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VRCFF SUPREME CRITICAL METALS INC

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  • 0.077
  • +0.002+2.80%
15min DelayTrading Feb 18 11:28 ET
462.00KMarket Cap-0.13P/E (TTM)

SUPREME CRITICAL METALS INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Nov 30, 2024
(Q2)Aug 31, 2024
(Q1)May 31, 2024
(FY)Feb 29, 2024
(Q4)Feb 29, 2024
(Q3)Nov 30, 2023
(Q2)Aug 31, 2023
(Q1)May 31, 2023
(FY)Feb 28, 2023
(Q4)Feb 28, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-39.72%5.03K
-89.39%2.87K
-95.46%10.53K
-99.23%8.85K
-99.23%8.85K
-94.10%8.34K
-82.05%27.06K
-58.31%231.86K
25.92%1.16M
25.92%1.16M
-Cash and cash equivalents
-39.72%5.03K
-89.39%2.87K
-95.46%10.53K
-99.23%8.85K
-99.23%8.85K
-94.10%8.34K
-82.05%27.06K
-58.31%231.86K
25.92%1.16M
25.92%1.16M
Receivables
195.20%17.15K
-66.90%8.87K
-96.67%10.86K
0.90%10.81K
0.90%10.81K
-93.07%5.81K
-70.30%26.8K
232.52%326.11K
-88.15%10.71K
-88.15%10.71K
-Taxes receivable
195.20%17.15K
-66.90%8.87K
-58.40%10.86K
0.90%10.81K
0.90%10.81K
51.84%5.81K
161.73%26.8K
44.47%26.11K
2.80%10.71K
2.80%10.71K
-Other receivables
----
----
----
----
----
----
----
--300K
----
----
Prepaid assets
70.40%23.06K
-39.21%15.91K
-88.47%12.81K
-34.40%13.26K
-34.40%13.26K
-82.00%13.53K
-65.34%26.16K
14.00%111.13K
-82.38%20.22K
-82.38%20.22K
Total current assets
63.42%45.24K
-65.45%27.65K
-94.89%34.2K
-90.26%115.69K
-90.26%115.69K
-90.78%27.68K
-74.72%80.02K
-11.00%669.1K
5.68%1.19M
5.68%1.19M
Non current assets
Net PPE
-50.49%1.35M
2.91%2.8M
-13.99%2.63M
-1.61%2.35M
-1.61%2.35M
50.06%2.72M
50.01%2.72M
94.46%3.06M
79.44%2.39M
79.44%2.39M
-Gross PPE
-50.49%1.35M
2.91%2.8M
-13.99%2.63M
-1.61%2.35M
-1.61%2.35M
50.06%2.72M
50.01%2.72M
93.59%3.06M
79.44%2.39M
79.44%2.39M
Investments and advances
-55.53%1.5K
-76.46%1.5K
-76.48%1.5K
-93.85%1.5K
-93.85%1.5K
-97.33%3.37K
-95.24%6.37K
-95.23%6.38K
-88.80%24.4K
-88.80%24.4K
Other non current assets
-42.22%21.46K
0.00%37.15K
0.00%37.15K
0.00%37.15K
0.00%37.15K
0.00%37.15K
0.00%37.15K
0.00%37.15K
0.00%37.15K
0.00%37.15K
Total non current assets
-50.38%1.37M
2.69%2.84M
-13.95%2.67M
-2.51%2.39M
-2.51%2.39M
39.70%2.76M
39.27%2.76M
77.90%3.1M
54.50%2.45M
54.50%2.45M
Total assets
-49.25%1.42M
0.77%2.86M
-28.32%2.7M
-31.13%2.51M
-31.13%2.51M
22.49%2.79M
23.58%2.84M
51.12%3.77M
34.27%3.64M
34.27%3.64M
Liabilities
Current liabilities
Payables
389.97%782.64K
231.10%407.74K
32.57%330.86K
250.23%509.76K
250.23%509.76K
680.93%159.73K
932.49%123.15K
685.06%249.58K
