US Stock MarketDetailed Quotes

QTEYF QUESTERRE ENERGY CORP

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  • 0.169
  • 0.0000.00%
15min DelayClose Nov 15 16:00 ET
  • 0.157
  • -0.013-7.46%
Post 16:41 ET
72.49MMarket Cap-3.60P/E (TTM)

QUESTERRE ENERGY 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
7.58%35.87M
5.25%37.08M
9.30%35.91M
18.41%35.04M
18.41%35.04M
83.76%33.34M
154.92%35.23M
283.98%32.86M
246.85%29.59M
246.85%29.59M
-Cash and cash equivalents
7.58%35.87M
5.25%37.08M
9.30%35.91M
18.41%35.04M
18.41%35.04M
83.76%33.34M
154.92%35.23M
283.98%32.86M
246.85%29.59M
246.85%29.59M
Receivables
-15.84%3.51M
9.68%3.65M
-6.90%3.17M
-34.43%3.02M
-34.43%3.02M
8.84%4.17M
-48.05%3.33M
-15.00%3.41M
14.54%4.6M
14.54%4.6M
-Accounts receivable
-15.84%3.51M
9.68%3.65M
-6.90%3.17M
-34.43%3.02M
-34.43%3.02M
8.84%4.17M
-48.05%3.33M
-15.00%3.41M
14.54%4.6M
14.54%4.6M
Prepaid assets
4.64%1.78M
-19.09%1.45M
42.35%1.36M
46.59%1.42M
46.59%1.42M
33.59%1.7M
32.69%1.79M
16.48%954K
-9.36%968K
-9.36%968K
Total current assets
4.96%41.16M
4.53%42.17M
8.67%40.44M
12.27%39.47M
12.27%39.47M
68.66%39.21M
87.05%40.35M
178.08%37.22M
158.23%35.16M
158.23%35.16M
Non current assets
Net PPE
-12.91%132.99M
-14.59%132.44M
-18.15%127.93M
-17.44%128.4M
-17.44%128.4M
-2.75%152.7M
-1.25%155.07M
-0.63%156.3M
0.33%155.53M
0.33%155.53M
-Gross PPE
4.90%340.04M
3.87%336.2M
110.55%329.09M
110.34%327.14M
110.34%327.14M
2.63%324.16M
3.17%323.67M
-49.83%156.3M
0.33%155.53M
0.33%155.53M
-Accumulated depreciation
-20.76%-207.05M
-20.86%-203.77M
---201.16M
---198.74M
---198.74M
-7.94%-171.46M
-7.61%-168.6M
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----
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Investments and advances
-21.08%4.58M
-20.03%4.64M
-20.07%4.6M
-22.86%4.47M
-22.86%4.47M
-32.74%5.8M
-28.45%5.8M
-26.82%5.75M
-27.23%5.8M
-27.23%5.8M
Total non current assets
-13.21%137.57M
-14.79%137.07M
-18.22%132.53M
-17.64%132.87M
-17.64%132.87M
-8.38%158.5M
-6.93%160.87M
-6.23%162.05M
-5.46%161.33M
-5.46%161.33M
Total assets
-9.60%178.73M
-10.92%179.25M
-13.20%172.97M
-12.29%172.35M
-12.29%172.35M
0.74%197.72M
3.49%201.21M
7.02%199.26M
6.63%196.49M
6.63%196.49M
Liabilities
Current liabilities
Current provisions
-42.91%149K
-51.08%159K
-62.41%165K
-61.98%184K
-61.98%184K
--261K
--325K
--439K
--484K
--484K
Current debt and capital lease obligation
-13.83%81K
2.11%97K
0.00%95K
2.17%94K
2.17%94K
9.30%94K
13.10%95K
-88.41%95K
-97.35%92K
-97.35%92K
-Current debt
-37.14%22K
8.57%38K
11.76%38K
9.09%36K
9.09%36K
6.06%35K
9.38%35K
-95.57%34K
-99.04%33K
-99.04%33K
-Current capital lease obligation
0.00%59K
-1.67%59K
-6.56%57K
-1.69%58K
-1.69%58K
11.32%59K
15.38%60K
17.31%61K
13.46%59K
13.46%59K
Current liabilities
49.88%13.61M
17.92%14.61M
-15.62%10.29M
-13.78%9.67M
-13.78%9.67M
2.38%9.08M
12.07%12.39M
-0.40%12.2M
-5.26%11.21M
-5.26%11.21M
Non current liabilities
Long term provisions
1.53%19.14M
-3.14%18.59M
-5.55%18.41M
-0.41%18.88M
-0.41%18.88M
-1.89%18.85M
-1.32%19.19M
-3.17%19.49M
-11.81%18.96M
-11.81%18.96M
