US Stock MarketDetailed Quotes

SPCNF SPC NICKEL CORP

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  • 0.013
  • 0.0000.00%
15min DelayClose Dec 9 16:00 ET
2.44MMarket Cap-2.12P/E (TTM)

SPC NICKEL CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Nov 30, 2024
(FY)Aug 31, 2024
(Q2)Feb 29, 2024
(Q1)Nov 30, 2023
(FY)Aug 31, 2023
(Q4)Aug 31, 2023
(Q3)May 31, 2023
(Q2)Feb 28, 2023
(Q1)Nov 30, 2022
(FY)Aug 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
24.48%1.5M
-2.20%2.03M
-62.79%1.05M
-61.90%1.21M
-45.50%2.08M
--2.08M
-70.25%1.46M
7.68%2.81M
-12.21%3.17M
-28.59%3.81M
-Cash and cash equivalents
24.48%1.5M
-2.20%2.03M
-62.79%1.05M
-61.90%1.21M
-45.50%2.08M
--2.08M
-70.25%1.46M
8.93%2.81M
-11.49%3.17M
-28.59%3.81M
Receivables
-86.99%28.97K
-73.87%83.36K
-61.39%10.79K
282.81%222.71K
423.95%319.09K
--319.09K
-34.58%125.18K
-84.10%27.96K
-72.10%58.18K
-84.71%60.9K
-Accounts receivable
-97.47%5.63K
--0
-61.39%10.79K
342.25%222.71K
341.36%200.62K
--200.62K
-25.69%125.18K
-84.10%27.96K
-75.85%50.36K
-87.70%45.46K
-Taxes receivable
--23.34K
-29.63%83.36K
----
----
--118.47K
--118.47K
----
----
----
----
-Other receivables
----
----
----
----
----
----
----
----
--7.82K
-46.14%15.45K
Prepaid assets
-20.35%41.38K
-56.19%48.95K
68.91%70.16K
-3.05%51.96K
49.07%111.72K
--111.72K
23.26%96.33K
-15.92%41.54K
30.78%53.59K
38.21%74.95K
Restricted cash
2.66%103.18K
1.68%102K
-0.90%100.69K
-0.78%100.5K
-7.14%100.32K
--100.32K
-0.54%100.13K
1.19%101.61K
0.99%101.3K
7.82%108.03K
Total current assets
5.95%1.68M
-13.13%2.27M
-58.83%1.23M
-53.21%1.58M
-35.68%2.61M
--2.61M
-66.24%1.78M
1.56%2.98M
-14.58%3.38M
-31.15%4.05M
Non current assets
Net PPE
-38.34%66.26K
-35.65%75.9K
-31.38%96.96K
-25.22%107.46K
-20.54%117.95K
--117.95K
-17.22%129.62K
-14.19%141.29K
-16.73%143.7K
-17.74%148.45K
-Gross PPE
-38.34%66.26K
-17.59%140.77K
-31.38%96.96K
-25.22%107.46K
-13.47%170.81K
--170.81K
-17.22%129.62K
-14.19%141.29K
-16.73%143.7K
-1.39%197.4K
-Accumulated depreciation
----
-22.73%-64.87K
----
----
-7.97%-52.86K
---52.86K
----
----
----
-148.22%-48.96K
Total non current assets
-38.34%66.26K
-35.65%75.9K
-31.38%96.96K
-25.22%107.46K
-20.54%117.95K
--117.95K
-17.22%129.62K
-14.19%141.29K
-20.34%143.7K
-24.23%148.45K
Total assets
3.13%1.74M
-14.11%2.34M
-57.59%1.33M
-52.07%1.69M
-35.15%2.73M
--2.73M
-64.83%1.91M
0.73%3.12M
-14.83%3.53M
-30.93%4.2M
Liabilities
Current liabilities
Current debt and capital lease obligation
14.70%36.78K
13.33%35.45K
10.47%32.88K
12.13%32.07K
13.89%31.28K
--31.28K
15.75%30.51K
17.72%29.76K
15.98%28.6K
14.19%27.47K
-Current capital lease obligation
14.70%36.78K
13.33%35.45K
10.47%32.88K
12.13%32.07K
13.89%31.28K
--31.28K
15.75%30.51K
17.72%29.76K
15.98%28.6K
14.19%27.47K
Other current liabilities
-58.49%49.46K
-32.72%120.15K
--99.31K
--119.14K
--178.6K
--178.6K
----
----
----
----
Current liabilities
13.13%306.64K
-37.86%498.63K
41.21%263.3K
11.18%271.05K
158.53%802.46K
--802.46K
27.64%710.65K
-39.18%186.47K
-42.85%243.79K
-73.83%310.4K
Non current liabilities
