US Stock MarketDetailed Quotes

ACDXF AMERICAN COPPER DEV CORP

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  • 0.043
  • 0.0000.00%
15min DelayClose Sep 16 16:00 ET
3.98MMarket Cap-21400P/E (TTM)

AMERICAN COPPER DEV CORP 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
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-82.24%570K
-78.28%1.33M
-78.99%1.52M
-78.99%1.52M
-77.74%1.85M
-56.75%3.21M
11,971.21%6.13M
3,623.55%7.25M
3,623.55%7.25M
3,151.15%8.29M
-Cash and cash equivalents
-82.24%570K
-78.28%1.33M
-78.99%1.52M
-78.99%1.52M
-77.74%1.85M
-56.75%3.21M
11,971.21%6.13M
3,623.55%7.25M
3,623.55%7.25M
3,151.15%8.29M
Receivables
-62.07%7.92K
-89.78%5.01K
1.23%42.3K
1.23%42.3K
-14.60%31.4K
44.61%20.89K
285.54%49.02K
264.79%41.79K
264.79%41.79K
321.77%36.77K
-Taxes receivable
-62.07%7.92K
-91.63%4.1K
-3.11%40.49K
-3.11%40.49K
-14.60%31.4K
44.61%20.89K
285.54%49.02K
264.79%41.79K
264.79%41.79K
--36.77K
-Other receivables
----
--907
--1.81K
--1.81K
----
----
----
----
----
----
Prepaid assets
-95.79%14.15K
-93.04%24.98K
-90.99%34.06K
-90.99%34.06K
--0
5,483.72%335.81K
5,866.61%358.83K
8,273.42%378.06K
8,273.42%378.06K
--517.06K
Other current assets
----
---1
----
----
----
----
----
----
----
----
Total current assets
-83.40%592.07K
-79.18%1.36M
-79.14%1.6M
-79.14%1.6M
-78.78%1.88M
-54.23%3.57M
2,512.54%6.53M
3,540.56%7.67M
3,540.56%7.67M
3,253.66%8.85M
Non current assets
Net PPE
14.71%16.86M
111.16%20.71M
46.54%20.62M
46.54%20.62M
86.90%15.62M
5,153.81%14.7M
3,411.04%9.81M
7,397.00%14.07M
7,397.00%14.07M
5,601.47%8.36M
Other non current assets
-0.11%103.84K
-2.27%103.84K
--103.84K
--103.84K
--106.15K
--103.95K
--106.25K
----
----
----
Total non current assets
14.61%16.97M
109.94%20.81M
47.28%20.73M
47.28%20.73M
88.17%15.73M
5,190.97%14.8M
3,449.08%9.91M
7,397.00%14.07M
7,397.00%14.07M
5,601.47%8.36M
Total assets
-4.42%17.56M
34.80%22.17M
2.69%22.33M
2.69%22.33M
2.32%17.61M
127.59%18.37M
3,006.62%16.45M
5,357.86%21.74M
5,357.86%21.74M
4,092.31%17.21M
Liabilities
Current liabilities
Payables
-77.03%88.06K
-35.54%101.38K
-62.99%178.26K
-62.99%178.26K
-93.65%45.79K
1,337.09%383.39K
-23.42%157.28K
21,656.14%481.68K
21,656.14%481.68K
--721.33K
-accounts payable
-77.03%88.06K
-35.54%101.38K
-62.99%178.26K
-62.99%178.26K
-93.65%45.79K
1,337.09%383.39K
-23.42%157.28K
21,656.14%481.68K
21,656.14%481.68K
--721.33K
Current accrued expenses
-75.34%132.89K
487.44%2.55M
131.22%2.53M
131.22%2.53M
105.61%157.13K
29.37%538.82K
2,793.23%433.98K
10,842.33%1.09M
10,842.33%1.09M
--76.42K
Current liabilities
-76.04%220.95K
348.32%2.65M