Long term debt and capital lease obligation
-36.05%94K
-42.63%109K
-42.16%118K
-29.84%134K
-29.84%134K
25.64%147K
46.15%190K
42.66%204K
23.23%191K
23.23%191K
-Long term capital lease obligation
-36.05%94K
-42.63%109K
-42.16%118K
-29.84%134K
-29.84%134K
25.64%147K
46.15%190K
42.66%204K
23.23%191K
23.23%191K
Total non current liabilities
1.24%19.24M
-3.52%18.69M
-5.93%18.53M
-0.70%19.01M
-0.70%19.01M
-10.18%19M
-9.42%19.38M
-10.85%19.7M
-18.41%19.15M
-18.41%19.15M
Total liabilities
16.97%32.84M
4.84%33.31M
-9.64%28.82M
-5.53%28.68M
-5.53%28.68M
-6.47%28.08M
-2.10%31.77M
-7.12%31.89M
-14.01%30.36M
-14.01%30.36M
Shareholders'equity
Share capital
0.00%429.88M
0.00%429.88M
0.00%429.88M
0.00%429.88M
0.00%429.88M
0.00%429.88M
0.00%429.88M
0.00%429.88M
0.00%429.88M
0.00%429.88M
-common stock
0.00%429.88M
0.00%429.88M
0.00%429.88M
0.00%429.88M
0.00%429.88M
0.00%429.88M
0.00%429.88M
0.00%429.88M
0.00%429.88M
0.00%429.88M
Retained earnings
-8.76%-313.29M
-8.79%-313.01M
-8.59%-314.27M
-8.16%-314.1M
-8.16%-314.1M
0.75%-288.05M
1.80%-287.72M
4.18%-289.41M
4.62%-290.39M
4.62%-290.39M
Paid-in capital
5.17%29.05M
5.43%28.73M
5.72%28.3M
6.11%27.91M
6.11%27.91M
6.64%27.62M
7.31%27.25M
8.24%26.77M
9.28%26.3M
9.28%26.3M
Gains losses not affecting retained earnings
28.35%249K
900.00%350K
88.37%243K
-105.88%-20K
-105.88%-20K
-71.72%194K
111.08%35K
118.09%129K
164.52%340K
164.52%340K
Total stockholders'equity
-14.00%145.89M
-13.87%145.94M
-13.88%144.15M
-13.52%143.67M
-13.52%143.67M
2.05%169.64M
4.62%169.44M
10.21%167.37M
11.52%166.13M
11.52%166.13M
Total equity
-14.00%145.89M
-13.87%145.94M
-13.88%144.15M
-13.52%143.67M
-13.52%143.67M
2.05%169.64M
4.62%169.44M
10.21%167.37M
11.52%166.13M
11.52%166.13M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
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Unqualified Opinion
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(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 7.58%35.87M5.25%37.08M9.30%35.91M18.41%35.04M18.41%35.04M83.76%33.34M154.92%35.23M283.98%32.86M246.85%29.59M246.85%29.59M
-Cash and cash equivalents 7.58%35.87M5.25%37.08M9.30%35.91M18.41%35.04M18.41%35.04M83.76%33.34M154.92%35.23M283.98%32.86M246.85%29.59M246.85%29.59M
Receivables -15.84%3.51M9.68%3.65M-6.90%3.17M-34.43%3.02M-34.43%3.02M8.84%4.17M-48.05%3.33M-15.00%3.41M14.54%4.6M14.54%4.6M
-Accounts receivable -15.84%3.51M9.68%3.65M-6.90%3.17M-34.43%3.02M-34.43%3.02M8.84%4.17M-48.05%3.33M-15.00%3.41M14.54%4.6M14.54%4.6M
Prepaid assets 4.64%1.78M-19.09%1.45M42.35%1.36M46.59%1.42M46.59%1.42M33.59%1.7M32.69%1.79M16.48%954K-9.36%968K-9.36%968K
Total current assets 4.96%41.16M4.53%42.17M8.67%40.44M12.27%39.47M12.27%39.47M68.66%39.21M87.05%40.35M178.08%37.22M158.23%35.16M158.23%35.16M
Non current assets
Net PPE -12.91%132.99M-14.59%132.44M-18.15%127.93M-17.44%128.4M-17.44%128.4M-2.75%152.7M-1.25%155.07M-0.63%156.3M0.33%155.53M0.33%155.53M
-Gross PPE 4.90%340.04M3.87%336.2M110.55%329.09M110.34%327.14M110.34%327.14M2.63%324.16M3.17%323.67M-49.83%156.3M0.33%155.53M0.33%155.53M
