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Fortune Minerals Ltd (FT)

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  • 0.115
  • -0.005-4.17%
15min DelayMarket Closed Apr 17 16:00 ET
69.90MMarket Cap-11.50P/E (TTM)

Fortune Minerals Ltd (FT) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Assets
Current assets
Cash, cash equivalents and short term investments
41.77%2.26M
41.77%2.26M
233.73%2.88M
1,319.81%461.55K
385.33%1.09M
136.38%1.59M
136.38%1.59M
1,755.19%861.51K
-92.65%32.51K
64.60%225.23K
-Cash and cash equivalents
41.77%2.26M
41.77%2.26M
233.73%2.88M
1,319.81%461.55K
385.33%1.09M
136.38%1.59M
136.38%1.59M
1,755.19%861.51K
-92.65%32.51K
64.60%225.23K
Receivables
110.10%1.53M
110.10%1.53M
491.22%707.4K
-2.96%393.36K
809.93%349.59K
2,673.76%730.28K
2,673.76%730.28K
730.04%119.65K
1,253.20%405.35K
-50.03%38.42K
-Accounts receivable
110.10%1.53M
110.10%1.53M
491.22%707.4K
-2.96%393.36K
809.93%349.59K
2,673.76%730.28K
2,673.76%730.28K
730.04%119.65K
1,253.20%405.35K
-50.03%38.42K
Prepaid assets
-7.58%142.38K
-7.58%142.38K
111.26%195.07K
68.88%111.04K
107.03%133.12K
157.75%154.06K
157.75%154.06K
-15.45%92.34K
-46.69%65.75K
-51.20%64.3K
Total current assets
58.85%3.93M
58.85%3.93M
251.89%3.78M
91.81%965.95K
380.51%1.58M
225.99%2.48M
225.99%2.48M
446.45%1.07M
-19.01%503.61K
-11.68%327.95K
Non current assets
Net PPE
187.82%6.15M
187.82%6.15M
61.36%2.99M
63.68%2.71M
284.03%2.42M
255.34%2.14M
255.34%2.14M
-96.01%1.85M
-96.42%1.65M
-98.63%630.61K
-Gross PPE
76.12%9.44M
76.12%9.44M
23.80%6.26M
23.13%5.96M
48.86%5.66M
42.66%5.36M
42.66%5.36M
-89.28%5.06M
-89.69%4.84M
-91.88%3.8M
-Accumulated depreciation
-2.01%-3.29M
-2.01%-3.29M
-2.11%-3.27M
-2.12%-3.26M
-2.11%-3.24M
-2.11%-3.22M
-2.11%-3.22M
-327.41%-3.21M
-333.25%-3.19M
-339.37%-3.17M
Non current prepaid assets
----
----
----
----
459.38%2.24M
445.77%1.94M
445.77%1.94M
--1.64M
--1.44M
--400K
Goodwill and other intangible assets
----
----
----
-35.00%2.12K
-34.98%2.34K
-34.99%2.56K
-34.99%2.56K
-34.99%2.91K
-34.99%3.25K
-34.99%3.6K
-Other intangible assets
----
----
----
-35.00%2.12K
-34.98%2.34K
-34.99%2.56K
-34.99%2.56K
-34.99%2.91K
-34.99%3.25K
-34.99%3.6K
Other non current assets
2.33%204.64K
2.33%204.64K
2.73%203.63K
3.20%202.5K
-0.05%201.35K
0.33%199.98K
0.33%199.98K
16.02%198.23K
16.01%196.21K
30.35%201.45K
Total non current assets
171.95%6.36M
171.95%6.36M
55.69%3.19M
57.26%2.91M
215.25%2.62M
191.89%2.34M
191.89%2.34M
-95.60%2.05M
-96.01%1.85M
-98.20%832.05K
Total assets
113.78%10.29M
113.78%10.29M
123.12%6.97M
64.66%3.87M
261.97%4.2M
208.49%4.82M
208.49%4.82M
-93.32%3.12M
-94.99%2.35M
-97.51%1.16M
Liabilities
Current liabilities
