US Stock MarketDetailed Quotes

GCXXF GRANITE CREEK COPPER LTD

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  • 0.014336
  • 0.0000000.00%
15min DelayClose Dec 30 16:00 ET
2.85MMarket Cap-2.05P/E (TTM)

GRANITE CREEK COPPER LTD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Aug 31, 2024
(FY)May 31, 2024
(Q4)May 31, 2024
(Q3)Feb 29, 2024
(Q2)Nov 30, 2023
(Q1)Aug 31, 2023
(FY)May 31, 2023
(Q4)May 31, 2023
(Q3)Feb 28, 2023
(Q2)Nov 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
80.02%585.74K
-0.88%879.17K
-0.88%879.17K
-7.74%20.82K
56.94%198.59K
164.29%325.37K
-6.60%886.99K
-6.60%886.99K
-98.18%22.57K
-80.27%126.54K
-Cash and cash equivalents
80.02%585.74K
-0.88%879.17K
-0.88%879.17K
-7.74%20.82K
56.94%198.59K
164.29%325.37K
-6.60%886.99K
-6.60%886.99K
-98.18%22.57K
-80.27%126.54K
Receivables
314.64%155.91K
164.28%161.14K
164.28%161.14K
-64.28%16.4K
-41.74%11.7K
-37.33%37.6K
180.22%60.97K
180.22%60.97K
-85.18%45.92K
-92.80%20.08K
-Accounts receivable
-24.71%28.31K
14.24%69.66K
14.24%69.66K
-64.28%16.4K
-41.74%11.7K
-37.33%37.6K
180.22%60.97K
180.22%60.97K
-85.18%45.92K
--20.08K
-Related party accounts receivable
--127.6K
--91.48K
--91.48K
----
----
----
--0
--0
----
----
Prepaid assets
-3.19%21.55K
-7.42%30.92K
-7.42%30.92K
-36.07%49.65K
-85.64%10.37K
-75.50%22.26K
-87.50%33.39K
-87.50%33.39K
-72.70%77.67K
39.55%72.21K
Total current assets
98.12%763.2K
9.16%1.07M
9.16%1.07M
-40.56%86.87K
0.83%220.65K
40.62%385.23K
-20.77%981.35K
-20.77%981.35K
-92.03%146.15K
-77.49%218.83K
Non current assets
Net PPE
1.17%8.68M
1.17%8.68M
1.17%8.68M
1.93%8.68M
1.96%8.58M
1.96%8.58M
2.61%8.58M
2.61%8.58M
3.07%8.51M
2.23%8.41M
Related parties assets
--127.6K
--91.48K
--91.48K
----
----
----
--0
--0
----
----
Other non current assets
0.00%80.3K
0.00%80.3K
0.00%80.3K
-11.07%80.3K
-11.07%80.3K
-11.07%80.3K
-11.07%80.3K
-11.07%80.3K
0.00%90.3K
0.00%90.3K
Total non current assets
1.15%8.76M
1.15%8.76M
1.15%8.76M
1.80%8.76M
1.82%8.66M
1.82%8.66M
2.46%8.66M
2.46%8.66M
3.03%8.6M
2.20%8.5M
Total assets
5.28%9.52M
1.97%9.83M
1.97%9.83M
1.09%8.85M
1.79%8.88M
3.03%9.04M
-0.51%9.64M
-0.51%9.64M
-14.09%8.75M
-6.13%8.72M
Liabilities
Current liabilities
Payables
-47.77%258.33K
-3.19%330.69K
-3.19%330.69K
-44.68%611.96K
-50.82%474.38K
-53.78%494.63K
-67.48%341.59K
-67.48%341.59K
-17.31%1.11M
-43.17%964.47K
-accounts payable
-5.80%258.33K
-3.19%330.69K
-3.19%330.69K
-18.85%327.64K
-19.44%304.3K
-21.66%274.23K
-9.06%341.59K
-9.06%341.59K
-25.96%403.76K
-33.32%377.75K
-Due to related parties current
----
----
----
-59.53%284.32K
-71.01%170.08K
-69.39%220.4K
----
----
-11.36%702.47K
-48.10%586.72K
Current debt and capital lease obligation
--66.34K
-88.28%100.01K
-88.28%100.01K
----
----
----
--853.27K
--853.27K
----
----
-Current debt
--66.34K
-88.28%100.01K
-88.28%100.01K
----
----
----
--853.27K
--853.27K
----
----
Other current liabilities
-6.29%81.22K
90.72%88.46K
90.72%88.46K
--80.49K
--84.37K
156.44%86.67K
-68.09%46.38K
-68.09%46.38K
----
----
Current liabilities
110.25%1.22M
-58.17%519.15K
-58.17%519.15K
-37.41%692.44K
-42.07%558.74K
-47.34%581.3K
3.82%1.24M
3.82%1.24M
-32.83%1.11M
