US Stock MarketDetailed Quotes

FHELF FIRST HELIUM INC

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  • 0.035
  • 0.0000.00%
15min DelayClose Sep 5 16:00 ET
5.36MMarket Cap-1166P/E (TTM)

FIRST HELIUM INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
(Q1)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-171.70%-2.02M
-40.34%-522.02K
80.25%-203.54K
-113.31%-565.6K
-2,891.90%-733.34K
672.00%2.82M
-114.90%-371.95K
-78.55%-1.03M
383.75%4.25M
97.32%-24.51K
Net income from continuing operations
53.91%-3.2M
87.63%-875.84K
-43.57%-707.69K
-119.85%-717.35K
-192.70%-894.67K
-1,388.27%-6.93M
-516.55%-7.08M
27.57%-492.91K
60.77%-326.29K
247.81%965.15K
Operating gains losses
--199.52K
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Depreciation and amortization
-72.08%1.12M
-87.76%292.74K
74.55%274.74K
-71.07%222.74K
-52.93%334.74K
818.85%4.03M
445.20%2.39M
--157.4K
--770K
--711.15K
Other non cash items
12.19%39.64K
-14.17%8.15K
31.53%11.73K
12.42%10.69K
22.38%9.07K
-49.27%35.34K
9.31%9.5K
2,356.75%8.92K
-88.00%9.51K
-86.85%7.41K
Change In working capital
-137.73%-377.33K
-970.12%-183.48K
122.51%180.26K
-103.22%-119.1K
86.45%-255.01K
156.04%1M
94.57%-17.15K
-4,434.53%-800.67K
545.77%3.7M
-186.20%-1.88M
Cash from discontinued investing activities
Operating cash flow
-171.70%-2.02M
-40.34%-522.02K
80.25%-203.54K
-113.31%-565.6K
-2,891.90%-733.34K
672.00%2.82M
-114.90%-371.95K
-78.55%-1.03M
383.75%4.25M
97.32%-24.51K
Investing cash flow
Cash flow from continuing investing activities
97.92%-252.47K
116.27%337.73K
117.78%197.93K
98.23%-137.32K
46.43%-650.82K
-85.61%-12.15M
15.25%-2.08M
64.68%-1.11M
-3,119.04%-7.75M
-72.48%-1.21M
Capital expenditure reported
93.08%-294.23K
-210.28%-135.58K
94.78%-51.05K
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---4.25M
--122.95K
---978.59K
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Net PPE purchase and sale
--215.25K
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89.17%-90.03K
--0
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---831.16K
Net business purchase and sale
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91.92%-8.59K
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---106.33K
Net investment purchase and sale
40.66%-66.15K
-105.38%-5.3K
41.55%-47.4K
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56.31%-111.47K
---2.58K
---81.09K
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Net other investing changes
98.62%-107.35K
111.99%263.36K
652.77%296.38K
97.87%-114.89K
-99.09%-552.2K
-107.99%-7.78M
-33.02%-2.2M
95.33%-53.62K
-2,136.35%-5.38M
60.62%-277.36K
Cash from discontinued investing activities
Investing cash flow
97.92%-252.47K
116.27%337.73K
117.78%197.93K
98.23%-137.32K
46.43%-650.82K
-85.61%-12.15M
15.25%-2.08M
64.68%-1.11M
-3,119.04%-7.75M
-72.48%-1.21M
Financing cash flow
Cash flow from continuing financing activities
-42.71%2.27M
-79.33%193.86K
-93.55%90.63K
650K
-17.49%1.34M
94.54%3.96M
-47.81%937.81K
1.41M
0
576.17%1.62M
Net issuance payments of debt
-171.87%-94.94K
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94.23%-34.92K
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Net common stock issuance
-1.00%2.42M
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--1.34M
1,980.18%2.44M
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--0
Proceeds from stock option exercised by employees
--0
--0
--0
--0
--0
-40.89%1.64M
-99.28%20.04K
--0
--0
--1.62M
Net other financing activities
36.63%-53.37K
-42.94%-2.13M
-93.55%90.63K
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---84.23K
---1.49M
--1.41M
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Cash from discontinued financing activities
Financing cash flow
-42.71%2.27M
-79.33%193.86K
-93.55%90.63K
--650K
-17.49%1.34M
94.54%3.96M
-47.81%937.81K
--1.41M
--0
576.17%1.62M
Net cash flow
Beginning cash position
-97.01%165.27K
-91.15%148.22K
-97.38%63.2K
-98.04%116.12K
-97.01%165.27K
-47.50%5.53M
-54.56%1.67M
-67.45%2.41M
-35.44%5.91M
-47.50%5.53M
Current changes in cash
99.86%-7.49K
100.63%9.57K
111.51%85.02K
98.49%-52.92K
-112.98%-49.16K
-7.23%-5.37M