71.86%2.71M
71.86%2.71M
-74.56%202.92K
108.08%922.21K
168.28%591.27K
12,802.52%1.58M
12,802.52%1.58M
--797.76K
Non current liabilities
Non current accrued expenses
--350K
--2.5M
-37.50%2.5M
-37.50%2.5M
----
----
----
--4M
--4M
----
Total non current liabilities
--350K
--2.5M
-37.50%2.5M
-37.50%2.5M
--0
--0
--0
--4M
--4M
--0
Total liabilities
-38.09%570.95K
771.14%5.15M
-6.59%5.21M
-6.59%5.21M
-74.56%202.92K
108.08%922.21K
168.28%591.27K
45,551.83%5.58M
45,551.83%5.58M
--797.76K
Shareholders'equity
Share capital
0.90%19.52M
12.09%19.41M
11.98%19.39M
11.98%19.39M
12.00%19.39M
3,519.94%19.34M
3,141.64%17.32M
3,551.71%17.32M
3,551.71%17.32M
3,550.98%17.32M
-common stock
0.90%19.52M
12.09%19.41M
11.98%19.39M
11.98%19.39M
12.00%19.39M
3,519.94%19.34M
3,141.64%17.32M
3,551.71%17.32M
3,551.71%17.32M
3,550.98%17.32M
Retained earnings
-23.71%-3.21M
-42.04%-3.08M
-59.44%-2.96M
-59.44%-2.96M
-66.54%-2.68M
-224.32%-2.6M
-608.66%-2.17M
-1,001.98%-1.86M
-1,001.98%-1.86M
-1,014.02%-1.61M
Paid-in capital
-2.61%683.27K
-2.61%683.27K
-2.61%683.27K
-2.61%683.27K
-2.08%683.27K
773.37%701.58K
773.37%701.58K
773.37%701.58K
773.37%701.58K
768.66%697.8K
Total stockholders'equity
-2.64%16.99M
7.34%17.02M
5.89%17.12M
5.89%17.12M
6.06%17.4M
128.72%17.45M
5,030.74%15.86M
4,086.44%16.16M
4,086.44%16.16M
3,897.93%16.41M
Total equity
-2.64%16.99M
7.34%17.02M
5.89%17.12M
5.89%17.12M
6.06%17.4M
128.72%17.45M
5,030.74%15.86M
4,086.44%16.16M
4,086.44%16.16M
3,897.93%16.41M
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)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -82.24%570K-78.28%1.33M-78.99%1.52M-78.99%1.52M-77.74%1.85M-56.75%3.21M11,971.21%6.13M3,623.55%7.25M3,623.55%7.25M3,151.15%8.29M
-Cash and cash equivalents -82.24%570K-78.28%1.33M-78.99%1.52M-78.99%1.52M-77.74%1.85M-56.75%3.21M11,971.21%6.13M3,623.55%7.25M3,623.55%7.25M3,151.15%8.29M
Receivables -62.07%7.92K-89.78%5.01K1.23%42.3K1.23%42.3K-14.60%31.4K44.61%20.89K285.54%49.02K264.79%41.79K264.79%41.79K321.77%36.77K
-Taxes receivable -62.07%7.92K-91.63%4.1K-3.11%40.49K-3.11%40.49K-14.60%31.4K44.61%20.89K285.54%49.02K264.79%41.79K264.79%41.79K--36.77K
-Other receivables ------907--1.81K--1.81K------------------------
Prepaid assets -95.79%14.15K-93.04%24.98K-90.99%34.06K-90.99%34.06K--05,483.72%335.81K5,866.61%358.83K8,273.42%378.06K8,273.42%378.06K--517.06K
Other current assets -------1--------------------------------
Total current assets -83.40%592.07K-79.18%1.36M-79.14%1.6M-79.14%1.6M-78.78%1.88M-54.23%3.57M2,512.54%6.53M3,540.56%7.67M3,540.56%7.67M3,253.66%8.85M
Non current assets