-Accumulated depreciation -20.76%-207.05M-20.86%-203.77M---201.16M---198.74M---198.74M-7.94%-171.46M-7.61%-168.6M------------
Investments and advances -21.08%4.58M-20.03%4.64M-20.07%4.6M-22.86%4.47M-22.86%4.47M-32.74%5.8M-28.45%5.8M-26.82%5.75M-27.23%5.8M-27.23%5.8M
Total non current assets -13.21%137.57M-14.79%137.07M-18.22%132.53M-17.64%132.87M-17.64%132.87M-8.38%158.5M-6.93%160.87M-6.23%162.05M-5.46%161.33M-5.46%161.33M
Total assets -9.60%178.73M-10.92%179.25M-13.20%172.97M-12.29%172.35M-12.29%172.35M0.74%197.72M3.49%201.21M7.02%199.26M6.63%196.49M6.63%196.49M
Liabilities
Current liabilities
Current provisions -42.91%149K-51.08%159K-62.41%165K-61.98%184K-61.98%184K--261K--325K--439K--484K--484K
Current debt and capital lease obligation -13.83%81K2.11%97K0.00%95K2.17%94K2.17%94K9.30%94K13.10%95K-88.41%95K-97.35%92K-97.35%92K
-Current debt -37.14%22K8.57%38K11.76%38K9.09%36K9.09%36K6.06%35K9.38%35K-95.57%34K-99.04%33K-99.04%33K
-Current capital lease obligation 0.00%59K-1.67%59K-6.56%57K-1.69%58K-1.69%58K11.32%59K15.38%60K17.31%61K13.46%59K13.46%59K
Current liabilities 49.88%13.61M17.92%14.61M-15.62%10.29M-13.78%9.67M-13.78%9.67M2.38%9.08M12.07%12.39M-0.40%12.2M-5.26%11.21M-5.26%11.21M
Non current liabilities
Long term provisions 1.53%19.14M-3.14%18.59M-5.55%18.41M-0.41%18.88M-0.41%18.88M-1.89%18.85M-1.32%19.19M-3.17%19.49M-11.81%18.96M-11.81%18.96M
Long term debt and capital lease obligation -36.05%94K-42.63%109K-42.16%118K-29.84%134K-29.84%134K25.64%147K46.15%190K42.66%204K23.23%191K23.23%191K
-Long term capital lease obligation -36.05%94K-42.63%109K-42.16%118K-29.84%134K-29.84%134K25.64%147K46.15%190K42.66%204K23.23%191K23.23%191K
Total non current liabilities 1.24%19.24M-3.52%18.69M-5.93%18.53M-0.70%19.01M-0.70%19.01M-10.18%19M-9.42%19.38M-10.85%19.7M-18.41%19.15M-18.41%19.15M
Total liabilities 16.97%32.84M4.84%33.31M-9.64%28.82M-5.53%28.68M-5.53%28.68M-6.47%28.08M-2.10%31.77M-7.12%31.89M-14.01%30.36M-14.01%30.36M
Shareholders'equity
Share capital 0.00%429.88M0.00%429.88M0.00%429.88M0.00%429.88M0.00%429.88M0.00%429.88M0.00%429.88M0.00%429.88M0.00%429.88M0.00%429.88M
-common stock 0.00%429.88M0.00%429.88M0.00%429.88M0.00%429.88M0.00%429.88M0.00%429.88M0.00%429.88M0.00%429.88M0.00%429.88M0.00%429.88M
Retained earnings -8.76%-313.29M-8.79%-313.01M-8.59%-314.27M-8.16%-314.1M-8.16%-314.1M0.75%-288.05M1.80%-287.72M4.18%-289.41M4.62%-290.39M4.62%-290.39M
Paid-in capital 5.17%29.05M5.43%28.73M5.72%28.3M6.11%27.91M6.11%27.91M6.64%27.62M7.31%27.25M8.24%26.77M9.28%26.3M9.28%26.3M
Gains losses not affecting retained earnings 28.35%249K900.00%350K88.37%243K-105.88%-20K-105.88%-20K-71.72%194K111.08%35K118.09%129K164.52%340K164.52%340K
Total stockholders'equity -14.00%145.89M-13.87%145.94M-13.88%144.15M-13.52%143.67M-13.52%143.67M2.05%169.64M4.62%169.44M10.21%167.37M11.52%166.13M11.52%166.13M
Total equity -14.00%145.89M-13.87%145.94M-13.88%144.15M-13.52%143.67M-13.52%143.67M2.05%169.64M4.62%169.44M10.21%167.37M11.52%166.13M11.52%166.13M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion------------
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