CA Stock MarketDetailed Quotes

RV Pathfinder Ventures Inc

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  • 0.110
  • 0.0000.00%
15min DelayTrading Oct 17 16:00 ET
2.58MMarket Cap0.00P/E (TTM)

Pathfinder Ventures Inc 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
(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
--301.82K
-8.23%499.28K
-53.58%456.1K
-53.58%456.1K
-56.78%656K
-73.70%544.07K
-53.06%982.48K
-53.06%982.48K
-22.64%1.52M
--1.58M
-Cash and cash equivalents
--301.82K
-8.23%499.28K
-53.58%456.1K
-53.58%456.1K
-56.78%656K
-73.70%544.07K
-53.06%982.48K
-53.06%982.48K
-22.64%1.52M
--1.58M
-Accounts receivable
--240.15K
7.23%270.48K
238.56%262.94K
238.56%262.94K
300.76%279.23K
925.81%252.24K
183.91%77.66K
183.91%77.66K
-45.07%69.68K
--32.5K
-Other receivables
--117.09K
-23.50%104.19K
-23.52%117.78K
-23.52%117.78K
-7.55%134.46K
70.37%136.19K
92.82%154K
92.82%154K
193.87%145.43K
--134.56K
Total current assets
--879.91K
11.06%1.03M
-19.91%920.58K
-19.91%920.58K
-37.75%1.07M
-58.45%930.07K
-49.56%1.15M
-49.56%1.15M
-23.99%1.72M
--1.74M
Non current assets
-Accumulated depreciation
---2.39M
-46.45%-2.22M
-54.30%-2.05M
-54.30%-2.05M
-65.60%-1.86M
-106.62%-1.51M
-145.09%-1.33M
-145.09%-1.33M
-248.54%-1.13M
---926.31K
-Long term equity investment
--9.26M
254.16%9.19M
142.24%6.43M
142.24%6.43M
17.31%6.48M
-66.75%2.6M
-66.15%2.65M
-66.15%2.65M
-37.61%5.52M
--7.77M
-Other intangible assets
----
----
--200K
--200K
----
----
----
----
----
----
Regulatory assets
--364.84K
37.00%345.56K
167.49%311.41K
167.49%311.41K
352.66%315.4K
925.81%252.24K
325.58%116.42K
325.58%116.42K
-45.07%69.68K
--32.5K
Total assets
--56.66K
--18.86K
-75.70%9.23K
-75.70%9.23K
--15.43K
----
--37.96K
--37.96K
----
----
Liabilities
Current liabilities
Current debt and capital lease obligation
--1.44M
-80.87%1.54M
-46.45%4.22M
-46.45%4.22M
-11.36%4.15M
334.14%8.02M
331.81%7.88M
331.81%7.88M
340.90%4.69M
--2.47M
-Current debt
--1.4M
-81.42%1.47M
-46.82%4.12M
-46.82%4.12M
-11.63%4.03M
356.40%7.9M
353.60%7.75M
353.60%7.75M
380.38%4.56M
--2.35M
-Current capital lease obligation
--38.77K
-46.63%67.59K
-24.06%95.46K
-24.06%95.46K
-1.35%121.38K
7.40%126.62K
8.90%125.69K
8.90%125.69K
8.91%123.04K
--120.44K
-accounts payable
--475.27K
58.95%383.02K
75.08%312.13K
75.08%312.13K
-17.66%164.06K
-4.22%240.96K
13.99%178.28K
13.99%178.28K
-38.17%199.26K
--181.09K
-Total tax payable
--9.26M
254.16%9.19M
142.24%6.43M
142.24%6.43M
17.31%6.48M
-66.75%2.6M
-66.15%2.65M
-66.15%2.65M
-37.61%5.52M
--7.77M
Current accrued expenses
--551.39K
74.52%517.03K
57.94%462.6K
57.94%462.6K
65.55%434.09K
51.36%296.26K