Current debt and capital lease obligation
40.61%17.75M
40.61%17.75M
1,475.98%15.06M
23.25%12.5M
31.32%12.54M
35.34%12.62M
35.34%12.62M
-89.39%955.45K
16.99%10.14M
14.46%9.55M
-Current debt
40.76%17.69M
40.76%17.69M
1,569.38%15M
23.33%12.44M
31.44%12.48M
35.48%12.57M
35.48%12.57M
-89.96%898.25K
17.04%10.09M
14.49%9.5M
-Current capital lease obligation
9.30%63.92K
9.30%63.92K
9.35%62.55K
9.41%61.19K
9.46%59.84K
9.52%58.48K
9.52%58.48K
9.58%57.2K
9.64%55.93K
9.70%54.67K
Current deferred liabilities
-38.64%1.68M
-38.64%1.68M
52.04%2.19M
--2.52M
--2.46M
--2.74M
--2.74M
--1.44M
----
----
Other current liabilities
----
----
----
----
----
----
----
-68.76%77.21K
-64.03%89.92K
--185.59K
Current liabilities
26.21%20.13M
26.21%20.13M
529.57%17.54M
38.84%15.42M
55.68%15.49M
64.13%15.95M
64.13%15.95M
-70.29%2.79M
21.33%11.1M
15.53%9.95M
Non current liabilities
Long term debt and capital lease obligation
-57.73%46.8K
-57.73%46.8K
-99.38%63.13K
-91.88%79.11K
-38.67%94.91K
-34.56%110.72K
-34.56%110.72K
4,064.29%10.11M
280.38%974.66K
-42.56%154.75K
-Long term debt
----
----
----
----
----
----
----
16,547.73%9.99M
1,290.60%834.36K
----
-Long term capital lease obligation
-57.73%46.8K
-57.73%46.8K
-49.77%63.13K
-43.62%79.11K
-38.67%94.91K
-34.56%110.72K
-34.56%110.72K
-31.28%125.68K
-28.50%140.3K
-26.10%154.75K
Long term provisions
-5.23%148.37K
-5.23%148.37K
13.15%160.46K
13.06%159.16K
12.98%157.85K
12.89%156.55K
12.89%156.55K
475.63%141.81K
483.97%140.77K
435.53%139.72K
Total non current liabilities
-26.98%195.17K
-26.98%195.17K
-97.82%223.59K
-78.64%238.26K
-14.16%252.77K
-13.19%267.27K
-13.19%267.27K
3,733.81%10.26M
297.89%1.12M
-0.35%294.47K
Total liabilities
25.34%20.32M
25.34%20.32M
36.20%17.76M
28.12%15.65M
53.67%15.75M
61.75%16.22M
61.75%16.22M
35.22%13.04M
29.55%12.22M
15.01%10.25M
Shareholders'equity
Share capital
2.85%187.42M
2.85%187.42M
1.89%186.01M
0.84%183.84M
0.56%183.06M
0.37%182.23M
0.37%182.23M
0.76%182.56M
0.47%182.31M
0.55%182.03M
-common stock
2.85%187.42M
2.85%187.42M
1.89%186.01M
0.84%183.84M
0.56%183.06M
0.37%182.23M
0.37%182.23M
0.76%182.56M
0.47%182.31M
0.55%182.03M
Retained earnings
-2.14%-215.88M
-2.14%-215.88M
-2.57%-215.13M
-2.23%-214.1M
-1.90%-212.33M
-1.74%-211.36M
-1.74%-211.36M
-29.96%-209.74M
-30.42%-209.44M
-30.26%-208.37M
Gains losses not affecting retained earnings
5.73%18.43M
5.73%18.43M
6.19%18.33M
6.22%18.33M
1.61%17.54M
1.00%17.43M
1.00%17.43M
-0.35%17.26M
3.38%17.26M
3.38%17.26M
Other equity interest
----
----
----
--150.24K
--192.2K
-36.75%297.36K
-36.75%297.36K
----
----
----
Total stockholders'equity
12.02%-10.03M
12.02%-10.03M
-8.82%-10.79M
-19.40%-11.78M
-27.08%-11.55M
-34.69%-11.4M
-34.69%-11.4M