-49.57%964.47K
Non current liabilities
Due to related parties non current
4.69%399.54K
4.75%395.03K
4.75%395.03K
4.81%390.53K
3.96%386.08K
--381.62K
--377.12K
--377.12K
--372.62K
--371.38K
Employee benefits
--0
10.03%796.91K
10.03%796.91K
10.00%777.79K
10.00%759.72K
10.00%741.88K
10.00%724.27K
10.00%724.27K
10.00%707.08K
10.00%690.66K
Total non current liabilities
-64.44%399.54K
8.22%1.19M
8.22%1.19M
8.21%1.17M
7.89%1.15M
66.58%1.12M
67.28%1.1M
67.28%1.1M
67.97%1.08M
69.15%1.06M
Total liabilities
-4.87%1.62M
-26.96%1.71M
-26.96%1.71M
-14.88%1.86M
-15.89%1.7M
-4.13%1.7M
26.35%2.34M
26.35%2.34M
-4.53%2.19M
-20.23%2.03M
Shareholders'equity
Share capital
7.31%20.85M
9.80%20.85M
9.80%20.85M
6.46%19.43M
6.94%19.43M
8.07%19.43M
5.86%18.99M
5.86%18.99M
1.78%18.25M
12.86%18.17M
-common stock
7.31%20.85M
9.80%20.85M
9.80%20.85M
6.46%19.43M
6.94%19.43M
8.07%19.43M
5.86%18.99M
5.86%18.99M
1.78%18.25M
12.86%18.17M
Retained earnings
-4.26%-14.13M
-3.33%-13.88M
-3.33%-13.88M
-1.54%-13.65M
-4.22%-13.73M
-5.57%-13.55M
-13.16%-13.43M
-13.16%-13.43M
-14.90%-13.44M
-19.37%-13.18M
Gains losses not affecting retained earnings
0.00%-3.59K
0.00%-3.59K
0.00%-3.59K
0.00%-3.59K
0.00%-3.59K
0.00%-3.59K
0.00%-3.59K
0.00%-3.59K
0.00%-3.59K
0.00%-3.59K
Other equity interest
-19.23%1.18M
-33.92%1.15M
-33.92%1.15M
-31.35%1.21M
-13.30%1.48M
-21.35%1.46M
-1.45%1.75M
-1.45%1.75M
5.50%1.76M
0.72%1.71M
Total stockholders'equity
7.64%7.9M
11.25%8.12M
11.25%8.12M
6.41%6.99M
7.15%7.18M
4.85%7.34M
-6.86%7.3M
-6.86%7.3M
-16.86%6.57M
-0.83%6.7M
Total equity
7.64%7.9M
11.25%8.12M
11.25%8.12M
6.41%6.99M
7.15%7.18M
4.85%7.34M
-6.86%7.3M
-6.86%7.3M
-16.86%6.57M
-0.83%6.7M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
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--
--
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Unqualified Opinion with Explanatory Notes
--
--
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(Q1)Aug 31, 2024(FY)May 31, 2024(Q4)May 31, 2024(Q3)Feb 29, 2024(Q2)Nov 30, 2023(Q1)Aug 31, 2023(FY)May 31, 2023(Q4)May 31, 2023(Q3)Feb 28, 2023(Q2)Nov 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 80.02%585.74K-0.88%879.17K-0.88%879.17K-7.74%20.82K56.94%198.59K164.29%325.37K-6.60%886.99K-6.60%886.99K-98.18%22.57K-80.27%126.54K
-Cash and cash equivalents 80.02%585.74K-0.88%879.17K-0.88%879.17K-7.74%20.82K56.94%198.59K164.29%325.37K-6.60%886.99K-6.60%886.99K-98.18%22.57K-80.27%126.54K
Receivables 314.64%155.91K164.28%161.14K164.28%161.14K-64.28%16.4K-41.74%11.7K-37.33%37.6K180.22%60.97K180.22%60.97K-85.18%45.92K-92.80%20.08K
-Accounts receivable -24.71%28.31K14.24%69.66K14.24%69.66K-64.28%16.4K-41.74%11.7K-37.33%37.6K180.22%60.97K180.22%60.97K-85.18%45.92K--20.08K
-Related party accounts receivable --127.6K--91.48K--91.48K--------------0--0--------
Prepaid assets -3.19%21.55K-7.42%30.92K-7.42%30.92K-36.07%49.65K-85.64%10.37K-75.50%22.26K-87.50%33.39K-87.50%33.39K-72.70%77.67K39.55%72.21K
Total current assets 98.12%763.2K9.16%1.07M9.16%1.07M-40.56%86.87K0.83%220.65K40.62%385.23K-20.77%981.35K-20.77%981.35K-92.03%146.15K-77.49%218.83K
Non current assets
