US Stock MarketDetailed Quotes

CYNXF INTERNATIONAL METALS MINING CORP

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  • 0.025
  • -0.002-7.75%
15min DelayClose Sep 20 16:00 ET
703.18KMarket Cap0.71P/E (TTM)

INTERNATIONAL METALS MINING CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
(Q1)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
--56.9K
-68.69%9.35K
-68.69%9.35K
56.90%4.1K
-37.07%2.01K
649.54%29.85K
649.54%29.85K
-30.56%2.62K
-50.82%3.2K
-79.51%15.08K
-Cash and cash equivalents
--56.9K
-68.69%9.35K
-68.69%9.35K
56.90%4.1K
-37.07%2.01K
649.54%29.85K
649.54%29.85K
-30.56%2.62K
-50.82%3.2K
-79.51%15.08K
Receivables
--2.88K
-82.05%3.73K
-82.05%3.73K
-39.32%16.33K
32.47%32.09K
-25.68%20.78K
-25.68%20.78K
13.75%26.91K
0.50%24.22K
-3.57%20.96K
-Accounts receivable
----
----
----
----
----
----
----
-78.86%5K
-79.26%5K
-77.00%5K
-Taxes receivable
--2.88K
-82.05%3.73K
-82.05%3.73K
-25.47%16.33K
66.92%32.09K
13.45%20.78K
13.45%20.78K
--21.91K
--19.22K
--15.96K
Prepaid assets
--65.89K
397.14%71.56K
397.14%71.56K
2.94%20.75K
-1.65%14.93K
-37.96%14.4K
-37.96%14.4K
-1.27%20.16K
-56.32%15.18K
-88.17%15.81K
Total current assets
--125.67K
30.16%84.64K
30.16%84.64K
-17.11%41.18K
15.09%49.03K
17.93%65.03K
17.93%65.03K
3.85%49.68K
-34.82%42.6K
-77.35%51.85K
Non current assets
Other non current assets
----
----
----
0.00%22.48K
0.00%22.48K
0.00%22.48K
0.00%22.48K
--22.47K
--22.47K
--22.47K
Total non current assets
--0
--0
--0
0.00%22.48K
0.00%22.48K
0.00%22.48K
0.00%22.48K
-99.76%22.47K
-99.76%22.47K
-99.70%22.47K
Total assets
--125.67K
-3.27%84.64K
-3.27%84.64K
-11.78%63.66K
9.88%71.51K
12.74%87.51K
12.74%87.51K
-99.22%72.16K
-99.30%65.08K
-99.05%74.32K
Liabilities
Current liabilities
Payables
--1.11M
34.12%1.11M
34.12%1.11M
48.27%1.16M
70.01%929.41K
53.85%829.66K
53.85%829.66K
--779.96K
--546.7K
--426.02K
-accounts payable
--551.28K
-16.28%404.91K
-16.28%404.91K
25.99%703.02K
30.90%641.94K
62.52%483.63K
62.52%483.63K
--558K
--490.41K
--273.32K
-Due to related parties current
--562.94K
104.55%707.79K
104.55%707.79K
104.29%453.45K
410.75%287.47K
43.17%346.03K
43.17%346.03K
--221.96K
--56.28K
--152.7K
Current debt and capital lease obligation
--379.83K
-0.93%374.23K
-0.93%374.23K
-69.68%99.4K
-70.78%95.77K
188.37%377.76K
188.37%377.76K
16.31%327.88K
42.44%327.71K
--46K
-Current debt
--379.83K
-0.93%374.23K
-0.93%374.23K
-69.68%99.4K
-70.78%95.77K
188.37%377.76K
188.37%377.76K
16.31%327.88K
42.44%327.71K
--46K
Current deferred liabilities
----
----
----
----
----
----
----
----
----
--275K
Current liabilities
--1.49M
23.15%1.49M
23.15%1.49M
13.36%1.26M
17.24%1.03M
80.14%1.21M
80.14%1.21M
74.87%1.11M
38.32%874.4K
148.32%747.02K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
--1.49M
23.15%1.49M
23.15%1.49M
13.36%1.26M
17.24%1.03M
80.14%1.21M
80.14%1.21M
74.87%1.11M
38.32%874.4K
148.32%747.02K
Shareholders'equity
Share capital
--19.78M
28.77%19.78M
28.77%19.78M
27.84%19.78M
30.41%19.78M
1.89%15.36M
1.89%15.36M
-2.89%15.48M
-4.01%15.17M
4.90%15.19M
-common stock
--19.78M
28.77%19.78M
28.77%19.78M
27.84%19.78M
30.41%19.78M
1.89%15.36M
1.89%15.36M
-2.89%15.48M
-4.01%15.17M
4.90%15.19M
Retained earnings
---22.46M
-22.71%-22.39M
-22.71%-22.39M
-26.71%-23.44M
-26.16%-23.03M
-3.29%-18.25M
-3.29%-18.25M
-101.81%-18.5M
-101.81%-18.26M
-102.08%-17.83M
Paid-in capital
--1.2M
-31.81%1.2M
-31.81%1.2M
23.81%2.46M
73.67%2.29M
-11.77%1.76M
-11.77%1.76M
112.53%1.99M
41.29%1.32M
8.63%1.01M
Other equity interest
--103.45K
0.00%3.45K
0.00%3.45K
--3.45K
-99.64%3.45K
--3.45K
--3.45K
----
0.00%956.96K
0.00%956.96K
Total stockholders'equity
---1.37M
-25.21%-1.4M
-25.21%-1.4M
-15.11%-1.19M
-17.84%-953.67K
-88.97%-1.12M
-88.97%-1.12M
-111.96%-1.04M
-109.36%-809.32K
-108.92%-672.7K
Total equity
---1.37M
