US Stock MarketDetailed Quotes

VDTAF VENDETTA MINING CORP

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  • 0.007
  • 0.0000.00%
15min DelayClose Oct 17 16:00 ET
2.39MMarket Cap-7400P/E (TTM)

VENDETTA MINING CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)May 31, 2024
(Q4)May 31, 2024
(Q3)Feb 29, 2024
(Q2)Nov 30, 2023
(Q1)Aug 31, 2023
(FY)May 31, 2023
(Q4)May 31, 2023
(Q3)Feb 28, 2023
(Q2)Nov 30, 2022
(Q1)Aug 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-93.59%18.31K
-93.59%18.31K
-96.41%16.5K
-82.45%33.5K
-81.63%119.56K
-81.17%285.61K
-81.17%285.61K
767.97%459.64K
46.78%190.95K
143.40%650.91K
-Cash and cash equivalents
-93.59%18.31K
-93.59%18.31K
-96.41%16.5K
-82.45%33.5K
-81.63%119.56K
-81.17%285.61K
-81.17%285.61K
767.97%459.64K
46.78%190.95K
143.40%650.91K
Receivables
12.17%22.14K
12.17%22.14K
87.17%22.62K
-81.00%22.25K
-79.13%16.32K
-81.66%19.74K
-81.66%19.74K
-87.39%12.09K
31.32%117.1K
-4.82%78.22K
-Accounts receivable
12.17%22.14K
12.17%22.14K
87.17%22.62K
-81.00%22.25K
-79.13%16.32K
-81.66%19.74K
-81.66%19.74K
-87.39%12.09K
31.32%117.1K
-4.82%78.22K
Prepaid assets
-66.23%10.18K
-66.23%10.18K
-44.08%13.66K
-43.54%18.83K
-71.38%24.01K
43.73%30.14K
43.73%30.14K
183.20%24.43K
134.30%33.36K
100.39%83.88K
Total current assets
-84.91%50.63K
-84.91%50.63K
-89.36%52.78K
-78.15%74.58K
-80.33%159.89K
-79.61%335.49K
-79.61%335.49K
215.13%496.16K
46.21%341.41K
107.68%813.01K
Non current assets
Net PPE
-0.59%6.04M
-0.59%6.04M
0.69%6.05M
0.84%6.06M
0.99%6.07M
1.14%6.08M
1.14%6.08M
-0.00%6.01M
-0.00%6.01M
-0.01%6.01M
-Gross PPE
0.00%6.09M
0.00%6.09M
1.19%6.09M
1.19%6.09M
1.19%6.09M
1.19%6.09M
1.19%6.09M
0.00%6.02M
0.00%6.02M
0.00%6.02M
-Accumulated depreciation
-486.41%-43.46K
-486.41%-43.46K
-689.53%-34.45K
-490.55%-25.44K
-286.42%-16.42K
-76.79%-7.41K
-76.79%-7.41K
-6.18%-4.36K
-6.90%-4.31K
-7.68%-4.25K
Total non current assets
-0.59%6.04M
-0.59%6.04M
0.69%6.05M
0.84%6.06M
0.99%6.07M
1.14%6.08M
1.14%6.08M
-0.00%6.01M
-0.00%6.01M
-0.01%6.01M
Total assets
-5.00%6.1M
-5.00%6.1M
-6.17%6.11M
-3.40%6.14M
-8.70%6.23M
-16.21%6.42M
-16.21%6.42M
5.49%6.51M
1.72%6.35M
6.58%6.82M
Liabilities
Current liabilities
Current debt and capital lease obligation
59.85%54.97K
59.85%54.97K
--46.89K
--36.14K
--35.25K
--34.39K
--34.39K
----
----
----
-Current capital lease obligation
59.85%54.97K
59.85%54.97K
--46.89K
--36.14K
--35.25K
--34.39K
--34.39K
----
----
----
Current liabilities
75.68%882.05K
75.68%882.05K
81.17%743.37K
-10.74%588.29K
-11.30%517.93K
12.96%502.08K
12.96%502.08K
-86.22%410.32K
-79.13%659.09K
-83.18%583.9K
Non current liabilities
Long term debt and capital lease obligation