103.38%145.55K
103.38%145.55K
-accounts payable
495.54%620.38K
172.11%291.5K
16.32%287.54K
207.41%391.83K
207.41%391.83K
409.30%104.17K
798.16%107.12K
1,101.06%247.19K
87.27%127.46K
87.27%127.46K
-Due to related parties current
192.04%162.26K
625.52%116.24K
1,712.68%43.32K
552.00%117.93K
552.00%117.93K
--55.56K
--16.02K
-78.68%2.39K
416.80%18.09K
416.80%18.09K
Current accrued expenses
----
0.00%30K
-31.58%65K
-33.33%55K
-33.33%55K
110.00%52.5K
-9.09%30K
15.15%95K
3.13%82.5K
3.13%82.5K
Current debt and capital lease obligation
0.00%30.67K
0.00%30.67K
0.00%30.67K
0.00%30.67K
0.00%30.67K
0.00%30.67K
0.00%30.67K
0.00%30.67K
0.00%30.67K
0.00%30.67K
-Current capital lease obligation
0.00%30.67K
0.00%30.67K
0.00%30.67K
0.00%30.67K
0.00%30.67K
0.00%30.67K
0.00%30.67K
0.00%30.67K
0.00%30.67K
0.00%30.67K
Other current liabilities
----
--120K
----
----
----
-99.76%90
----
----
----
----
Current liabilities
234.71%813.31K
220.10%588.41K
13.67%426.54K
130.15%595.44K
130.15%595.44K
113.85%242.99K
143.15%183.82K
158.86%375.25K
41.97%258.72K
41.97%258.72K
Non current liabilities
Long term debt and capital lease obligation
-83.45%6.42K
-68.11%14.71K
-57.10%22.89K
-48.81%30.97K
-48.81%30.97K
-42.63%38.78K
-38.74%46.11K
-34.52%53.35K
-31.47%60.5K
-31.47%60.5K
-Long term capital lease obligation
-83.45%6.42K
-68.11%14.71K
-57.10%22.89K
-48.81%30.97K
-48.81%30.97K
-42.63%38.78K
-38.74%46.11K
-34.52%53.35K
-31.47%60.5K
-31.47%60.5K
Other non current liabilities
--1
----
---1
----
----
----
----
----
----
----
Total non current liabilities
-83.45%6.42K
-68.11%14.71K
-57.10%22.89K
-48.81%30.97K
-48.81%30.97K
-42.63%38.78K
-38.74%46.11K
-34.52%53.35K
-31.47%60.5K
-31.47%60.5K
Total liabilities
190.92%819.73K
162.30%603.11K
4.86%449.42K
96.23%626.41K
96.23%626.41K
55.49%281.77K
52.39%229.93K
89.28%428.6K
18.00%319.22K
18.00%319.22K
Shareholders'equity
Share capital
1.97%40.57M
1.97%40.57M
1.98%40.41M
2.52%39.78M
2.52%39.78M
7.47%39.78M
7.95%39.78M
7.74%39.62M
6.03%38.8M
6.03%38.8M
-common stock
1.97%40.57M
1.97%40.57M
1.98%40.41M
2.52%39.78M
2.52%39.78M
7.47%39.78M
7.95%39.78M
7.74%39.62M
6.03%38.8M
6.03%38.8M
Retained earnings
-5.80%-40.69M
-1.75%-39.02M
-4.12%-38.87M
-5.47%-38.61M
-5.47%-38.61M
-6.98%-38.45M
-7.35%-38.35M
-5.07%-37.33M
-4.08%-36.61M
-4.08%-36.61M
Other equity interest
-39.37%715.65K
-39.37%715.65K
-31.76%715.65K
-36.69%715.65K
-36.69%715.65K
--1.18M
--1.18M
--1.05M
10.70%1.13M
10.70%1.13M
Total stockholders'equity
-76.25%595.28K
-13.46%2.26M
-32.57%2.25M