146.59%292.89K
146.59%292.89K
191.22%262.22K
--184.7K
Current deferred liabilities
--1.12M
4.24%1M
-0.87%738.89K
-0.87%738.89K
-12.63%718.53K
-10.62%962.05K
24.55%745.35K
24.55%745.35K
69.13%822.38K
--1.12M
Current liabilities
--3.7M
-63.34%3.54M
-36.76%5.85M
-36.76%5.85M
-8.35%5.61M
179.79%9.66M
232.87%9.25M
232.87%9.25M
204.02%6.12M
--4.09M
Non current liabilities
-Long term debt
--0
-96.19%2.64K
-94.82%5.22K
-94.82%5.22K
-91.19%11.73K
-64.62%69.32K
-55.53%100.68K
-55.53%100.68K
-48.03%133.11K
--164.87K
Non current accrued expenses
--12.87M
-4.91%12.99M
-4.99%13.13M
-4.99%13.13M
-4.81%13.32M
2.13%13.67M
3.31%13.82M
3.31%13.82M
3.10%13.99M
--14.15M
Long term provisions
--9.26M
263.78%9.19M
151.59%6.42M
151.59%6.42M
19.99%6.47M
-66.80%2.53M
-66.46%2.55M
-66.46%2.55M
-37.30%5.39M
--7.61M
Total non current liabilities
--12.96M
3.89%12.73M
3.13%12.28M
3.13%12.28M
3.83%12.09M
8.87%12.26M
12.14%11.9M
12.14%11.9M
7.12%11.64M
--11.86M
Shareholders'equity
Share capital
--9.19M
12.38%9.19M
6.26%8.69M
6.26%8.69M
6.12%8.68M
0.00%8.18M
0.00%8.18M
0.00%8.18M
37.79%8.18M
--8.18M
-common stock
--9.19M
12.38%9.19M
6.26%8.69M
6.26%8.69M
6.12%8.68M
0.00%8.18M
0.00%8.18M
0.00%8.18M
37.79%8.18M
--8.18M
Gains losses not affecting retained earnings
--1.08M
6.16%1.03M
6.16%1.03M
6.16%1.03M
6.38%1.02M
-5.23%969.2K
1.64%969.2K
1.64%969.2K
12.71%957.67K
--1.09M
Total equity
--13.75M
-3.96%14.03M
-6.20%14.05M
-6.20%14.05M
-8.41%14.4M
-6.79%14.61M
-4.62%14.98M
-4.62%14.98M
-0.70%15.72M
--15.94M
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 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 --301.82K-8.23%499.28K-53.58%456.1K-53.58%456.1K-56.78%656K-73.70%544.07K-53.06%982.48K-53.06%982.48K-22.64%1.52M--1.58M
-Cash and cash equivalents --301.82K-8.23%499.28K-53.58%456.1K-53.58%456.1K-56.78%656K-73.70%544.07K-53.06%982.48K-53.06%982.48K-22.64%1.52M--1.58M
-Accounts receivable --240.15K7.23%270.48K238.56%262.94K238.56%262.94K300.76%279.23K925.81%252.24K183.91%77.66K183.91%77.66K-45.07%69.68K--32.5K
-Other receivables --117.09K-23.50%104.19K-23.52%117.78K-23.52%117.78K-7.55%134.46K70.37%136.19K92.82%154K92.82%154K193.87%145.43K--134.56K
Total current assets --879.91K11.06%1.03M-19.91%920.58K-19.91%920.58K-37.75%1.07M-58.45%930.07K-49.56%1.15M-49.56%1.15M-23.99%1.72M--1.74M
Non current assets
-Accumulated depreciation ---2.39M-46.45%-2.22M-54.30%-2.05M-54.30%-2.05M-65.60%-1.86M-106.62%-1.51M-145.09%-1.33M-145.09%-1.33M-248.54%-1.13M---926.31K
-Long term equity investment --9.26M254.16%9.19M142.24%6.43M142.24%6.43M17.31%6.48M-66.75%2.6M-66.15%2.65M-66.15%2.65M-37.61%5.52M--7.77M
