
--2.58M
--2.55M
--2.45M
--2.45M
--2.47M
----
----
--0
--0
Other non current assets
--285.66K
--389.79K
--97.53K
----
----
----
----
----
----
----
Total non current assets
86.14%43.1M
5.57%21.93M
33.71%22.02M
35.76%22.2M
35.76%22.2M
50.03%23.15M
44.80%20.77M
26.85%16.47M
41.76%16.35M
41.76%16.35M
Total assets
53.62%89.67M
9.72%79.52M
-7.76%79.03M
-23.59%84.58M
-23.59%84.58M
-29.56%58.37M
-27.10%72.48M
-30.63%85.69M
-25.24%110.69M
-25.24%110.69M
Liabilities
Current liabilities
Current debt and capital lease obligation
-24.88%58.1K
-47.02%31.81K
3.27%68.63K
9.30%88.96K
9.30%88.96K
2.05%77.35K
21.07%60.04K
66.56%66.45K
50.02%81.39K
50.02%81.39K
-Current capital lease obligation
-24.88%58.1K
-47.02%31.81K
3.27%68.63K
9.30%88.96K
9.30%88.96K
2.05%77.35K
21.07%60.04K
66.56%66.45K
50.02%81.39K
50.02%81.39K
Current provisions
38.29%1.93M
23.84%1.36M
25.17%1.38M
-8.95%1.29M
-8.95%1.29M
--1.4M
--1.1M
--1.1M
--1.41M
--1.41M
Other current liabilities
695.55%3.33M
-15.06%6.52M
-38.26%9.02M
-38.06%12.43M
-38.06%12.43M
-95.91%418.65K
198.27%7.68M
112.85%14.61M
98.07%20.06M
98.07%20.06M
Current liabilities
2.80%10.69M
-20.86%11.36M
-32.89%14.54M
-29.98%19.01M
-29.98%19.01M
-37.97%10.4M
107.64%14.36M
111.11%21.67M
112.79%27.14M
112.79%27.14M
Non current liabilities
Long term debt and capital lease obligation
0.67%69.19K
0.64%69.07K
0.61%68.95K
0.00%68.84K
0.00%68.84K
47.31%68.73K
47.15%68.63K
47.00%68.53K
47.72%68.84K
47.72%68.84K
-Long term capital lease obligation
0.67%69.19K
0.64%69.07K
0.61%68.95K
0.00%68.84K
0.00%68.84K
47.31%68.73K
47.15%68.63K
47.00%68.53K
47.72%68.84K
47.72%68.84K
Total non current liabilities
0.67%69.19K
0.64%69.07K
0.61%68.95K
0.00%68.84K
0.00%68.84K
47.31%68.73K
-99.46%68.63K
-99.46%68.53K
-99.46%68.84K
-99.46%68.84K
Total liabilities
2.79%10.76M
-20.76%11.43M
-32.79%14.61M
-29.90%19.08M
-29.90%19.08M
-37.73%10.47M
-26.26%14.42M
-5.13%21.73M
7.13%27.21M
7.13%27.21M
Shareholders'equity
Share capital
34.66%339.76M
32.69%317.55M
31.43%301.8M
26.40%290.24M
26.40%290.24M
29.66%252.31M
27.58%239.32M
26.24%229.63M
26.31%229.63M
26.31%229.63M
-common stock
34.66%339.76M
32.69%317.55M
31.43%301.8M
26.40%290.24M
26.40%290.24M
29.66%252.31M
27.58%239.32M
26.24%229.63M
26.31%229.63M
26.31%229.63M
Retained earnings
-24.02%-296.36M
-32.09%-284.77M
-36.57%-272.68M
-44.48%-259.5M
-44.48%-259.5M
-54.22%-238.95M
-58.15%-215.59M
-78.23%-199.66M
-100.42%-179.61M
-100.42%-179.61M
Gains losses not affecting retained earnings
2.77%35.5M
----
3.91%35.31M
----
----
30.85%34.55M
20.03%34.33M
10.54%33.98M
----
----
Other equity interest
----
--35.31M
----
3.91%34.76M
3.91%34.76M
----
----
----
--33.45M
--33.45M
Total stockholders'equity