-126.71%-9.92M
-126.27%-9.87M
-124.07%-9.09M
Total equity
12.02%-10.03M
12.02%-10.03M
-8.82%-10.79M
-19.40%-11.78M
-27.08%-11.55M
-34.69%-11.4M
-34.69%-11.4M
-126.71%-9.92M
-126.27%-9.87M
-124.07%-9.09M
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
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Assets
Current assets
Cash, cash equivalents and short term investments 41.77%2.26M41.77%2.26M233.73%2.88M1,319.81%461.55K385.33%1.09M136.38%1.59M136.38%1.59M1,755.19%861.51K-92.65%32.51K64.60%225.23K
-Cash and cash equivalents 41.77%2.26M41.77%2.26M233.73%2.88M1,319.81%461.55K385.33%1.09M136.38%1.59M136.38%1.59M1,755.19%861.51K-92.65%32.51K64.60%225.23K
Receivables 110.10%1.53M110.10%1.53M491.22%707.4K-2.96%393.36K809.93%349.59K2,673.76%730.28K2,673.76%730.28K730.04%119.65K1,253.20%405.35K-50.03%38.42K
-Accounts receivable 110.10%1.53M110.10%1.53M491.22%707.4K-2.96%393.36K809.93%349.59K2,673.76%730.28K2,673.76%730.28K730.04%119.65K1,253.20%405.35K-50.03%38.42K
Prepaid assets -7.58%142.38K-7.58%142.38K111.26%195.07K68.88%111.04K107.03%133.12K157.75%154.06K157.75%154.06K-15.45%92.34K-46.69%65.75K-51.20%64.3K
Total current assets 58.85%3.93M58.85%3.93M251.89%3.78M91.81%965.95K380.51%1.58M225.99%2.48M225.99%2.48M446.45%1.07M-19.01%503.61K-11.68%327.95K
Non current assets
Net PPE 187.82%6.15M187.82%6.15M61.36%2.99M63.68%2.71M284.03%2.42M255.34%2.14M255.34%2.14M-96.01%1.85M-96.42%1.65M-98.63%630.61K
-Gross PPE 76.12%9.44M76.12%9.44M23.80%6.26M23.13%5.96M48.86%5.66M42.66%5.36M42.66%5.36M-89.28%5.06M-89.69%4.84M-91.88%3.8M
-Accumulated depreciation -2.01%-3.29M-2.01%-3.29M-2.11%-3.27M-2.12%-3.26M-2.11%-3.24M-2.11%-3.22M-2.11%-3.22M-327.41%-3.21M-333.25%-3.19M-339.37%-3.17M
Non current prepaid assets ----------------459.38%2.24M445.77%1.94M445.77%1.94M--1.64M--1.44M--400K
Goodwill and other intangible assets -------------35.00%2.12K-34.98%2.34K-34.99%2.56K-34.99%2.56K-34.99%2.91K-34.99%3.25K-34.99%3.6K
-Other intangible assets -------------35.00%2.12K-34.98%2.34K-34.99%2.56K-34.99%2.56K-34.99%2.91K-34.99%3.25K-34.99%3.6K
Other non current assets 2.33%204.64K2.33%204.64K2.73%203.63K3.20%202.5K-0.05%201.35K0.33%199.98K0.33%199.98K16.02%198.23K16.01%196.21K30.35%201.45K
Total non current assets 171.95%6.36M171.95%6.36M55.69%3.19M57.26%2.91M215.25%2.62M191.89%2.34M191.89%2.34M-95.60%2.05M-96.01%1.85M-98.20%832.05K
Total assets 113.78%10.29M113.78%10.29M123.12%6.97M64.66%3.87M261.97%4.2M208.49%4.82M208.49%4.82M-93.32%3.12M-94.99%2.35M-97.51%1.16M
Liabilities
Current liabilities
Current debt and capital lease obligation 40.61%17.75M40.61%17.75M1,475.98%15.06M23.25%12.5M31.32%12.54M35.34%12.62M35.34%12.62M-89.39%955.45K16.99%10.14M14.46%9.55M