-Other intangible assets ----------200K--200K------------------------
Regulatory assets --364.84K37.00%345.56K167.49%311.41K167.49%311.41K352.66%315.4K925.81%252.24K325.58%116.42K325.58%116.42K-45.07%69.68K--32.5K
Total assets --56.66K--18.86K-75.70%9.23K-75.70%9.23K--15.43K------37.96K--37.96K--------
Liabilities
Current liabilities
Current debt and capital lease obligation --1.44M-80.87%1.54M-46.45%4.22M-46.45%4.22M-11.36%4.15M334.14%8.02M331.81%7.88M331.81%7.88M340.90%4.69M--2.47M
-Current debt --1.4M-81.42%1.47M-46.82%4.12M-46.82%4.12M-11.63%4.03M356.40%7.9M353.60%7.75M353.60%7.75M380.38%4.56M--2.35M
-Current capital lease obligation --38.77K-46.63%67.59K-24.06%95.46K-24.06%95.46K-1.35%121.38K7.40%126.62K8.90%125.69K8.90%125.69K8.91%123.04K--120.44K
-accounts payable --475.27K58.95%383.02K75.08%312.13K75.08%312.13K-17.66%164.06K-4.22%240.96K13.99%178.28K13.99%178.28K-38.17%199.26K--181.09K
-Total tax payable --9.26M254.16%9.19M142.24%6.43M142.24%6.43M17.31%6.48M-66.75%2.6M-66.15%2.65M-66.15%2.65M-37.61%5.52M--7.77M
Current accrued expenses --551.39K74.52%517.03K57.94%462.6K57.94%462.6K65.55%434.09K51.36%296.26K146.59%292.89K146.59%292.89K191.22%262.22K--184.7K
Current deferred liabilities --1.12M4.24%1M-0.87%738.89K-0.87%738.89K-12.63%718.53K-10.62%962.05K24.55%745.35K24.55%745.35K69.13%822.38K--1.12M
Current liabilities --3.7M-63.34%3.54M-36.76%5.85M-36.76%5.85M-8.35%5.61M179.79%9.66M232.87%9.25M232.87%9.25M204.02%6.12M--4.09M
Non current liabilities
-Long term debt --0-96.19%2.64K-94.82%5.22K-94.82%5.22K-91.19%11.73K-64.62%69.32K-55.53%100.68K-55.53%100.68K-48.03%133.11K--164.87K
Non current accrued expenses --12.87M-4.91%12.99M-4.99%13.13M-4.99%13.13M-4.81%13.32M2.13%13.67M3.31%13.82M3.31%13.82M3.10%13.99M--14.15M
Long term provisions --9.26M263.78%9.19M151.59%6.42M151.59%6.42M19.99%6.47M-66.80%2.53M-66.46%2.55M-66.46%2.55M-37.30%5.39M--7.61M
Total non current liabilities --12.96M3.89%12.73M3.13%12.28M3.13%12.28M3.83%12.09M8.87%12.26M12.14%11.9M12.14%11.9M7.12%11.64M--11.86M
Shareholders'equity
Share capital --9.19M12.38%9.19M6.26%8.69M6.26%8.69M6.12%8.68M0.00%8.18M0.00%8.18M0.00%8.18M37.79%8.18M--8.18M
-common stock --9.19M12.38%9.19M6.26%8.69M6.26%8.69M6.12%8.68M0.00%8.18M0.00%8.18M0.00%8.18M37.79%8.18M--8.18M
Gains losses not affecting retained earnings --1.08M6.16%1.03M6.16%1.03M6.16%1.03M6.38%1.02M-5.23%969.2K1.64%969.2K1.64%969.2K12.71%957.67K--1.09M
Total equity --13.75M-3.96%14.03M-6.20%14.05M-6.20%14.05M-8.41%14.4M-6.79%14.61M-4.62%14.98M-4.62%14.98M-0.70%15.72M--15.94M

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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