64.73%78.91M
17.29%68.09M
0.74%64.42M
-21.53%65.5M
-21.53%65.5M
-27.48%47.9M
-27.31%58.05M
-36.44%63.95M
-31.94%83.47M
-31.94%83.47M
Total equity
64.73%78.91M
17.29%68.09M
0.74%64.42M
-21.53%65.5M
-21.53%65.5M
-27.48%47.9M
-27.31%58.05M
-36.44%63.95M
-31.94%83.47M
-31.94%83.47M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Sep 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments 37.72%40.63M17.19%54.53M-13.68%53.31M-36.09%57.29M-36.09%57.29M-53.09%29.5M-42.18%46.53M-41.07%61.76M-30.55%89.64M-30.55%89.64M
-Cash and cash equivalents 50.61%39.11M25.93%52.23M-10.53%50.25M-34.42%53.88M-34.42%53.88M-53.81%25.97M-42.61%41.47M-33.70%56.17M-18.23%82.17M-18.23%82.17M
-Short term investments -57.02%1.52M-54.43%2.31M-45.31%3.06M-54.40%3.41M-54.40%3.41M-47.02%3.53M-38.42%5.06M-72.17%5.59M-73.85%7.47M-73.85%7.47M
Receivables -51.09%1.83M-56.67%1.58M-63.37%2.16M7.34%3.37M7.34%3.37M27.47%3.74M37.26%3.65M173.26%5.91M73.99%3.14M73.99%3.14M
-Accounts receivable --------154.13%115.5K------------------45.45K--------
-Accrued interest receivable 86.89%73.1K--77.61K--76.76K--75.32K--75.32K--39.11K----------0--0
-Taxes receivable -52.55%1.75M-58.79%1.5M-66.36%1.97M4.94%3.3M4.94%3.3M26.14%3.7M38.61%3.65M171.16%5.86M73.99%3.14M73.99%3.14M
Prepaid assets -21.79%1.46M-13.66%1.31M-9.70%1.31M5.08%1.52M5.08%1.52M23.55%1.86M-1.23%1.52M-24.55%1.45M-33.65%1.45M-33.65%1.45M
Hedging assets-current -53.60%55.4K--165.3K--233.7K601.58%188.5K601.58%188.5K543.63%119.4K--0--0-99.20%26.87K-99.20%26.87K
Other current assets --2.61M------------------------78.20%105.82K-28.94%76.3K-28.94%76.3K
Total current assets 32.25%46.58M11.39%57.59M-17.63%57.02M-33.88%62.38M-33.88%62.38M-47.77%35.22M-39.23%51.7M-37.38%69.22M-30.90%94.33M-30.90%94.33M
Non current assets
Net PPE 148.84%41.01M3.31%16.84M2.66%16.9M3.26%16.89M3.26%16.89M6.80%16.48M13.61%16.3M26.85%16.47M41.76%16.35M41.76%16.35M
-Gross PPE 136.76%43.67M5.23%19.33M4.95%19.23M7.36%19.04M7.36%19.04M11.07%18.44M18.31%18.37M31.43%18.32M44.55%17.73M44.55%17.73M
-Accumulated depreciation -35.32%-2.66M-20.31%-2.49M-25.20%-2.32M-55.99%-2.15M-55.99%-2.15M-67.29%-1.96M-75.42%-2.07M-93.42%-1.86M-88.70%-1.38M-88.70%-1.38M
Investments and advances -57.14%1.8M-52.60%2.12M--2.46M--2.86M--2.86M--4.2M--4.47M------0--0
-Long term equity investment -57.14%1.8M-52.60%2.12M--2.46M--2.86M--2.86M--4.2M--4.47M------0--0
Non current note receivables --0--2.58M--2.55M--2.45M--2.45M--2.47M----------0--0
Other non current assets --285.66K--389.79K--97.53K----------------------------
Total non current assets 86.14%43.1M5.57%21.93M33.71%22.02M35.76%22.2M35.76%22.2M50.03%23.15M44.80%20.77M26.85%16.47M41.76%16.35M41.76%16.35M