-43.37%1.88M
-43.37%1.88M
19.64%2.51M
21.55%2.61M
47.31%3.34M
36.07%3.32M
36.07%3.32M
Total equity
-76.25%595.28K
-13.46%2.26M
-32.57%2.25M
-43.37%1.88M
-43.37%1.88M
19.64%2.51M
21.55%2.61M
47.31%3.34M
36.07%3.32M
36.07%3.32M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Nov 30, 2024(Q2)Aug 31, 2024(Q1)May 31, 2024(FY)Feb 29, 2024(Q4)Feb 29, 2024(Q3)Nov 30, 2023(Q2)Aug 31, 2023(Q1)May 31, 2023(FY)Feb 28, 2023(Q4)Feb 28, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -39.72%5.03K-89.39%2.87K-95.46%10.53K-99.23%8.85K-99.23%8.85K-94.10%8.34K-82.05%27.06K-58.31%231.86K25.92%1.16M25.92%1.16M
-Cash and cash equivalents -39.72%5.03K-89.39%2.87K-95.46%10.53K-99.23%8.85K-99.23%8.85K-94.10%8.34K-82.05%27.06K-58.31%231.86K25.92%1.16M25.92%1.16M
Receivables 195.20%17.15K-66.90%8.87K-96.67%10.86K0.90%10.81K0.90%10.81K-93.07%5.81K-70.30%26.8K232.52%326.11K-88.15%10.71K-88.15%10.71K
-Taxes receivable 195.20%17.15K-66.90%8.87K-58.40%10.86K0.90%10.81K0.90%10.81K51.84%5.81K161.73%26.8K44.47%26.11K2.80%10.71K2.80%10.71K
-Other receivables ------------------------------300K--------
Prepaid assets 70.40%23.06K-39.21%15.91K-88.47%12.81K-34.40%13.26K-34.40%13.26K-82.00%13.53K-65.34%26.16K14.00%111.13K-82.38%20.22K-82.38%20.22K
Total current assets 63.42%45.24K-65.45%27.65K-94.89%34.2K-90.26%115.69K-90.26%115.69K-90.78%27.68K-74.72%80.02K-11.00%669.1K5.68%1.19M5.68%1.19M
Non current assets
Net PPE -50.49%1.35M2.91%2.8M-13.99%2.63M-1.61%2.35M-1.61%2.35M50.06%2.72M50.01%2.72M94.46%3.06M79.44%2.39M79.44%2.39M
-Gross PPE -50.49%1.35M2.91%2.8M-13.99%2.63M-1.61%2.35M-1.61%2.35M50.06%2.72M50.01%2.72M93.59%3.06M79.44%2.39M79.44%2.39M
Investments and advances -55.53%1.5K-76.46%1.5K-76.48%1.5K-93.85%1.5K-93.85%1.5K-97.33%3.37K-95.24%6.37K-95.23%6.38K-88.80%24.4K-88.80%24.4K
Other non current assets -42.22%21.46K0.00%37.15K0.00%37.15K0.00%37.15K0.00%37.15K0.00%37.15K0.00%37.15K0.00%37.15K0.00%37.15K0.00%37.15K
Total non current assets -50.38%1.37M2.69%2.84M-13.95%2.67M-2.51%2.39M-2.51%2.39M39.70%2.76M39.27%2.76M77.90%3.1M54.50%2.45M54.50%2.45M
Total assets -49.25%1.42M0.77%2.86M-28.32%2.7M-31.13%2.51M-31.13%2.51M22.49%2.79M23.58%2.84M51.12%3.77M34.27%3.64M34.27%3.64M
Liabilities
Current liabilities
Payables 389.97%782.64K231.10%407.74K32.57%330.86K250.23%509.76K250.23%509.76K680.93%159.73K932.49%123.15K685.06%249.58K103.38%145.55K103.38%145.55K
-accounts payable 495.54%620.38K172.11%291.5K16.32%287.54K207.41%391.83K207.41%391.83K409.30%104.17K798.16%107.12K1,101.06%247.19K87.27%127.46K87.27%127.46K