Net PPE 14.71%16.86M111.16%20.71M46.54%20.62M46.54%20.62M86.90%15.62M5,153.81%14.7M3,411.04%9.81M7,397.00%14.07M7,397.00%14.07M5,601.47%8.36M
Other non current assets -0.11%103.84K-2.27%103.84K--103.84K--103.84K--106.15K--103.95K--106.25K------------
Total non current assets 14.61%16.97M109.94%20.81M47.28%20.73M47.28%20.73M88.17%15.73M5,190.97%14.8M3,449.08%9.91M7,397.00%14.07M7,397.00%14.07M5,601.47%8.36M
Total assets -4.42%17.56M34.80%22.17M2.69%22.33M2.69%22.33M2.32%17.61M127.59%18.37M3,006.62%16.45M5,357.86%21.74M5,357.86%21.74M4,092.31%17.21M
Liabilities
Current liabilities
Payables -77.03%88.06K-35.54%101.38K-62.99%178.26K-62.99%178.26K-93.65%45.79K1,337.09%383.39K-23.42%157.28K21,656.14%481.68K21,656.14%481.68K--721.33K
-accounts payable -77.03%88.06K-35.54%101.38K-62.99%178.26K-62.99%178.26K-93.65%45.79K1,337.09%383.39K-23.42%157.28K21,656.14%481.68K21,656.14%481.68K--721.33K
Current accrued expenses -75.34%132.89K487.44%2.55M131.22%2.53M131.22%2.53M105.61%157.13K29.37%538.82K2,793.23%433.98K10,842.33%1.09M10,842.33%1.09M--76.42K
Current liabilities -76.04%220.95K348.32%2.65M71.86%2.71M71.86%2.71M-74.56%202.92K108.08%922.21K168.28%591.27K12,802.52%1.58M12,802.52%1.58M--797.76K
Non current liabilities
Non current accrued expenses --350K--2.5M-37.50%2.5M-37.50%2.5M--------------4M--4M----
Total non current liabilities --350K--2.5M-37.50%2.5M-37.50%2.5M--0--0--0--4M--4M--0
Total liabilities -38.09%570.95K771.14%5.15M-6.59%5.21M-6.59%5.21M-74.56%202.92K108.08%922.21K168.28%591.27K45,551.83%5.58M45,551.83%5.58M--797.76K
Shareholders'equity
Share capital 0.90%19.52M12.09%19.41M11.98%19.39M11.98%19.39M12.00%19.39M3,519.94%19.34M3,141.64%17.32M3,551.71%17.32M3,551.71%17.32M3,550.98%17.32M
-common stock 0.90%19.52M12.09%19.41M11.98%19.39M11.98%19.39M12.00%19.39M3,519.94%19.34M3,141.64%17.32M3,551.71%17.32M3,551.71%17.32M3,550.98%17.32M
Retained earnings -23.71%-3.21M-42.04%-3.08M-59.44%-2.96M-59.44%-2.96M-66.54%-2.68M-224.32%-2.6M-608.66%-2.17M-1,001.98%-1.86M-1,001.98%-1.86M-1,014.02%-1.61M
Paid-in capital -2.61%683.27K-2.61%683.27K-2.61%683.27K-2.61%683.27K-2.08%683.27K773.37%701.58K773.37%701.58K773.37%701.58K773.37%701.58K768.66%697.8K
Total stockholders'equity -2.64%16.99M7.34%17.02M5.89%17.12M5.89%17.12M6.06%17.4M128.72%17.45M5,030.74%15.86M4,086.44%16.16M4,086.44%16.16M3,897.93%16.41M
Total equity -2.64%16.99M7.34%17.02M5.89%17.12M5.89%17.12M6.06%17.4M128.72%17.45M5,030.74%15.86M4,086.44%16.16M4,086.44%16.16M3,897.93%16.41M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

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