US Stock MarketDetailed Quotes

WMLLF WEALTH MINERALS

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  • 0.070000
  • -0.004900-6.54%
15min DelayClose Jul 31 16:00 ET
23.51MMarket Cap-3181P/E (TTM)

WEALTH MINERALS Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)May 31, 2024
(Q1)Feb 29, 2024
(FY)Nov 30, 2023
(Q4)Nov 30, 2023
(Q3)Aug 31, 2023
(Q2)May 31, 2023
(Q1)Feb 28, 2023
(FY)Nov 30, 2022
(Q4)Nov 30, 2022
(Q3)Aug 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-10.19%8.32M
-51.07%3.8M
-3.91%5.07M
-3.91%5.07M
58.42%8.17M
75.56%9.27M
81.08%7.76M
23.75%5.27M
23.75%5.27M
61.50%5.16M
-Cash and cash equivalents
-59.58%3.5M
-51.89%3.39M
-10.93%4.7M
-10.93%4.7M
48.72%7.67M
63.82%8.65M
64.29%7.04M
23.75%5.27M
23.75%5.27M
61.50%5.16M
-Short-term investments
678.51%4.83M
-43.06%410K
--370K
--370K
--500K
--620K
--720K
--0
--0
----
Receivables
2.14%178.32K
6.62%156.07K
-3.06%209.72K
-3.06%209.72K
70.61%276.92K
0.61%174.58K
-6.87%146.38K
23.06%216.33K
23.06%216.33K
-15.52%162.31K
-Accounts receivable
21.35%50.4K
116.31%30.29K
-11.70%80.12K
-11.70%80.12K
415.41%147K
12.77%41.53K
-34.79%14K
126.39%90.74K
126.39%90.74K
-57.57%28.52K
-Related party accounts receivable
-3.85%127.92K
-4.99%125.78K
3.19%129.59K
3.19%129.59K
-2.89%129.92K
-2.66%133.05K
-2.45%132.38K
-7.45%125.59K
-7.45%125.59K
7.11%133.79K
Prepaid assets
-52.12%428.43K
11.53%558.18K
308.63%539.44K
308.63%539.44K
144.31%532.13K
63.56%894.77K
71.35%500.48K
-74.18%132.01K
-74.18%132.01K
-70.18%217.81K
Total current assets
-13.61%8.93M
-46.34%4.51M
3.46%5.81M
3.46%5.81M
62.15%8.98M
72.30%10.34M
77.56%8.41M
13.60%5.62M
13.60%5.62M
34.54%5.54M
Non current assets
Net PPE
-0.11%43.09M
-0.01%43.07M
-0.01%43.07M
-0.01%43.07M
2.68%43.46M
3.84%43.13M
4.57%43.07M
4.58%43.07M
4.58%43.07M
9.35%42.33M
-Gross PPE
----
----
0.00%43.16M
0.00%43.16M
2.69%43.55M
3.85%43.22M
4.57%43.16M
4.57%43.16M
4.57%43.16M
9.34%42.41M
-Accumulated depreciation
----
----
-7.77%-90.43K
-7.77%-90.43K
-6.40%-88.8K
-5.02%-87.17K
-3.62%-85.54K
-2.21%-83.91K
-2.21%-83.91K
-2.39%-83.45K
Investments and advances
--0
-5.04%6.17M
-5.30%6.36M
-5.30%6.36M
411.34%6.09M
184.39%6.13M
107.33%6.5M
29.06%6.72M
29.06%6.72M
-31.35%1.19M
Related parties assets
-3.85%127.92K
-4.99%125.78K
3.19%129.59K
3.19%129.59K
-2.89%129.92K
-2.66%133.05K
-2.45%132.38K
-7.45%125.59K
-7.45%125.59K
7.11%133.79K
Non current prepaid assets
--0
-96.87%10.28K
--92.4K
--92.4K
--164.24K
--246.37K
1,208.72%328.49K
--0
--0
--0
Total non current assets
-12.98%43.09M
-1.30%49.25M
-0.54%49.52M
-0.54%49.52M
14.24%49.72M
13.32%49.51M
12.52%49.9M
7.27%49.79M
7.27%49.79M
7.61%43.52M
Total assets
-13.09%52.02M
-7.80%53.76M
-0.14%55.33M
-0.14%55.33M
19.65%58.7M
20.44%59.85M
18.80%58.31M
7.88%55.41M
7.88%55.41M
10.09%49.06M
Liabilities
Current liabilities
Payables
50.05%559.52K
3.93%564.37K
18.84%761.57K
18.84%761.57K
-26.85%875.9K
-42.30%372.89K
37.44%543.03K
-7.38%640.81K
-7.38%640.81K
309.98%1.2M
-accounts payable
135.18%531.1K
54.59%532.11K
37.49%602.47K
37.49%602.47K
-24.46%770.79K
-55.54%225.82K
43.73%344.2K
-25.06%438.19K
-25.06%438.19K
459.73%1.02M
-Due to related parties current
-80.67%28.42K
-83.78%32.26K
-21.48%159.1K
-21.48%159.1K
-40.67%105.11K
6.32%147.06K
27.76%198.83K
89.09%202.62K
89.09%202.62K
61.35%177.14K