----
----
--6.72K
--16.15K
--25.53K
--34.68K
--34.68K
----
----
----
-Long term capital lease obligation
--0
--0
--6.72K
--16.15K
--25.53K
--34.68K
--34.68K
----
----
----
Total non current liabilities
--0
--0
--6.72K
--16.15K
--25.53K
--34.68K
--34.68K
--0
--0
--0
Total liabilities
64.33%882.05K
64.33%882.05K
82.81%750.09K
-8.29%604.44K
-6.93%543.46K
20.76%536.76K
20.76%536.76K
-86.22%410.32K
-79.13%659.09K
-83.18%583.9K
Shareholders'equity
Share capital
0.00%27.56M
0.00%27.56M
0.77%27.56M
4.18%27.56M
5.02%27.56M
5.02%27.56M
5.02%27.56M
24.99%27.35M
22.50%26.46M
23.73%26.24M
-common stock
0.00%27.56M
0.00%27.56M
0.77%27.56M
4.18%27.56M
5.02%27.56M
5.02%27.56M
5.02%27.56M
24.99%27.35M
22.50%26.46M
23.73%26.24M
Retained earnings
-2.86%-23.96M
-2.86%-23.96M
-4.16%-23.82M
-4.92%-23.64M
-7.58%-23.49M
-11.68%-23.3M
-11.68%-23.3M
-11.43%-22.87M
-10.80%-22.53M
-8.77%-21.83M
Gains losses not affecting retained earnings
0.00%1.61M
0.00%1.61M
----
0.00%1.61M
0.00%1.61M
0.00%1.61M
0.00%1.61M
0.00%1.61M
0.00%1.61M
0.00%1.61M
Other equity interest
0.00%6K
0.00%6K
26,770.70%1.61M
-96.37%6K
-97.30%6K
-97.30%6K
-97.30%6K
-97.30%6K
-25.62%165.12K
18.07%222K
Total stockholders'equity
-11.33%5.21M
-11.33%5.21M
-12.16%5.36M
-2.84%5.53M
-8.86%5.69M
-18.49%5.88M
-18.49%5.88M
91.06%6.1M
84.41%5.69M
112.78%6.24M
Total equity
-11.33%5.21M
-11.33%5.21M
-12.16%5.36M
-2.84%5.53M
-8.86%5.69M
-18.49%5.88M
-18.49%5.88M
91.06%6.1M
84.41%5.69M
112.78%6.24M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
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(FY)May 31, 2024(Q4)May 31, 2024(Q3)Feb 29, 2024(Q2)Nov 30, 2023(Q1)Aug 31, 2023(FY)May 31, 2023(Q4)May 31, 2023(Q3)Feb 28, 2023(Q2)Nov 30, 2022(Q1)Aug 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -93.59%18.31K-93.59%18.31K-96.41%16.5K-82.45%33.5K-81.63%119.56K-81.17%285.61K-81.17%285.61K767.97%459.64K46.78%190.95K143.40%650.91K
-Cash and cash equivalents -93.59%18.31K-93.59%18.31K-96.41%16.5K-82.45%33.5K-81.63%119.56K-81.17%285.61K-81.17%285.61K767.97%459.64K46.78%190.95K143.40%650.91K
Receivables 12.17%22.14K12.17%22.14K87.17%22.62K-81.00%22.25K-79.13%16.32K-81.66%19.74K-81.66%19.74K-87.39%12.09K31.32%117.1K-4.82%78.22K
-Accounts receivable 12.17%22.14K12.17%22.14K87.17%22.62K-81.00%22.25K-79.13%16.32K-81.66%19.74K-81.66%19.74K-87.39%12.09K31.32%117.1K-4.82%78.22K
Prepaid assets -66.23%10.18K-66.23%10.18K-44.08%13.66K-43.54%18.83K-71.38%24.01K43.73%30.14K43.73%30.14K183.20%24.43K134.30%33.36K100.39%83.88K
Total current assets -84.91%50.63K-84.91%50.63K-89.36%52.78K-78.15%74.58K-80.33%159.89K-79.61%335.49K-79.61%335.49K215.13%496.16K46.21%341.41K107.68%813.01K