-25.21%-1.4M
-25.21%-1.4M
-15.11%-1.19M
-17.84%-953.67K
-88.97%-1.12M
-88.97%-1.12M
-111.96%-1.04M
-109.36%-809.32K
-108.92%-672.7K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022(Q2)Sep 30, 2022(Q1)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments --56.9K-68.69%9.35K-68.69%9.35K56.90%4.1K-37.07%2.01K649.54%29.85K649.54%29.85K-30.56%2.62K-50.82%3.2K-79.51%15.08K
-Cash and cash equivalents --56.9K-68.69%9.35K-68.69%9.35K56.90%4.1K-37.07%2.01K649.54%29.85K649.54%29.85K-30.56%2.62K-50.82%3.2K-79.51%15.08K
Receivables --2.88K-82.05%3.73K-82.05%3.73K-39.32%16.33K32.47%32.09K-25.68%20.78K-25.68%20.78K13.75%26.91K0.50%24.22K-3.57%20.96K
-Accounts receivable -----------------------------78.86%5K-79.26%5K-77.00%5K
-Taxes receivable --2.88K-82.05%3.73K-82.05%3.73K-25.47%16.33K66.92%32.09K13.45%20.78K13.45%20.78K--21.91K--19.22K--15.96K
Prepaid assets --65.89K397.14%71.56K397.14%71.56K2.94%20.75K-1.65%14.93K-37.96%14.4K-37.96%14.4K-1.27%20.16K-56.32%15.18K-88.17%15.81K
Total current assets --125.67K30.16%84.64K30.16%84.64K-17.11%41.18K15.09%49.03K17.93%65.03K17.93%65.03K3.85%49.68K-34.82%42.6K-77.35%51.85K
Non current assets
Other non current assets ------------0.00%22.48K0.00%22.48K0.00%22.48K0.00%22.48K--22.47K--22.47K--22.47K
Total non current assets --0--0--00.00%22.48K0.00%22.48K0.00%22.48K0.00%22.48K-99.76%22.47K-99.76%22.47K-99.70%22.47K
Total assets --125.67K-3.27%84.64K-3.27%84.64K-11.78%63.66K9.88%71.51K12.74%87.51K12.74%87.51K-99.22%72.16K-99.30%65.08K-99.05%74.32K
Liabilities
Current liabilities
Payables --1.11M34.12%1.11M34.12%1.11M48.27%1.16M70.01%929.41K53.85%829.66K53.85%829.66K--779.96K--546.7K--426.02K
-accounts payable --551.28K-16.28%404.91K-16.28%404.91K25.99%703.02K30.90%641.94K62.52%483.63K62.52%483.63K--558K--490.41K--273.32K
-Due to related parties current --562.94K104.55%707.79K104.55%707.79K104.29%453.45K410.75%287.47K43.17%346.03K43.17%346.03K--221.96K--56.28K--152.7K
Current debt and capital lease obligation --379.83K-0.93%374.23K-0.93%374.23K-69.68%99.4K-70.78%95.77K188.37%377.76K188.37%377.76K16.31%327.88K42.44%327.71K--46K
-Current debt --379.83K-0.93%374.23K-0.93%374.23K-69.68%99.4K-70.78%95.77K188.37%377.76K188.37%377.76K16.31%327.88K42.44%327.71K--46K
Current deferred liabilities --------------------------------------275K
Current liabilities --1.49M23.15%1.49M23.15%1.49M13.36%1.26M17.24%1.03M80.14%1.21M80.14%1.21M74.87%1.11M38.32%874.4K148.32%747.02K
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities --1.49M23.15%1.49M23.15%1.49M13.36%1.26M17.24%1.03M80.14%1.21M80.14%1.21M74.87%1.11M38.32%874.4K148.32%747.02K
Shareholders'equity
Share capital --19.78M28.77%19.78M28.77%19.78M27.84%19.78M30.41%19.78M1.89%15.36M1.89%15.36M-2.89%15.48M-4.01%15.17M4.90%15.19M
-common stock --19.78M28.77%19.78M28.77%19.78M27.84%19.78M30.41%19.78M1.89%15.36M1.89%15.36M-2.89%15.48M-4.01%15.17M4.90%15.19M
Retained earnings ---22.46M-22.71%-22.39M-22.71%-22.39M-26.71%-23.44M-26.16%-23.03M-3.29%-18.25M-3.29%-18.25M-101.81%-18.5M-101.81%-18.26M-102.08%-17.83M
Paid-in capital --1.2M-31.81%1.2M-31.81%1.2M23.81%2.46M73.67%2.29M-11.77%1.76M-11.77%1.76M112.53%1.99M41.29%1.32M8.63%1.01M
Other equity interest --103.45K0.00%3.45K0.00%3.45K--3.45K-99.64%3.45K--3.45K--3.45K----0.00%956.96K0.00%956.96K
Total stockholders'equity ---1.37M-25.21%-1.4M-25.21%-1.4M-15.11%-1.19M-17.84%-953.67K-88.97%-1.12M-88.97%-1.12M-111.96%-1.04M-109.36%-809.32K-108.92%-672.7K
Total equity ---1.37M-25.21%-1.4M-25.21%-1.4M-15.11%-1.19M-17.84%-953.67K-88.97%-1.12M-88.97%-1.12M-111.96%-1.04M-109.36%-809.32K-108.92%-672.7K
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion with Explanatory Notes------Unqualified Opinion with Explanatory Notes--------

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