Current debt and capital lease obligation
----
----
0.00%40K
0.00%40K
0.00%40K
-78.96%40K
-91.19%40K
-90.98%40K
-90.98%40K
-97.60%40K
-Current debt
----
----
0.00%40K
0.00%40K
0.00%40K
-78.96%40K
-91.19%40K
-90.98%40K
-90.98%40K
-97.60%40K
Current liabilities
35.51%559.52K
-3.20%564.37K
17.74%801.57K
17.74%801.57K
-25.99%915.9K
-50.64%412.89K
-31.33%583.03K
-44.43%680.81K
-44.43%680.81K
-39.53%1.24M
Non current liabilities
Derivative product liabilities
--0
-99.41%7.53K
-95.48%61.99K
-95.48%61.99K
-79.38%483.65K
-72.88%859.47K
-83.16%1.28M
-79.15%1.37M
-79.15%1.37M
--2.35M
Total non current liabilities
--0
-99.41%7.53K
-95.48%61.99K
-95.48%61.99K
-79.38%483.65K
-72.88%859.47K
-83.16%1.28M
-79.15%1.37M
-79.15%1.37M
234,516,300.00%2.35M
Total liabilities
-56.02%559.52K
-69.32%571.9K
-57.91%863.56K
-57.91%863.56K
-60.94%1.4M
-68.23%1.27M
-77.96%1.86M
-73.70%2.05M
-73.70%2.05M
75.06%3.58M
Shareholders'equity
Share capital
1.53%178.41M
2.50%176.41M
5.31%176.41M
5.31%176.41M
8.21%176.41M
10.42%175.71M
9.57%172.11M
7.32%167.51M
7.32%167.51M
8.81%163.03M
-common stock
1.53%178.41M
2.50%176.41M
5.31%176.41M
5.31%176.41M
8.21%176.41M
10.42%175.71M
9.57%172.11M
7.32%167.51M
7.32%167.51M
8.81%163.03M
Retained earnings
-8.35%-155.09M
-7.15%-150.82M
-7.55%-148.57M
-7.55%-148.57M
-2.55%-145.59M
-3.44%-143.14M
-1.01%-140.76M
-3.49%-138.15M
-3.49%-138.15M
-10.73%-141.97M
Other equity interest
8.21%28.14M
9.98%27.61M
11.01%26.63M
11.01%26.63M
8.47%26.48M
4.28%26M
9.60%25.1M
14.47%23.99M
14.47%23.99M
16.82%24.41M
Total stockholders'equity
-12.16%51.46M
-5.77%53.19M
2.09%54.47M
2.09%54.47M
26.00%57.3M
28.21%58.58M
38.94%56.44M
22.48%53.36M
22.48%53.36M
6.97%45.47M
Total equity
-12.16%51.46M
-5.77%53.19M
2.09%54.47M
2.09%54.47M
26.00%57.3M
28.21%58.58M
38.94%56.44M
22.48%53.36M
22.48%53.36M
6.97%45.47M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(Q2)May 31, 2024(Q1)Feb 29, 2024(FY)Nov 30, 2023(Q4)Nov 30, 2023(Q3)Aug 31, 2023(Q2)May 31, 2023(Q1)Feb 28, 2023(FY)Nov 30, 2022(Q4)Nov 30, 2022(Q3)Aug 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -10.19%8.32M-51.07%3.8M-3.91%5.07M-3.91%5.07M58.42%8.17M75.56%9.27M81.08%7.76M23.75%5.27M23.75%5.27M61.50%5.16M
-Cash and cash equivalents -59.58%3.5M-51.89%3.39M-10.93%4.7M-10.93%4.7M48.72%7.67M63.82%8.65M64.29%7.04M23.75%5.27M23.75%5.27M61.50%5.16M
-Short-term investments 678.51%4.83M-43.06%410K--370K--370K--500K--620K--720K--0--0----
Receivables 2.14%178.32K6.62%156.07K-3.06%209.72K-3.06%209.72K70.61%276.92K0.61%174.58K-6.87%146.38K23.06%216.33K23.06%216.33K-15.52%162.31K
-Accounts receivable 21.35%50.4K116.31%30.29K-11.70%80.12K-11.70%80.12K415.41%147K12.77%41.53K-34.79%14K126.39%90.74K126.39%90.74K-57.57%28.52K
-Related party accounts receivable -3.85%127.92K-4.99%125.78K3.19%129.59K3.19%129.59K-2.89%129.92K-2.66%133.05K-2.45%132.38K-7.45%125.59K-7.45%125.59K7.11%133.79K
Prepaid assets -52.12%428.43K11.53%558.18K308.63%539.44K308.63%539.44K144.31%532.13K63.56%894.77K71.35%500.48K-74.18%132.01K-74.18%132.01K-70.18%217.81K
Total current assets -13.61%8.93M-46.34%4.51M3.46%5.81M3.46%5.81M62.15%8.98M72.30%10.34M77.56%8.41M13.60%5.62M13.60%5.62M34.54%5.54M
Non current assets
Net PPE -0.11%43.09M-0.01%43.07M-0.01%43.07M-0.01%43.07M2.68%43.46M3.84%43.13M4.57%43.07M4.58%43.07M4.58%43.07M9.35%42.33M