Non current assets
Net PPE -0.59%6.04M-0.59%6.04M0.69%6.05M0.84%6.06M0.99%6.07M1.14%6.08M1.14%6.08M-0.00%6.01M-0.00%6.01M-0.01%6.01M
-Gross PPE 0.00%6.09M0.00%6.09M1.19%6.09M1.19%6.09M1.19%6.09M1.19%6.09M1.19%6.09M0.00%6.02M0.00%6.02M0.00%6.02M
-Accumulated depreciation -486.41%-43.46K-486.41%-43.46K-689.53%-34.45K-490.55%-25.44K-286.42%-16.42K-76.79%-7.41K-76.79%-7.41K-6.18%-4.36K-6.90%-4.31K-7.68%-4.25K
Total non current assets -0.59%6.04M-0.59%6.04M0.69%6.05M0.84%6.06M0.99%6.07M1.14%6.08M1.14%6.08M-0.00%6.01M-0.00%6.01M-0.01%6.01M
Total assets -5.00%6.1M-5.00%6.1M-6.17%6.11M-3.40%6.14M-8.70%6.23M-16.21%6.42M-16.21%6.42M5.49%6.51M1.72%6.35M6.58%6.82M
Liabilities
Current liabilities
Current debt and capital lease obligation 59.85%54.97K59.85%54.97K--46.89K--36.14K--35.25K--34.39K--34.39K------------
-Current capital lease obligation 59.85%54.97K59.85%54.97K--46.89K--36.14K--35.25K--34.39K--34.39K------------
Current liabilities 75.68%882.05K75.68%882.05K81.17%743.37K-10.74%588.29K-11.30%517.93K12.96%502.08K12.96%502.08K-86.22%410.32K-79.13%659.09K-83.18%583.9K
Non current liabilities
Long term debt and capital lease obligation ----------6.72K--16.15K--25.53K--34.68K--34.68K------------
-Long term capital lease obligation --0--0--6.72K--16.15K--25.53K--34.68K--34.68K------------
Total non current liabilities --0--0--6.72K--16.15K--25.53K--34.68K--34.68K--0--0--0
Total liabilities 64.33%882.05K64.33%882.05K82.81%750.09K-8.29%604.44K-6.93%543.46K20.76%536.76K20.76%536.76K-86.22%410.32K-79.13%659.09K-83.18%583.9K
Shareholders'equity
Share capital 0.00%27.56M0.00%27.56M0.77%27.56M4.18%27.56M5.02%27.56M5.02%27.56M5.02%27.56M24.99%27.35M22.50%26.46M23.73%26.24M
-common stock 0.00%27.56M0.00%27.56M0.77%27.56M4.18%27.56M5.02%27.56M5.02%27.56M5.02%27.56M24.99%27.35M22.50%26.46M23.73%26.24M
Retained earnings -2.86%-23.96M-2.86%-23.96M-4.16%-23.82M-4.92%-23.64M-7.58%-23.49M-11.68%-23.3M-11.68%-23.3M-11.43%-22.87M-10.80%-22.53M-8.77%-21.83M
Gains losses not affecting retained earnings 0.00%1.61M0.00%1.61M----0.00%1.61M0.00%1.61M0.00%1.61M0.00%1.61M0.00%1.61M0.00%1.61M0.00%1.61M
Other equity interest 0.00%6K0.00%6K26,770.70%1.61M-96.37%6K-97.30%6K-97.30%6K-97.30%6K-97.30%6K-25.62%165.12K18.07%222K
Total stockholders'equity -11.33%5.21M-11.33%5.21M-12.16%5.36M-2.84%5.53M-8.86%5.69M-18.49%5.88M-18.49%5.88M91.06%6.1M84.41%5.69M112.78%6.24M
Total equity -11.33%5.21M-11.33%5.21M-12.16%5.36M-2.84%5.53M-8.86%5.69M-18.49%5.88M-18.49%5.88M91.06%6.1M84.41%5.69M112.78%6.24M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--------

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