Long term debt and capital lease obligation
-78.80%9.89K
-64.46%19.55K
-46.29%38.15K
-40.72%46.68K
-36.26%55K
--55K
-32.59%63.11K
-29.53%71.03K
-26.64%78.75K
-24.15%86.28K
-Long term capital lease obligation
-78.80%9.89K
-64.46%19.55K
-46.29%38.15K
-40.72%46.68K
-36.26%55K
--55K
-32.59%63.11K
-29.53%71.03K
-26.64%78.75K
-24.15%86.28K
Other non current liabilities
----
----
----
----
----
----
----
----
---1
----
Total non current liabilities
-78.80%9.89K
-64.46%19.55K
-46.29%38.15K
-40.72%46.68K
-36.26%55K
--55K
-32.59%63.11K
-29.53%71.03K
-26.64%78.75K
-24.15%86.28K
Total liabilities
-0.38%316.53K
-39.57%518.17K
17.07%301.45K
-1.49%317.73K
116.16%857.46K
--857.46K
18.97%773.76K
-36.79%257.49K
-39.59%322.54K
-69.48%396.67K
Shareholders'equity
Share capital
7.94%23.09M
7.94%23.09M
11.87%21.5M
11.28%21.39M
11.28%21.39M
--21.39M
1.76%19.41M
14.72%19.22M
14.72%19.22M
14.72%19.22M
-common stock
7.94%23.09M
7.94%23.09M
11.87%21.5M
11.28%21.39M
11.28%21.39M
--21.39M
1.76%19.41M
14.72%19.22M
14.72%19.22M
14.72%19.22M
Retained earnings
-7.59%-23.3M
-5.86%-22.92M
-17.80%-21.77M
-20.42%-21.65M
-24.57%-21.65M
---21.65M
-22.93%-20.31M
-18.54%-18.48M
-22.51%-17.98M
-28.91%-17.38M
Paid-in capital
8.71%1.37M
8.71%1.37M
--1.24M
--1.26M
--1.26M
--1.26M
----
----
----
----
Other equity interest
-29.25%265.86K
-67.33%283.86K
-97.74%48K
-80.85%375.76K
-55.72%868.8K
--868.8K
-8.62%2.04M
38.98%2.12M
28.38%1.96M
29.91%1.96M
Total stockholders'equity
3.95%1.43M
-2.42%1.82M
-64.30%1.02M
-57.16%1.37M
-50.92%1.87M
--1.87M
-76.22%1.14M
6.40%2.87M
-11.17%3.21M
-20.46%3.81M
Total equity
3.95%1.43M
-2.42%1.82M
-64.30%1.02M
-57.16%1.37M
-50.92%1.87M
--1.87M
-76.22%1.14M
6.40%2.87M
-11.17%3.21M
-20.46%3.81M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
(Q1)Nov 30, 2024(FY)Aug 31, 2024(Q2)Feb 29, 2024(Q1)Nov 30, 2023(FY)Aug 31, 2023(Q4)Aug 31, 2023(Q3)May 31, 2023(Q2)Feb 28, 2023(Q1)Nov 30, 2022(FY)Aug 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 24.48%1.5M-2.20%2.03M-62.79%1.05M-61.90%1.21M-45.50%2.08M--2.08M-70.25%1.46M7.68%2.81M-12.21%3.17M-28.59%3.81M
-Cash and cash equivalents 24.48%1.5M-2.20%2.03M-62.79%1.05M-61.90%1.21M-45.50%2.08M--2.08M-70.25%1.46M8.93%2.81M-11.49%3.17M-28.59%3.81M
Receivables -86.99%28.97K-73.87%83.36K-61.39%10.79K282.81%222.71K423.95%319.09K--319.09K-34.58%125.18K-84.10%27.96K-72.10%58.18K-84.71%60.9K
-Accounts receivable -97.47%5.63K--0-61.39%10.79K342.25%222.71K341.36%200.62K--200.62K-25.69%125.18K-84.10%27.96K-75.85%50.36K-87.70%45.46K
-Taxes receivable --23.34K-29.63%83.36K----------118.47K--118.47K----------------
-Other receivables ----------------------------------7.82K-46.14%15.45K
Prepaid assets -20.35%41.38K-56.19%48.95K68.91%70.16K-3.05%51.96K49.07%111.72K--111.72K23.26%96.33K-15.92%41.54K30.78%53.59K38.21%74.95K
Restricted cash 2.66%103.18K1.68%102K-0.90%100.69K-0.78%100.5K-7.14%100.32K--100.32K-0.54%100.13K1.19%101.61K0.99%101.3K7.82%108.03K
Total current assets 5.95%1.68M-13.13%2.27M-58.83%1.23M-53.21%1.58M-35.68%2.61M--2.61M-66.24%1.78M1.56%2.98M-14.58%3.38M-31.15%4.05M