-Gross PPE --------0.00%43.16M0.00%43.16M2.69%43.55M3.85%43.22M4.57%43.16M4.57%43.16M4.57%43.16M9.34%42.41M
-Accumulated depreciation ---------7.77%-90.43K-7.77%-90.43K-6.40%-88.8K-5.02%-87.17K-3.62%-85.54K-2.21%-83.91K-2.21%-83.91K-2.39%-83.45K
Investments and advances --0-5.04%6.17M-5.30%6.36M-5.30%6.36M411.34%6.09M184.39%6.13M107.33%6.5M29.06%6.72M29.06%6.72M-31.35%1.19M
Related parties assets -3.85%127.92K-4.99%125.78K3.19%129.59K3.19%129.59K-2.89%129.92K-2.66%133.05K-2.45%132.38K-7.45%125.59K-7.45%125.59K7.11%133.79K
Non current prepaid assets --0-96.87%10.28K--92.4K--92.4K--164.24K--246.37K1,208.72%328.49K--0--0--0
Total non current assets -12.98%43.09M-1.30%49.25M-0.54%49.52M-0.54%49.52M14.24%49.72M13.32%49.51M12.52%49.9M7.27%49.79M7.27%49.79M7.61%43.52M
Total assets -13.09%52.02M-7.80%53.76M-0.14%55.33M-0.14%55.33M19.65%58.7M20.44%59.85M18.80%58.31M7.88%55.41M7.88%55.41M10.09%49.06M
Liabilities
Current liabilities
Payables 50.05%559.52K3.93%564.37K18.84%761.57K18.84%761.57K-26.85%875.9K-42.30%372.89K37.44%543.03K-7.38%640.81K-7.38%640.81K309.98%1.2M
-accounts payable 135.18%531.1K54.59%532.11K37.49%602.47K37.49%602.47K-24.46%770.79K-55.54%225.82K43.73%344.2K-25.06%438.19K-25.06%438.19K459.73%1.02M
-Due to related parties current -80.67%28.42K-83.78%32.26K-21.48%159.1K-21.48%159.1K-40.67%105.11K6.32%147.06K27.76%198.83K89.09%202.62K89.09%202.62K61.35%177.14K
Current debt and capital lease obligation --------0.00%40K0.00%40K0.00%40K-78.96%40K-91.19%40K-90.98%40K-90.98%40K-97.60%40K
-Current debt --------0.00%40K0.00%40K0.00%40K-78.96%40K-91.19%40K-90.98%40K-90.98%40K-97.60%40K
Current liabilities 35.51%559.52K-3.20%564.37K17.74%801.57K17.74%801.57K-25.99%915.9K-50.64%412.89K-31.33%583.03K-44.43%680.81K-44.43%680.81K-39.53%1.24M
Non current liabilities
Derivative product liabilities --0-99.41%7.53K-95.48%61.99K-95.48%61.99K-79.38%483.65K-72.88%859.47K-83.16%1.28M-79.15%1.37M-79.15%1.37M--2.35M
Total non current liabilities --0-99.41%7.53K-95.48%61.99K-95.48%61.99K-79.38%483.65K-72.88%859.47K-83.16%1.28M-79.15%1.37M-79.15%1.37M234,516,300.00%2.35M
Total liabilities -56.02%559.52K-69.32%571.9K-57.91%863.56K-57.91%863.56K-60.94%1.4M-68.23%1.27M-77.96%1.86M-73.70%2.05M-73.70%2.05M75.06%3.58M
Shareholders'equity
Share capital 1.53%178.41M2.50%176.41M5.31%176.41M5.31%176.41M8.21%176.41M10.42%175.71M9.57%172.11M7.32%167.51M7.32%167.51M8.81%163.03M
-common stock 1.53%178.41M2.50%176.41M5.31%176.41M5.31%176.41M8.21%176.41M10.42%175.71M9.57%172.11M7.32%167.51M7.32%167.51M8.81%163.03M
Retained earnings -8.35%-155.09M-7.15%-150.82M-7.55%-148.57M-7.55%-148.57M-2.55%-145.59M-3.44%-143.14M-1.01%-140.76M-3.49%-138.15M-3.49%-138.15M-10.73%-141.97M
Other equity interest 8.21%28.14M9.98%27.61M11.01%26.63M11.01%26.63M8.47%26.48M4.28%26M9.60%25.1M14.47%23.99M14.47%23.99M16.82%24.41M
Total stockholders'equity -12.16%51.46M-5.77%53.19M2.09%54.47M2.09%54.47M26.00%57.3M28.21%58.58M38.94%56.44M22.48%53.36M22.48%53.36M6.97%45.47M
Total equity -12.16%51.46M-5.77%53.19M2.09%54.47M2.09%54.47M26.00%57.3M28.21%58.58M38.94%56.44M22.48%53.36M22.48%53.36M6.97%45.47M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

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Price Target

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