-Current debt 40.76%17.69M40.76%17.69M1,569.38%15M23.33%12.44M31.44%12.48M35.48%12.57M35.48%12.57M-89.96%898.25K17.04%10.09M14.49%9.5M
-Current capital lease obligation 9.30%63.92K9.30%63.92K9.35%62.55K9.41%61.19K9.46%59.84K9.52%58.48K9.52%58.48K9.58%57.2K9.64%55.93K9.70%54.67K
Current deferred liabilities -38.64%1.68M-38.64%1.68M52.04%2.19M--2.52M--2.46M--2.74M--2.74M--1.44M--------
Other current liabilities -----------------------------68.76%77.21K-64.03%89.92K--185.59K
Current liabilities 26.21%20.13M26.21%20.13M529.57%17.54M38.84%15.42M55.68%15.49M64.13%15.95M64.13%15.95M-70.29%2.79M21.33%11.1M15.53%9.95M
Non current liabilities
Long term debt and capital lease obligation -57.73%46.8K-57.73%46.8K-99.38%63.13K-91.88%79.11K-38.67%94.91K-34.56%110.72K-34.56%110.72K4,064.29%10.11M280.38%974.66K-42.56%154.75K
-Long term debt ----------------------------16,547.73%9.99M1,290.60%834.36K----
-Long term capital lease obligation -57.73%46.8K-57.73%46.8K-49.77%63.13K-43.62%79.11K-38.67%94.91K-34.56%110.72K-34.56%110.72K-31.28%125.68K-28.50%140.3K-26.10%154.75K
Long term provisions -5.23%148.37K-5.23%148.37K13.15%160.46K13.06%159.16K12.98%157.85K12.89%156.55K12.89%156.55K475.63%141.81K483.97%140.77K435.53%139.72K
Total non current liabilities -26.98%195.17K-26.98%195.17K-97.82%223.59K-78.64%238.26K-14.16%252.77K-13.19%267.27K-13.19%267.27K3,733.81%10.26M297.89%1.12M-0.35%294.47K
Total liabilities 25.34%20.32M25.34%20.32M36.20%17.76M28.12%15.65M53.67%15.75M61.75%16.22M61.75%16.22M35.22%13.04M29.55%12.22M15.01%10.25M
Shareholders'equity
Share capital 2.85%187.42M2.85%187.42M1.89%186.01M0.84%183.84M0.56%183.06M0.37%182.23M0.37%182.23M0.76%182.56M0.47%182.31M0.55%182.03M
-common stock 2.85%187.42M2.85%187.42M1.89%186.01M0.84%183.84M0.56%183.06M0.37%182.23M0.37%182.23M0.76%182.56M0.47%182.31M0.55%182.03M
Retained earnings -2.14%-215.88M-2.14%-215.88M-2.57%-215.13M-2.23%-214.1M-1.90%-212.33M-1.74%-211.36M-1.74%-211.36M-29.96%-209.74M-30.42%-209.44M-30.26%-208.37M
Gains losses not affecting retained earnings 5.73%18.43M5.73%18.43M6.19%18.33M6.22%18.33M1.61%17.54M1.00%17.43M1.00%17.43M-0.35%17.26M3.38%17.26M3.38%17.26M
Other equity interest --------------150.24K--192.2K-36.75%297.36K-36.75%297.36K------------
Total stockholders'equity 12.02%-10.03M12.02%-10.03M-8.82%-10.79M-19.40%-11.78M-27.08%-11.55M-34.69%-11.4M-34.69%-11.4M-126.71%-9.92M-126.27%-9.87M-124.07%-9.09M
Total equity 12.02%-10.03M12.02%-10.03M-8.82%-10.79M-19.40%-11.78M-27.08%-11.55M-34.69%-11.4M-34.69%-11.4M-126.71%-9.92M-126.27%-9.87M-124.07%-9.09M
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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