-Due to related parties current 192.04%162.26K625.52%116.24K1,712.68%43.32K552.00%117.93K552.00%117.93K--55.56K--16.02K-78.68%2.39K416.80%18.09K416.80%18.09K
Current accrued expenses ----0.00%30K-31.58%65K-33.33%55K-33.33%55K110.00%52.5K-9.09%30K15.15%95K3.13%82.5K3.13%82.5K
Current debt and capital lease obligation 0.00%30.67K0.00%30.67K0.00%30.67K0.00%30.67K0.00%30.67K0.00%30.67K0.00%30.67K0.00%30.67K0.00%30.67K0.00%30.67K
-Current capital lease obligation 0.00%30.67K0.00%30.67K0.00%30.67K0.00%30.67K0.00%30.67K0.00%30.67K0.00%30.67K0.00%30.67K0.00%30.67K0.00%30.67K
Other current liabilities ------120K-------------99.76%90----------------
Current liabilities 234.71%813.31K220.10%588.41K13.67%426.54K130.15%595.44K130.15%595.44K113.85%242.99K143.15%183.82K158.86%375.25K41.97%258.72K41.97%258.72K
Non current liabilities
Long term debt and capital lease obligation -83.45%6.42K-68.11%14.71K-57.10%22.89K-48.81%30.97K-48.81%30.97K-42.63%38.78K-38.74%46.11K-34.52%53.35K-31.47%60.5K-31.47%60.5K
-Long term capital lease obligation -83.45%6.42K-68.11%14.71K-57.10%22.89K-48.81%30.97K-48.81%30.97K-42.63%38.78K-38.74%46.11K-34.52%53.35K-31.47%60.5K-31.47%60.5K
Other non current liabilities --1-------1----------------------------
Total non current liabilities -83.45%6.42K-68.11%14.71K-57.10%22.89K-48.81%30.97K-48.81%30.97K-42.63%38.78K-38.74%46.11K-34.52%53.35K-31.47%60.5K-31.47%60.5K
Total liabilities 190.92%819.73K162.30%603.11K4.86%449.42K96.23%626.41K96.23%626.41K55.49%281.77K52.39%229.93K89.28%428.6K18.00%319.22K18.00%319.22K
Shareholders'equity
Share capital 1.97%40.57M1.97%40.57M1.98%40.41M2.52%39.78M2.52%39.78M7.47%39.78M7.95%39.78M7.74%39.62M6.03%38.8M6.03%38.8M
-common stock 1.97%40.57M1.97%40.57M1.98%40.41M2.52%39.78M2.52%39.78M7.47%39.78M7.95%39.78M7.74%39.62M6.03%38.8M6.03%38.8M
Retained earnings -5.80%-40.69M-1.75%-39.02M-4.12%-38.87M-5.47%-38.61M-5.47%-38.61M-6.98%-38.45M-7.35%-38.35M-5.07%-37.33M-4.08%-36.61M-4.08%-36.61M
Other equity interest -39.37%715.65K-39.37%715.65K-31.76%715.65K-36.69%715.65K-36.69%715.65K--1.18M--1.18M--1.05M10.70%1.13M10.70%1.13M
Total stockholders'equity -76.25%595.28K-13.46%2.26M-32.57%2.25M-43.37%1.88M-43.37%1.88M19.64%2.51M21.55%2.61M47.31%3.34M36.07%3.32M36.07%3.32M
Total equity -76.25%595.28K-13.46%2.26M-32.57%2.25M-43.37%1.88M-43.37%1.88M19.64%2.51M21.55%2.61M47.31%3.34M36.07%3.32M36.07%3.32M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--
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