Net PPE 1.17%8.68M1.17%8.68M1.17%8.68M1.93%8.68M1.96%8.58M1.96%8.58M2.61%8.58M2.61%8.58M3.07%8.51M2.23%8.41M
Related parties assets --127.6K--91.48K--91.48K--------------0--0--------
Other non current assets 0.00%80.3K0.00%80.3K0.00%80.3K-11.07%80.3K-11.07%80.3K-11.07%80.3K-11.07%80.3K-11.07%80.3K0.00%90.3K0.00%90.3K
Total non current assets 1.15%8.76M1.15%8.76M1.15%8.76M1.80%8.76M1.82%8.66M1.82%8.66M2.46%8.66M2.46%8.66M3.03%8.6M2.20%8.5M
Total assets 5.28%9.52M1.97%9.83M1.97%9.83M1.09%8.85M1.79%8.88M3.03%9.04M-0.51%9.64M-0.51%9.64M-14.09%8.75M-6.13%8.72M
Liabilities
Current liabilities
Payables -47.77%258.33K-3.19%330.69K-3.19%330.69K-44.68%611.96K-50.82%474.38K-53.78%494.63K-67.48%341.59K-67.48%341.59K-17.31%1.11M-43.17%964.47K
-accounts payable -5.80%258.33K-3.19%330.69K-3.19%330.69K-18.85%327.64K-19.44%304.3K-21.66%274.23K-9.06%341.59K-9.06%341.59K-25.96%403.76K-33.32%377.75K
-Due to related parties current -------------59.53%284.32K-71.01%170.08K-69.39%220.4K---------11.36%702.47K-48.10%586.72K
Current debt and capital lease obligation --66.34K-88.28%100.01K-88.28%100.01K--------------853.27K--853.27K--------
-Current debt --66.34K-88.28%100.01K-88.28%100.01K--------------853.27K--853.27K--------
Other current liabilities -6.29%81.22K90.72%88.46K90.72%88.46K--80.49K--84.37K156.44%86.67K-68.09%46.38K-68.09%46.38K--------
Current liabilities 110.25%1.22M-58.17%519.15K-58.17%519.15K-37.41%692.44K-42.07%558.74K-47.34%581.3K3.82%1.24M3.82%1.24M-32.83%1.11M-49.57%964.47K
Non current liabilities
Due to related parties non current 4.69%399.54K4.75%395.03K4.75%395.03K4.81%390.53K3.96%386.08K--381.62K--377.12K--377.12K--372.62K--371.38K
Employee benefits --010.03%796.91K10.03%796.91K10.00%777.79K10.00%759.72K10.00%741.88K10.00%724.27K10.00%724.27K10.00%707.08K10.00%690.66K
Total non current liabilities -64.44%399.54K8.22%1.19M8.22%1.19M8.21%1.17M7.89%1.15M66.58%1.12M67.28%1.1M67.28%1.1M67.97%1.08M69.15%1.06M
Total liabilities -4.87%1.62M-26.96%1.71M-26.96%1.71M-14.88%1.86M-15.89%1.7M-4.13%1.7M26.35%2.34M26.35%2.34M-4.53%2.19M-20.23%2.03M
Shareholders'equity
Share capital 7.31%20.85M9.80%20.85M9.80%20.85M6.46%19.43M6.94%19.43M8.07%19.43M5.86%18.99M5.86%18.99M1.78%18.25M12.86%18.17M
-common stock 7.31%20.85M9.80%20.85M9.80%20.85M6.46%19.43M6.94%19.43M8.07%19.43M5.86%18.99M5.86%18.99M1.78%18.25M12.86%18.17M
Retained earnings -4.26%-14.13M-3.33%-13.88M-3.33%-13.88M-1.54%-13.65M-4.22%-13.73M-5.57%-13.55M-13.16%-13.43M-13.16%-13.43M-14.90%-13.44M-19.37%-13.18M
Gains losses not affecting retained earnings 0.00%-3.59K0.00%-3.59K0.00%-3.59K0.00%-3.59K0.00%-3.59K0.00%-3.59K0.00%-3.59K0.00%-3.59K0.00%-3.59K0.00%-3.59K
Other equity interest -19.23%1.18M-33.92%1.15M-33.92%1.15M-31.35%1.21M-13.30%1.48M-21.35%1.46M-1.45%1.75M-1.45%1.75M5.50%1.76M0.72%1.71M
Total stockholders'equity 7.64%7.9M11.25%8.12M11.25%8.12M6.41%6.99M7.15%7.18M4.85%7.34M-6.86%7.3M-6.86%7.3M-16.86%6.57M-0.83%6.7M
Total equity 7.64%7.9M11.25%8.12M11.25%8.12M6.41%6.99M7.15%7.18M4.85%7.34M-6.86%7.3M-6.86%7.3M-16.86%6.57M-0.83%6.7M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------
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