Total assets 53.62%89.67M9.72%79.52M-7.76%79.03M-23.59%84.58M-23.59%84.58M-29.56%58.37M-27.10%72.48M-30.63%85.69M-25.24%110.69M-25.24%110.69M
Liabilities
Current liabilities
Current debt and capital lease obligation -24.88%58.1K-47.02%31.81K3.27%68.63K9.30%88.96K9.30%88.96K2.05%77.35K21.07%60.04K66.56%66.45K50.02%81.39K50.02%81.39K
-Current capital lease obligation -24.88%58.1K-47.02%31.81K3.27%68.63K9.30%88.96K9.30%88.96K2.05%77.35K21.07%60.04K66.56%66.45K50.02%81.39K50.02%81.39K
Current provisions 38.29%1.93M23.84%1.36M25.17%1.38M-8.95%1.29M-8.95%1.29M--1.4M--1.1M--1.1M--1.41M--1.41M
Other current liabilities 695.55%3.33M-15.06%6.52M-38.26%9.02M-38.06%12.43M-38.06%12.43M-95.91%418.65K198.27%7.68M112.85%14.61M98.07%20.06M98.07%20.06M
Current liabilities 2.80%10.69M-20.86%11.36M-32.89%14.54M-29.98%19.01M-29.98%19.01M-37.97%10.4M107.64%14.36M111.11%21.67M112.79%27.14M112.79%27.14M
Non current liabilities
Long term debt and capital lease obligation 0.67%69.19K0.64%69.07K0.61%68.95K0.00%68.84K0.00%68.84K47.31%68.73K47.15%68.63K47.00%68.53K47.72%68.84K47.72%68.84K
-Long term capital lease obligation 0.67%69.19K0.64%69.07K0.61%68.95K0.00%68.84K0.00%68.84K47.31%68.73K47.15%68.63K47.00%68.53K47.72%68.84K47.72%68.84K
Total non current liabilities 0.67%69.19K0.64%69.07K0.61%68.95K0.00%68.84K0.00%68.84K47.31%68.73K-99.46%68.63K-99.46%68.53K-99.46%68.84K-99.46%68.84K
Total liabilities 2.79%10.76M-20.76%11.43M-32.79%14.61M-29.90%19.08M-29.90%19.08M-37.73%10.47M-26.26%14.42M-5.13%21.73M7.13%27.21M7.13%27.21M
Shareholders'equity
Share capital 34.66%339.76M32.69%317.55M31.43%301.8M26.40%290.24M26.40%290.24M29.66%252.31M27.58%239.32M26.24%229.63M26.31%229.63M26.31%229.63M
-common stock 34.66%339.76M32.69%317.55M31.43%301.8M26.40%290.24M26.40%290.24M29.66%252.31M27.58%239.32M26.24%229.63M26.31%229.63M26.31%229.63M
Retained earnings -24.02%-296.36M-32.09%-284.77M-36.57%-272.68M-44.48%-259.5M-44.48%-259.5M-54.22%-238.95M-58.15%-215.59M-78.23%-199.66M-100.42%-179.61M-100.42%-179.61M
Gains losses not affecting retained earnings 2.77%35.5M----3.91%35.31M--------30.85%34.55M20.03%34.33M10.54%33.98M--------
Other equity interest ------35.31M----3.91%34.76M3.91%34.76M--------------33.45M--33.45M
Total stockholders'equity 64.73%78.91M17.29%68.09M0.74%64.42M-21.53%65.5M-21.53%65.5M-27.48%47.9M-27.31%58.05M-36.44%63.95M-31.94%83.47M-31.94%83.47M
Total equity 64.73%78.91M17.29%68.09M0.74%64.42M-21.53%65.5M-21.53%65.5M-27.48%47.9M-27.31%58.05M-36.44%63.95M-31.94%83.47M-31.94%83.47M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

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.

Heat List
CA
Overall
Symbol
Price
% Chg

No Data