Non current assets
Net PPE -38.34%66.26K-35.65%75.9K-31.38%96.96K-25.22%107.46K-20.54%117.95K--117.95K-17.22%129.62K-14.19%141.29K-16.73%143.7K-17.74%148.45K
-Gross PPE -38.34%66.26K-17.59%140.77K-31.38%96.96K-25.22%107.46K-13.47%170.81K--170.81K-17.22%129.62K-14.19%141.29K-16.73%143.7K-1.39%197.4K
-Accumulated depreciation -----22.73%-64.87K---------7.97%-52.86K---52.86K-------------148.22%-48.96K
Total non current assets -38.34%66.26K-35.65%75.9K-31.38%96.96K-25.22%107.46K-20.54%117.95K--117.95K-17.22%129.62K-14.19%141.29K-20.34%143.7K-24.23%148.45K
Total assets 3.13%1.74M-14.11%2.34M-57.59%1.33M-52.07%1.69M-35.15%2.73M--2.73M-64.83%1.91M0.73%3.12M-14.83%3.53M-30.93%4.2M
Liabilities
Current liabilities
Current debt and capital lease obligation 14.70%36.78K13.33%35.45K10.47%32.88K12.13%32.07K13.89%31.28K--31.28K15.75%30.51K17.72%29.76K15.98%28.6K14.19%27.47K
-Current capital lease obligation 14.70%36.78K13.33%35.45K10.47%32.88K12.13%32.07K13.89%31.28K--31.28K15.75%30.51K17.72%29.76K15.98%28.6K14.19%27.47K
Other current liabilities -58.49%49.46K-32.72%120.15K--99.31K--119.14K--178.6K--178.6K----------------
Current liabilities 13.13%306.64K-37.86%498.63K41.21%263.3K11.18%271.05K158.53%802.46K--802.46K27.64%710.65K-39.18%186.47K-42.85%243.79K-73.83%310.4K
Non current liabilities
Long term debt and capital lease obligation -78.80%9.89K-64.46%19.55K-46.29%38.15K-40.72%46.68K-36.26%55K--55K-32.59%63.11K-29.53%71.03K-26.64%78.75K-24.15%86.28K
-Long term capital lease obligation -78.80%9.89K-64.46%19.55K-46.29%38.15K-40.72%46.68K-36.26%55K--55K-32.59%63.11K-29.53%71.03K-26.64%78.75K-24.15%86.28K
Other non current liabilities -----------------------------------1----
Total non current liabilities -78.80%9.89K-64.46%19.55K-46.29%38.15K-40.72%46.68K-36.26%55K--55K-32.59%63.11K-29.53%71.03K-26.64%78.75K-24.15%86.28K
Total liabilities -0.38%316.53K-39.57%518.17K17.07%301.45K-1.49%317.73K116.16%857.46K--857.46K18.97%773.76K-36.79%257.49K-39.59%322.54K-69.48%396.67K
Shareholders'equity
Share capital 7.94%23.09M7.94%23.09M11.87%21.5M11.28%21.39M11.28%21.39M--21.39M1.76%19.41M14.72%19.22M14.72%19.22M14.72%19.22M
-common stock 7.94%23.09M7.94%23.09M11.87%21.5M11.28%21.39M11.28%21.39M--21.39M1.76%19.41M14.72%19.22M14.72%19.22M14.72%19.22M
Retained earnings -7.59%-23.3M-5.86%-22.92M-17.80%-21.77M-20.42%-21.65M-24.57%-21.65M---21.65M-22.93%-20.31M-18.54%-18.48M-22.51%-17.98M-28.91%-17.38M
Paid-in capital 8.71%1.37M8.71%1.37M--1.24M--1.26M--1.26M--1.26M----------------
Other equity interest -29.25%265.86K-67.33%283.86K-97.74%48K-80.85%375.76K-55.72%868.8K--868.8K-8.62%2.04M38.98%2.12M28.38%1.96M29.91%1.96M
Total stockholders'equity 3.95%1.43M-2.42%1.82M-64.30%1.02M-57.16%1.37M-50.92%1.87M--1.87M-76.22%1.14M6.40%2.87M-11.17%3.21M-20.46%3.81M
Total equity 3.95%1.43M-2.42%1.82M-64.30%1.02M-57.16%1.37M-50.92%1.87M--1.87M-76.22%1.14M6.40%2.87M-11.17%3.21M-20.46%3.81M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion with Explanatory Notes----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion