CA Stock MarketDetailed Quotes

FMC Forum Energy Metals Corp

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  • 0.075
  • -0.010-11.76%
15min DelayTrading Nov 28 13:33 ET
22.09MMarket Cap-2500P/E (TTM)

Forum Energy Metals Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Aug 31, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
1,657.93%4.27M
1,646.38%8.88M
1,868.00%10.58M
-23.79%1.47M
-23.79%1.47M
-84.15%242.87K
-58.38%508.3K
-75.51%537.79K
-38.16%1.93M
-38.16%1.93M
-Cash and cash equivalents
2,624.37%4.19M
2,068.32%8.82M
2,097.98%10.52M
-24.30%1.42M
-24.30%1.42M
-89.34%153.81K
-64.24%406.79K
-76.84%478.67K
-39.37%1.88M
-39.37%1.88M
-Short term investments
-11.01%79.26K
-44.64%56.19K
5.97%62.65K
-3.78%46.79K
-3.78%46.79K
0.75%89.07K
21.25%101.5K
-54.08%59.12K
172.73%48.63K
172.73%48.63K
Receivables
138.04%473.05K
244.68%163.03K
-81.98%48.97K
-84.20%38.26K
-84.20%38.26K
51.97%198.72K
-93.61%47.3K
-18.43%271.69K
152.61%242.21K
152.61%242.21K
-Accounts receivable
132.15%346.1K
174.94%107.37K
-82.81%45.53K
-82.78%31.6K
-82.78%31.6K
14.01%149.08K
-61.56%39.05K
392.51%264.79K
91.36%183.49K
91.36%183.49K
-Due from related parties current
155.75%126.95K
574.92%55.66K
-50.10%3.45K
-88.66%6.66K
-88.66%6.66K
--49.64K
-98.71%8.25K
-97.53%6.9K
--58.73K
--58.73K
Prepaid assets
-30.68%525.79K
-26.18%549.73K
34.04%766.43K
307.84%781.75K
307.84%781.75K
995.53%758.52K
1,310.05%744.65K
150.90%571.79K
19.26%191.68K
19.26%191.68K
Restricted cash
----
----
----
----
----
53.94%2.48M
-41.24%1.27M
-72.53%882.46K
----
----
Total current assets
43.12%5.27M
272.78%9.59M
403.55%11.4M
-3.08%2.29M
-3.08%2.29M
10.10%3.68M
-38.45%2.57M
-62.08%2.26M
-52.01%2.36M
-52.01%2.36M
Non current assets
Net PPE
3.44%1.17M
18.56%1.18M
11.56%1.11M
11.83%1.12M
11.83%1.12M
15.57%1.13M
1.47%991.6K
4.35%992.43K
-4.32%999.57K
-4.32%999.57K
-Gross PPE
8.38%1.24M
22.90%1.23M
14.34%1.14M
13.63%1.14M
13.63%1.14M
16.40%1.14M
1.80%1M
4.67%1M
-3.65%1.01M
-3.65%1.01M
-Accumulated depreciation
-372.93%-72.38K
-519.70%-53.68K
-367.10%-36.61K
-270.17%-25.96K
-270.17%-25.96K
-147.37%-15.31K
-61.54%-8.66K
-72.74%-7.84K
---7.01K
---7.01K
Other non current assets
0.00%40.25K
0.00%40.25K
--40.25K
--40.25K
--40.25K
--40.25K
--40.25K
----
----
----
Total non current assets
3.32%1.21M
17.84%1.22M
15.61%1.15M
15.85%1.16M
15.85%1.16M
19.70%1.17M
5.59%1.03M
4.35%992.43K
-4.32%999.57K
-4.32%999.57K
Total assets
33.53%6.48M
199.79%10.81M
285.31%12.55M
2.54%3.45M
2.54%3.45M
12.27%4.85M
-30.11%3.6M
-52.95%3.26M
-43.66%3.36M
-43.66%3.36M
Liabilities
Current liabilities
Payables
103.93%1.92M
713.44%700.15K
109.49%385.13K
-45.86%251.59K
-45.86%251.59K
206.46%943.94K
-72.16%86.07K
-73.04%183.84K
90.35%464.73K
90.35%464.73K
-accounts payable
103.64%1.87M
745.36%693.61K
108.91%341.58K
-58.80%181.07K
-58.80%181.07K
251.22%920.58K
-70.96%82.05K
-75.15%163.5K
83.96%439.48K
83.96%439.48K
-Due to related parties current
115.27%50.29K
62.65%6.55K
114.10%43.55K
179.31%70.52K
179.31%70.52K
-49.11%23.36K
-84.89%4.02K
-14.82%20.34K
381.45%25.25K
381.45%25.25K
Current provisions
--200K
--200K
--200K
300.00%200K
300.00%200K
----
----
----
--50K
--50K
Other current liabilities
1.01%1.02M
1,449.59%3.28M
2,543.43%3.87M
230.06%820.65K
230.06%820.65K
119.25%1.01M
-61.87%211.82K
-78.32%146.23K
-36.37%248.63K
-36.37%248.63K
Current liabilities
60.94%3.15M
1,304.02%4.18M
1,248.36%4.45M
66.66%1.27M
66.66%1.27M
154.18%1.95M
-65.55%297.89K
-75.66%330.07K
20.23%763.36K
20.23%763.36K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
60.94%3.15M
1,304.02%4.18M
1,248.36%4.45M
66.66%1.27M
66.66%1.27M
154.18%1.95M
-65.55%297.89K
-75.66%330.07K
20.23%763.36K
20.23%763.36K
Shareholders'equity
Share capital
12.59%66.02M
14.58%65.17M
16.72%65.04M
8.43%58.68M
8.43%58.68M
8.75%58.64M
5.48%56.88M
3.52%55.72M
1.70%54.12M
1.70%54.12M
-common stock
12.59%66.02M
14.58%65.17M
16.72%65.04M
8.43%58.68M
8.43%58.68M
8.75%58.64M
5.48%56.88M
3.52%55.72M
1.70%54.12M
1.70%54.12M
Additional paid-in capital
11.19%10.46M
8.83%10.11M
8.81%10.08M
4.13%9.53M
4.13%9.53M
6.53%9.4M
5.40%9.29M
4.75%9.26M
11.31%9.16M
11.31%9.16M
Retained earnings
-12.28%-73.15M
-9.22%-68.66M
-8.00%-67.01M
-8.84%-66.04M
-8.84%-66.04M
-10.05%-65.15M
-7.56%-62.86M
-8.67%-62.05M
-8.15%-60.67M
-8.15%-60.67M
Total stockholders'equity
15.02%3.33M
100.31%6.62M
176.68%8.1M
-16.28%2.18M
-16.28%2.18M
-18.47%2.9M
-22.97%3.31M
-47.41%2.93M
-51.27%2.6M
-51.27%2.6M
Total equity
15.02%3.33M
100.31%6.62M
176.68%8.1M
-16.28%2.18M
-16.28%2.18M
-18.47%2.9M
-22.97%3.31M
-47.41%2.93M
-51.27%2.6M
-51.27%2.6M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Aug 31, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments 1,657.93%4.27M1,646.38%8.88M1,868.00%10.58M-23.79%1.47M-23.79%1.47M-84.15%242.87K-58.38%508.3K-75.51%537.79K-38.16%1.93M-38.16%1.93M
-Cash and cash equivalents 2,624.37%4.19M2,068.32%8.82M2,097.98%10.52M-24.30%1.42M-24.30%1.42M-89.34%153.81K-64.24%406.79K-76.84%478.67K-39.37%1.88M-39.37%1.88M
-Short term investments -11.01%79.26K-44.64%56.19K5.97%62.65K-3.78%46.79K-3.78%46.79K0.75%89.07K21.25%101.5K-54.08%59.12K172.73%48.63K172.73%48.63K
Receivables 138.04%473.05K244.68%163.03K-81.98%48.97K-84.20%38.26K-84.20%38.26K51.97%198.72K-93.61%47.3K-18.43%271.69K152.61%242.21K152.61%242.21K
-Accounts receivable 132.15%346.1K174.94%107.37K-82.81%45.53K-82.78%31.6K-82.78%31.6K14.01%149.08K-61.56%39.05K392.51%264.79K91.36%183.49K91.36%183.49K
-Due from related parties current 155.75%126.95K574.92%55.66K-50.10%3.45K-88.66%6.66K-88.66%6.66K--49.64K-98.71%8.25K-97.53%6.9K--58.73K--58.73K
Prepaid assets -30.68%525.79K-26.18%549.73K34.04%766.43K307.84%781.75K307.84%781.75K995.53%758.52K1,310.05%744.65K150.90%571.79K19.26%191.68K19.26%191.68K
Restricted cash --------------------53.94%2.48M-41.24%1.27M-72.53%882.46K--------
