US Stock MarketDetailed Quotes

NXE NexGen Energy

Watchlist
  • 7.230
  • -0.130-1.77%
Close Nov 1 16:00 ET
  • 7.200
  • -0.030-0.41%
Post 20:01 ET
4.08BMarket Cap59.26P/E (TTM)

NexGen Energy 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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
84.22%-2.38M
-22.27%-9.34M
-160.79%-52.62M
-269.64%-22.61M
-69.92%-7.29M
-158.05%-15.08M
-94.55%-7.64M
-20.18%-20.18M
20.66%-6.12M
-164.10%-4.29M
Net income from continuing operations
175.41%13.2M
-280.15%-34.62M
216.43%70.17M
893.69%159.97M
-131.50%-63.2M
-199.51%-17.5M
70.04%-9.11M
52.53%-60.27M
-5.49%-20.16M
-36.98%-27.3M
Operating gains losses
565.98%1.94M
1,507.69%627K
-21,639.91%-202.62M
-113,934.27%-202.63M
62.73%-322K
161.39%291K
-82.82%39K
73.58%-932K
111.90%178K
52.11%-864K
Depreciation and amortization
32.39%564K
29.32%516K
-0.55%1.8M
9.01%496K
1.68%483K
-4.48%426K
-8.90%399K
-14.68%1.81M
-14.79%455K
-6.50%475K
Deferred tax
-596.06%-3.36M
139.95%310K
-35.51%-1.41M
158.27%162K
-37.99%-316K
-70.32%-482K
-207.94%-776K
-192.87%-1.04M
-82.89%-278K
-122.52%-229K
Other non cash items
-788.21%-23.47M
740.95%19.69M
947.74%55M
2,311.53%14.01M
199.21%40.65M
112.21%3.41M
-116.16%-3.07M
-93.36%5.25M
149.40%581K
8.76%13.59M
Change In working capital
139.44%2.73M
-20.21%-1.93M
-8,779.72%-12.7M
-670.45%-8.69M
2,029.72%4.52M
-350.20%-6.92M
-371.55%-1.61M
-180.39%-143K
252.00%1.52M
-84.72%212K
-Change in receivables
188.60%2.3M
-1,455.26%-1.77M
78.81%-132K
50.57%-388K
-177.92%-428K
19,850.00%798K
-136.54%-114K
28.64%-623K
-11.98%-785K
21.03%-154K
-Change in prepaid assets
114.05%1.14M
1,176.92%840K
-1,122.34%-13.9M
-4,074.89%-9.64M
374.85%3.93M
-539.62%-8.1M
83.23%-78K
-245.59%-1.14M
-153.97%-231K
710.78%827K
-Change in payables and accrued expense
-282.86%-715K
29.38%-1M
-17.63%1.33M
-47.07%1.34M
320.39%1.02M
243.22%391K
-653.19%-1.42M
40.49%1.62M
448.29%2.54M
-131.15%-461K
Cash from discontinued investing activities
Operating cash flow
84.22%-2.38M
-22.27%-9.34M
-160.79%-52.62M
-269.64%-22.61M
-69.92%-7.29M
-158.05%-15.08M
-94.55%-7.64M
-20.18%-20.18M
20.70%-6.12M
-164.10%-4.29M
Investing cash flow
Cash flow from continuing investing activities
8.25%-26.74M
-83.50%-33.95M
-135.31%-160.14M
-335.27%-84.16M
-60.69%-28.32M
-44.37%-29.15M
-69.71%-18.5M
-45.68%-68.05M
22.69%-19.34M
-111.60%-17.63M
Net PPE purchase and sale
84.45%-687K
-3,423.33%-1.06M
-1,613.56%-6.07M
-3,325.00%-411K
-1,701.49%-1.21M
-6,397.06%-4.42M
99.72%-30K
70.03%-354K
96.04%-12K
83.04%-67K
Net business purchase and sale
----
----
---42.33M
----
----
----
----
--0
----
----
Net investment purchase and sale
--0
----
---2M
--0
--0
---2M
----
--0
--0
--0
Net other investing changes
-14.63%-26.05M
-78.07%-32.89M
-62.10%-109.74M
-114.37%-41.42M
-54.43%-27.12M
---22.73M
---18.47M
-48.68%-67.7M
21.79%-19.32M
-121.29%-17.56M
Cash from discontinued investing activities
Investing cash flow
8.25%-26.74M
-83.50%-33.95M
-135.31%-160.14M
-335.27%-84.16M
-60.69%-28.32M
-44.37%-29.15M
-69.71%-18.5M
-45.68%-68.05M
22.69%-19.34M
-111.60%-17.63M
Financing cash flow
Cash flow from continuing financing activities
2,278.34%218.28M
388.19%134.96M
