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CVVRF VERTICAL EXPLORATION INC

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  • 0.024
  • 0.0000.00%
15min DelayClose Aug 13 16:00 ET
3.57MMarket Cap-4.86P/E (TTM)

VERTICAL EXPLORATION INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Nov 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-55.64%117.89K
842.48%165.2K
5,011.61%293.25K
5,011.61%293.25K
531.85%164.69K
121.06%265.76K
-96.18%17.53K
-99.65%5.74K
-99.65%5.74K
-92.28%26.06K
-Cash and cash equivalents
-55.64%117.89K
842.48%165.2K
5,011.61%293.25K
5,011.61%293.25K
531.85%164.69K
121.06%265.76K
-96.18%17.53K
-99.65%5.74K
-99.65%5.74K
-92.28%26.06K
Receivables
-62.08%10.62K
-78.42%10.61K
-75.80%15.79K
-75.80%15.79K
28.59%36K
7.53%28.01K
85.88%49.15K
12.08%65.26K
12.08%65.26K
-45.15%28K
-Accounts receivable
----
----
----
----
----
----
----
----
----
--20.15K
-Taxes receivable
-62.08%10.62K
-78.42%10.61K
-75.80%15.79K
-75.80%15.79K
358.79%36K
7.53%28.01K
85.88%49.15K
12.08%65.26K
12.08%65.26K
-84.63%7.85K
Prepaid assets
34.54%7.67K
72.06%8.27K
175.07%17.28K
175.07%17.28K
--7.85K
-43.02%5.7K
-91.42%4.8K
-89.85%6.28K
-89.85%6.28K
--0
Total current assets
-54.53%136.17K
157.52%184.07K
322.26%326.32K
322.26%326.32K
285.75%208.54K
91.63%299.46K
-86.79%71.48K
-95.64%77.28K
-95.64%77.28K
-88.47%54.06K
Non current assets
Net PPE
2.45%5.81M
5.50%5.83M
4.45%5.78M
4.45%5.78M
9.42%5.79M
7.85%5.68M
10.89%5.52M
42.95%5.54M
42.95%5.54M
54.32%5.29M
-Gross PPE
3.37%5.93M
6.45%5.93M
5.44%5.87M
5.44%5.87M
10.67%5.86M
8.96%5.73M
11.77%5.57M
43.72%5.57M
43.72%5.57M
--5.3M
-Accumulated depreciation
-92.56%-111.93K
-125.59%-99.18K
-190.00%-86.44K
-190.00%-86.44K
-1,179.78%-72.28K
---58.12K
---43.97K
---29.81K
---29.81K
---5.65K
Total non current assets
2.45%5.81M
5.50%5.83M
4.45%5.78M
4.45%5.78M
9.42%5.79M
7.85%5.68M
10.89%5.52M
42.95%5.54M
42.95%5.54M
54.32%5.29M
Total assets
-0.40%5.95M
7.44%6.01M
8.82%6.11M
8.82%6.11M
12.22%6M
10.27%5.98M
1.32%5.6M
-0.53%5.62M
-0.53%5.62M
37.14%5.34M
Liabilities
Current liabilities
Payables
----
----
-10.56%361.52K
-10.56%361.52K
--603.74K
--337.93K
--487.7K
165.71%404.21K
165.71%404.21K
----
-accounts payable
----
----
-10.56%361.52K
-10.56%361.52K
--603.19K
--337.93K
--487.7K
165.71%404.21K
165.71%404.21K
----
Current accrued expenses
----
----
195.92%145K
195.92%145K
--23K
--46.5K
--22.5K
38.03%49K
38.03%49K
----
Current debt and capital lease obligation
----
----
----
----
----
----
--15K
----
----
----
-Current debt
----
----
----
----
----
----
--15K
----
----
----
Current liabilities
38.44%532.19K
-6.04%493.5K
11.76%506.52K
11.76%506.52K
144.81%626.74K
64.40%384.43K
145.76%525.2K
141.55%453.21K
141.55%453.21K
-54.48%256.01K
Non current liabilities
Long term provisions
1.20%160.24K
1.20%159.76K
1.20%159.29K
1.20%159.29K
--158.81K
--158.34K
--157.87K
--157.4K
--157.4K
----
Total non current liabilities
1.20%160.24K
1.20%159.76K
1.20%159.29K
1.20%159.29K
--158.81K
--158.34K
--157.87K
--157.4K
--157.4K
--0
Total liabilities
27.57%692.43K
-4.36%653.26K
9.04%665.81K
9.04%665.81K
206.84%785.55K
132.12%542.77K
219.64%683.07K
225.44%610.61K
225.44%610.61K
-54.48%256.01K
Shareholders'equity
Share capital
3.33%13.59M
9.05%13.59M
9.05%13.59M
9.05%13.59M
5.53%13.15M
5.53%13.15M
0.00%12.46M
0.00%12.46M
0.00%12.46M
21.11%12.46M
-common stock
3.33%13.59M
9.05%13.59M
9.05%13.59M
9.05%13.59M
5.53%13.15M
5.53%13.15M
0.00%12.46M
0.00%12.46M
0.00%12.46M
21.11%12.46M
Retained earnings
-7.01%-10.85M
-7.89%-10.75M
-9.85%-10.66M
-9.85%-10.66M
-7.61%-10.36M
-6.38%-10.14M
-7.21%-9.96M
-6.16%-9.71M
-6.16%-9.71M
-6.62%-9.63M
Other equity interest
4.08%2.52M
4.35%2.52M
11.92%2.52M
11.92%2.52M
7.37%2.42M
7.37%2.42M
12.78%2.42M
5.16%2.25M
5.16%2.25M
8.63%2.26M
Total stockholders'equity
-3.20%5.26M
9.09%5.36M
8.79%5.44M
8.79%5.44M
2.43%5.21M
4.77%5.43M