-181.80%-1.51M
80.20%-738.45K
-101.08%-3.5M
127.43%378.73K
End cash Position
-4.53%157.79K
-4.53%157.79K
-91.15%148.22K
-97.38%63.2K
-98.04%116.12K
-97.01%165.27K
-97.01%165.27K
-54.56%1.67M
-67.45%2.41M
-35.44%5.91M
Free cash flow
-62.08%-2.32M
-164.09%-657.6K
87.33%-254.59K
-130.88%-583.17K
3.77%-823.37K
52.97%-1.43M
-112.74%-249.01K
22.20%-2.01M
226.05%1.89M
6.56%-855.67K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
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(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022(Q2)Sep 30, 2022(Q1)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -171.70%-2.02M-40.34%-522.02K80.25%-203.54K-113.31%-565.6K-2,891.90%-733.34K672.00%2.82M-114.90%-371.95K-78.55%-1.03M383.75%4.25M97.32%-24.51K
Net income from continuing operations 53.91%-3.2M87.63%-875.84K-43.57%-707.69K-119.85%-717.35K-192.70%-894.67K-1,388.27%-6.93M-516.55%-7.08M27.57%-492.91K60.77%-326.29K247.81%965.15K
Operating gains losses --199.52K------------------------------------
Depreciation and amortization -72.08%1.12M-87.76%292.74K74.55%274.74K-71.07%222.74K-52.93%334.74K818.85%4.03M445.20%2.39M--157.4K--770K--711.15K
Other non cash items 12.19%39.64K-14.17%8.15K31.53%11.73K12.42%10.69K22.38%9.07K-49.27%35.34K9.31%9.5K2,356.75%8.92K-88.00%9.51K-86.85%7.41K
Change In working capital -137.73%-377.33K-970.12%-183.48K122.51%180.26K-103.22%-119.1K86.45%-255.01K156.04%1M94.57%-17.15K-4,434.53%-800.67K545.77%3.7M-186.20%-1.88M
Cash from discontinued investing activities
Operating cash flow -171.70%-2.02M-40.34%-522.02K80.25%-203.54K-113.31%-565.6K-2,891.90%-733.34K672.00%2.82M-114.90%-371.95K-78.55%-1.03M383.75%4.25M97.32%-24.51K
Investing cash flow
Cash flow from continuing investing activities 97.92%-252.47K116.27%337.73K117.78%197.93K98.23%-137.32K46.43%-650.82K-85.61%-12.15M15.25%-2.08M64.68%-1.11M-3,119.04%-7.75M-72.48%-1.21M
Capital expenditure reported 93.08%-294.23K-210.28%-135.58K94.78%-51.05K-----------4.25M--122.95K---978.59K--------
Net PPE purchase and sale --215.25K------------89.17%-90.03K--0---------------831.16K
Net business purchase and sale ----------------91.92%-8.59K-------------------106.33K
Net investment purchase and sale 40.66%-66.15K-105.38%-5.3K41.55%-47.4K--------56.31%-111.47K---2.58K---81.09K--------
Net other investing changes 98.62%-107.35K111.99%263.36K652.77%296.38K97.87%-114.89K-99.09%-552.2K-107.99%-7.78M-33.02%-2.2M95.33%-53.62K-2,136.35%-5.38M60.62%-277.36K
Cash from discontinued investing activities
Investing cash flow 97.92%-252.47K116.27%337.73K117.78%197.93K98.23%-137.32K46.43%-650.82K-85.61%-12.15M15.25%-2.08M64.68%-1.11M-3,119.04%-7.75M-72.48%-1.21M
Financing cash flow
Cash flow from continuing financing activities -42.71%2.27M-79.33%193.86K-93.55%90.63K650K-17.49%1.34M94.54%3.96M-47.81%937.81K1.41M0576.17%1.62M
Net issuance payments of debt -171.87%-94.94K----------------94.23%-34.92K----------------
Net common stock issuance -1.00%2.42M--------------1.34M1,980.18%2.44M--------------0
Proceeds from stock option exercised by employees --0--0--0--0--0-40.89%1.64M-99.28%20.04K--0--0--1.62M
Net other financing activities 36.63%-53.37K-42.94%-2.13M-93.55%90.63K-----------84.23K---1.49M--1.41M--------
Cash from discontinued financing activities
Financing cash flow -42.71%2.27M-79.33%193.86K-93.55%90.63K--650K-17.49%1.34M94.54%3.96M-47.81%937.81K--1.41M--0576.17%1.62M
Net cash flow
Beginning cash position -97.01%165.27K-91.15%148.22K-97.38%63.2K-98.04%116.12K-97.01%165.27K-47.50%5.53M-54.56%1.67M-67.45%2.41M-35.44%5.91M-47.50%5.53M
Current changes in cash 99.86%-7.49K100.63%9.57K111.51%85.02K98.49%-52.92K-112.98%-49.16K-7.23%-5.37M-181.80%-1.51M80.20%-738.45K-101.08%-3.5M127.43%378.73K
End cash Position -4.53%157.79K-4.53%157.79K-91.15%148.22K-97.38%63.2K-98.04%116.12K-97.01%165.27K-97.01%165.27K-54.56%1.67M-67.45%2.41M-35.44%5.91M
Free cash flow -62.08%-2.32M-164.09%-657.6K87.33%-254.59K-130.88%-583.17K3.77%-823.37K52.97%-1.43M-112.74%-249.01K22.20%-2.01M226.05%1.89M6.56%-855.67K
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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