1,757.92%368.89M
37.32%26.77M
98,065.59%305.3M
1,411.14%9.18M
3,595.86%27.65M
-89.62%19.86M
188.90%19.5M
-90.21%311K
Net issuance payments of debt
-10.78%-257K
-12.66%-258K
3,254.48%147.03M
-104.60%-233K
64,606.99%147.72M
-2.20%-232K
0.00%-229K
536.99%4.38M
2,303.04%5.07M
8.03%-229K
Net common stock issuance
--216.32M
381.70%130.24M
3,062.44%197.46M
223.64%20.21M
--150.22M
--0
--27.04M
-96.20%6.24M
3,456.99%6.24M
--0
Cash dividends paid
--0
----
--0
--0
--0
--0
----
--0
--0
--0
Proceeds from stock option exercised by employees
-34.71%6.76M
495.22%4.98M
157.62%27.61M
-2.25%8.76M
1,318.70%7.66M
4,322.22%10.35M
-14.33%837K
-65.42%10.72M
13.93%8.97M
-86.11%540K
Cash from discontinued financing activities
Financing cash flow
2,278.34%218.28M
388.19%134.96M
1,757.92%368.89M
37.32%26.77M
98,065.59%305.3M
1,411.14%9.18M
3,595.86%27.65M
-89.62%19.86M
188.90%19.5M
-90.21%311K
Net cash flow
Beginning cash position
181.92%383.16M
116.25%290.74M
-33.38%134.45M
163.51%370.44M
-37.63%100.57M
-27.51%135.91M
-33.38%134.45M
172.63%201.8M
-38.30%140.58M
-31.15%161.24M
Current changes in cash
639.74%189.16M
6,007.00%91.67M
328.36%156.14M
-1,242.96%-80M
1,348.31%269.68M
-31.11%-35.05M
110.66%1.5M
-153.48%-68.37M
77.06%-5.96M
-218.74%-21.6M
Effect of exchange rate changes
114.09%41K
2,023.08%750K
-84.46%158K
267.98%299K
-80.08%189K
-161.39%-291K
82.82%-39K
1,595.59%1.02M
-157.97%-178K
120.70%949K
End cash Position
469.11%572.36M
181.92%383.16M
116.25%290.74M
116.25%290.74M
163.51%370.44M
-37.63%100.57M
-27.51%135.91M
-33.38%134.45M
-33.38%134.45M
-38.30%140.58M
Free cash flow
84.27%-3.07M
-35.57%-10.4M
-185.84%-58.68M
-275.62%-23.02M
-95.02%-8.5M
25.11%-19.5M
48.27%-7.67M
-14.25%-20.53M
23.54%-6.13M
-115.75%-4.36M
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(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 84.22%-2.38M-22.27%-9.34M-160.79%-52.62M-269.64%-22.61M-69.92%-7.29M-158.05%-15.08M-94.55%-7.64M-20.18%-20.18M20.66%-6.12M-164.10%-4.29M
Net income from continuing operations 175.41%13.2M-280.15%-34.62M216.43%70.17M893.69%159.97M-131.50%-63.2M-199.51%-17.5M70.04%-9.11M52.53%-60.27M-5.49%-20.16M-36.98%-27.3M
Operating gains losses 565.98%1.94M1,507.69%627K-21,639.91%-202.62M-113,934.27%-202.63M62.73%-322K161.39%291K-82.82%39K73.58%-932K111.90%178K52.11%-864K
Depreciation and amortization 32.39%564K29.32%516K-0.55%1.8M9.01%496K1.68%483K-4.48%426K-8.90%399K-14.68%1.81M-14.79%455K-6.50%475K
Deferred tax -596.06%-3.36M139.95%310K-35.51%-1.41M158.27%162K-37.99%-316K-70.32%-482K-207.94%-776K-192.87%-1.04M-82.89%-278K-122.52%-229K
Other non cash items -788.21%-23.47M740.95%19.69M947.74%55M2,311.53%14.01M199.21%40.65M112.21%3.41M-116.16%-3.07M-93.36%5.25M149.40%581K8.76%13.59M
Change In working capital 139.44%2.73M-20.21%-1.93M-8,779.72%-12.7M-670.45%-8.69M2,029.72%4.52M-350.20%-6.92M-371.55%-1.61M-180.39%-143K252.00%1.52M-84.72%212K
-Change in receivables 188.60%2.3M-1,455.26%-1.77M78.81%-132K50.57%-388K-177.92%-428K19,850.00%798K-136.54%-114K28.64%-623K-11.98%-785K21.03%-154K
-Change in prepaid assets 114.05%1.14M1,176.92%840K-1,122.34%-13.9M-4,074.89%-9.64M374.85%3.93M-539.62%-8.1M83.23%-78K-245.59%-1.14M-153.97%-231K710.78%827K