-7.47%4.91M
-8.30%5M
-8.30%5M
52.59%5.09M
Total equity
-3.20%5.26M
9.09%5.36M
8.79%5.44M
8.79%5.44M
2.43%5.21M
4.77%5.43M
-7.47%4.91M
-8.30%5M
-8.30%5M
52.59%5.09M
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)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(Q3)Nov 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -55.64%117.89K842.48%165.2K5,011.61%293.25K5,011.61%293.25K531.85%164.69K121.06%265.76K-96.18%17.53K-99.65%5.74K-99.65%5.74K-92.28%26.06K
-Cash and cash equivalents -55.64%117.89K842.48%165.2K5,011.61%293.25K5,011.61%293.25K531.85%164.69K121.06%265.76K-96.18%17.53K-99.65%5.74K-99.65%5.74K-92.28%26.06K
Receivables -62.08%10.62K-78.42%10.61K-75.80%15.79K-75.80%15.79K28.59%36K7.53%28.01K85.88%49.15K12.08%65.26K12.08%65.26K-45.15%28K
-Accounts receivable --------------------------------------20.15K
-Taxes receivable -62.08%10.62K-78.42%10.61K-75.80%15.79K-75.80%15.79K358.79%36K7.53%28.01K85.88%49.15K12.08%65.26K12.08%65.26K-84.63%7.85K
Prepaid assets 34.54%7.67K72.06%8.27K175.07%17.28K175.07%17.28K--7.85K-43.02%5.7K-91.42%4.8K-89.85%6.28K-89.85%6.28K--0
Total current assets -54.53%136.17K157.52%184.07K322.26%326.32K322.26%326.32K285.75%208.54K91.63%299.46K-86.79%71.48K-95.64%77.28K-95.64%77.28K-88.47%54.06K
Non current assets
Net PPE 2.45%5.81M5.50%5.83M4.45%5.78M4.45%5.78M9.42%5.79M7.85%5.68M10.89%5.52M42.95%5.54M42.95%5.54M54.32%5.29M
-Gross PPE 3.37%5.93M6.45%5.93M5.44%5.87M5.44%5.87M10.67%5.86M8.96%5.73M11.77%5.57M43.72%5.57M43.72%5.57M--5.3M
-Accumulated depreciation -92.56%-111.93K-125.59%-99.18K-190.00%-86.44K-190.00%-86.44K-1,179.78%-72.28K---58.12K---43.97K---29.81K---29.81K---5.65K
Total non current assets 2.45%5.81M5.50%5.83M4.45%5.78M4.45%5.78M9.42%5.79M7.85%5.68M10.89%5.52M42.95%5.54M42.95%5.54M54.32%5.29M
Total assets -0.40%5.95M7.44%6.01M8.82%6.11M8.82%6.11M12.22%6M10.27%5.98M1.32%5.6M-0.53%5.62M-0.53%5.62M37.14%5.34M
Liabilities
Current liabilities
Payables ---------10.56%361.52K-10.56%361.52K--603.74K--337.93K--487.7K165.71%404.21K165.71%404.21K----
-accounts payable ---------10.56%361.52K-10.56%361.52K--603.19K--337.93K--487.7K165.71%404.21K165.71%404.21K----
Current accrued expenses --------195.92%145K195.92%145K--23K--46.5K--22.5K38.03%49K38.03%49K----
Current debt and capital lease obligation --------------------------15K------------
-Current debt --------------------------15K------------
Current liabilities 38.44%532.19K-6.04%493.5K11.76%506.52K11.76%506.52K144.81%626.74K64.40%384.43K145.76%525.2K141.55%453.21K141.55%453.21K-54.48%256.01K
Non current liabilities
Long term provisions 1.20%160.24K1.20%159.76K1.20%159.29K1.20%159.29K--158.81K--158.34K--157.87K--157.4K--157.4K----
Total non current liabilities 1.20%160.24K1.20%159.76K1.20%159.29K1.20%159.29K--158.81K--158.34K--157.87K--157.4K--157.4K--0
Total liabilities 27.57%692.43K-4.36%653.26K9.04%665.81K9.04%665.81K206.84%785.55K132.12%542.77K219.64%683.07K225.44%610.61K225.44%610.61K-54.48%256.01K
Shareholders'equity
Share capital 3.33%13.59M9.05%13.59M9.05%13.59M9.05%13.59M5.53%13.15M5.53%13.15M0.00%12.46M0.00%12.46M0.00%12.46M21.11%12.46M
-common stock 3.33%13.59M9.05%13.59M9.05%13.59M9.05%13.59M5.53%13.15M5.53%13.15M0.00%12.46M0.00%12.46M0.00%12.46M21.11%12.46M
Retained earnings -7.01%-10.85M-7.89%-10.75M-9.85%-10.66M-9.85%-10.66M-7.61%-10.36M-6.38%-10.14M-7.21%-9.96M-6.16%-9.71M-6.16%-9.71M-6.62%-9.63M
Other equity interest 4.08%2.52M4.35%2.52M11.92%2.52M11.92%2.52M7.37%2.42M7.37%2.42M12.78%2.42M5.16%2.25M5.16%2.25M8.63%2.26M
Total stockholders'equity -3.20%5.26M9.09%5.36M8.79%5.44M8.79%5.44M2.43%5.21M4.77%5.43M-7.47%4.91M-8.30%5M-8.30%5M52.59%5.09M
Total equity -3.20%5.26M9.09%5.36M8.79%5.44M8.79%5.44M2.43%5.21M4.77%5.43M-7.47%4.91M-8.30%5M-8.30%5M52.59%5.09M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----
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