Total current assets 43.12%5.27M272.78%9.59M403.55%11.4M-3.08%2.29M-3.08%2.29M10.10%3.68M-38.45%2.57M-62.08%2.26M-52.01%2.36M-52.01%2.36M
Non current assets
Net PPE 3.44%1.17M18.56%1.18M11.56%1.11M11.83%1.12M11.83%1.12M15.57%1.13M1.47%991.6K4.35%992.43K-4.32%999.57K-4.32%999.57K
-Gross PPE 8.38%1.24M22.90%1.23M14.34%1.14M13.63%1.14M13.63%1.14M16.40%1.14M1.80%1M4.67%1M-3.65%1.01M-3.65%1.01M
-Accumulated depreciation -372.93%-72.38K-519.70%-53.68K-367.10%-36.61K-270.17%-25.96K-270.17%-25.96K-147.37%-15.31K-61.54%-8.66K-72.74%-7.84K---7.01K---7.01K
Other non current assets 0.00%40.25K0.00%40.25K--40.25K--40.25K--40.25K--40.25K--40.25K------------
Total non current assets 3.32%1.21M17.84%1.22M15.61%1.15M15.85%1.16M15.85%1.16M19.70%1.17M5.59%1.03M4.35%992.43K-4.32%999.57K-4.32%999.57K
Total assets 33.53%6.48M199.79%10.81M285.31%12.55M2.54%3.45M2.54%3.45M12.27%4.85M-30.11%3.6M-52.95%3.26M-43.66%3.36M-43.66%3.36M
Liabilities
Current liabilities
Payables 103.93%1.92M713.44%700.15K109.49%385.13K-45.86%251.59K-45.86%251.59K206.46%943.94K-72.16%86.07K-73.04%183.84K90.35%464.73K90.35%464.73K
-accounts payable 103.64%1.87M745.36%693.61K108.91%341.58K-58.80%181.07K-58.80%181.07K251.22%920.58K-70.96%82.05K-75.15%163.5K83.96%439.48K83.96%439.48K
-Due to related parties current 115.27%50.29K62.65%6.55K114.10%43.55K179.31%70.52K179.31%70.52K-49.11%23.36K-84.89%4.02K-14.82%20.34K381.45%25.25K381.45%25.25K
Current provisions --200K--200K--200K300.00%200K300.00%200K--------------50K--50K
Other current liabilities 1.01%1.02M1,449.59%3.28M2,543.43%3.87M230.06%820.65K230.06%820.65K119.25%1.01M-61.87%211.82K-78.32%146.23K-36.37%248.63K-36.37%248.63K
Current liabilities 60.94%3.15M1,304.02%4.18M1,248.36%4.45M66.66%1.27M66.66%1.27M154.18%1.95M-65.55%297.89K-75.66%330.07K20.23%763.36K20.23%763.36K
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities 60.94%3.15M1,304.02%4.18M1,248.36%4.45M66.66%1.27M66.66%1.27M154.18%1.95M-65.55%297.89K-75.66%330.07K20.23%763.36K20.23%763.36K
Shareholders'equity
Share capital 12.59%66.02M14.58%65.17M16.72%65.04M8.43%58.68M8.43%58.68M8.75%58.64M5.48%56.88M3.52%55.72M1.70%54.12M1.70%54.12M
-common stock 12.59%66.02M14.58%65.17M16.72%65.04M8.43%58.68M8.43%58.68M8.75%58.64M5.48%56.88M3.52%55.72M1.70%54.12M1.70%54.12M
Additional paid-in capital 11.19%10.46M8.83%10.11M8.81%10.08M4.13%9.53M4.13%9.53M6.53%9.4M5.40%9.29M4.75%9.26M11.31%9.16M11.31%9.16M
Retained earnings -12.28%-73.15M-9.22%-68.66M-8.00%-67.01M-8.84%-66.04M-8.84%-66.04M-10.05%-65.15M-7.56%-62.86M-8.67%-62.05M-8.15%-60.67M-8.15%-60.67M
Total stockholders'equity 15.02%3.33M100.31%6.62M176.68%8.1M-16.28%2.18M-16.28%2.18M-18.47%2.9M-22.97%3.31M-47.41%2.93M-51.27%2.6M-51.27%2.6M
Total equity 15.02%3.33M100.31%6.62M176.68%8.1M-16.28%2.18M-16.28%2.18M-18.47%2.9M-22.97%3.31M-47.41%2.93M-51.27%2.6M-51.27%2.6M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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