-Change in payables and accrued expense -282.86%-715K29.38%-1M-17.63%1.33M-47.07%1.34M320.39%1.02M243.22%391K-653.19%-1.42M40.49%1.62M448.29%2.54M-131.15%-461K
Cash from discontinued investing activities
Operating cash flow 84.22%-2.38M-22.27%-9.34M-160.79%-52.62M-269.64%-22.61M-69.92%-7.29M-158.05%-15.08M-94.55%-7.64M-20.18%-20.18M20.70%-6.12M-164.10%-4.29M
Investing cash flow
Cash flow from continuing investing activities 8.25%-26.74M-83.50%-33.95M-135.31%-160.14M-335.27%-84.16M-60.69%-28.32M-44.37%-29.15M-69.71%-18.5M-45.68%-68.05M22.69%-19.34M-111.60%-17.63M
Net PPE purchase and sale 84.45%-687K-3,423.33%-1.06M-1,613.56%-6.07M-3,325.00%-411K-1,701.49%-1.21M-6,397.06%-4.42M99.72%-30K70.03%-354K96.04%-12K83.04%-67K
Net business purchase and sale -----------42.33M------------------0--------
Net investment purchase and sale --0-------2M--0--0---2M------0--0--0
Net other investing changes -14.63%-26.05M-78.07%-32.89M-62.10%-109.74M-114.37%-41.42M-54.43%-27.12M---22.73M---18.47M-48.68%-67.7M21.79%-19.32M-121.29%-17.56M
Cash from discontinued investing activities
Investing cash flow 8.25%-26.74M-83.50%-33.95M-135.31%-160.14M-335.27%-84.16M-60.69%-28.32M-44.37%-29.15M-69.71%-18.5M-45.68%-68.05M22.69%-19.34M-111.60%-17.63M
Financing cash flow
Cash flow from continuing financing activities 2,278.34%218.28M388.19%134.96M1,757.92%368.89M37.32%26.77M98,065.59%305.3M1,411.14%9.18M3,595.86%27.65M-89.62%19.86M188.90%19.5M-90.21%311K
Net issuance payments of debt -10.78%-257K-12.66%-258K3,254.48%147.03M-104.60%-233K64,606.99%147.72M-2.20%-232K0.00%-229K536.99%4.38M2,303.04%5.07M8.03%-229K
Net common stock issuance --216.32M381.70%130.24M3,062.44%197.46M223.64%20.21M--150.22M--0--27.04M-96.20%6.24M3,456.99%6.24M--0
Cash dividends paid --0------0--0--0--0------0--0--0
Proceeds from stock option exercised by employees -34.71%6.76M495.22%4.98M157.62%27.61M-2.25%8.76M1,318.70%7.66M4,322.22%10.35M-14.33%837K-65.42%10.72M13.93%8.97M-86.11%540K
Cash from discontinued financing activities
Financing cash flow 2,278.34%218.28M388.19%134.96M1,757.92%368.89M37.32%26.77M98,065.59%305.3M1,411.14%9.18M3,595.86%27.65M-89.62%19.86M188.90%19.5M-90.21%311K
Net cash flow
Beginning cash position 181.92%383.16M116.25%290.74M-33.38%134.45M163.51%370.44M-37.63%100.57M-27.51%135.91M-33.38%134.45M172.63%201.8M-38.30%140.58M-31.15%161.24M
Current changes in cash 639.74%189.16M6,007.00%91.67M328.36%156.14M-1,242.96%-80M1,348.31%269.68M-31.11%-35.05M110.66%1.5M-153.48%-68.37M77.06%-5.96M-218.74%-21.6M
Effect of exchange rate changes 114.09%41K2,023.08%750K-84.46%158K267.98%299K-80.08%189K-161.39%-291K82.82%-39K1,595.59%1.02M-157.97%-178K120.70%949K
End cash Position 469.11%572.36M181.92%383.16M116.25%290.74M116.25%290.74M163.51%370.44M-37.63%100.57M-27.51%135.91M-33.38%134.45M-33.38%134.45M-38.30%140.58M
Free cash flow 84.27%-3.07M-35.57%-10.4M-185.84%-58.68M-275.62%-23.02M-95.02%-8.5M25.11%-19.5M48.27%-7.67M-14.25%-20.53M23.54%-6.13M-115.75%-4.36M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion--------------

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