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GHREF GOLD HUNTER RESOURCES INC

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15min DelayClose Dec 20 09:30 ET
0Market Cap0.00P/E (TTM)

GOLD HUNTER RESOURCES INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)May 31, 2024
(Q2)Feb 29, 2024
(Q1)Nov 30, 2023
(FY)Aug 31, 2023
(Q4)Aug 31, 2023
(Q3)May 31, 2023
(Q2)Feb 28, 2023
(Q1)Nov 30, 2022
(FY)Aug 31, 2022
(Q4)Aug 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
53,906.83%19.71M
-55.95%20.37K
-29.44%81.81K
-76.17%70.78K
-76.17%70.78K
-95.74%36.49K
-96.36%46.24K
-92.81%115.94K
-82.76%297.06K
-82.76%297.06K
-Cash and cash equivalents
8,072.86%2.98M
-55.95%20.37K
-29.44%81.81K
-76.17%70.78K
-76.17%70.78K
-95.74%36.49K
-96.36%46.24K
-92.81%115.94K
-82.76%297.06K
-82.76%297.06K
-Short-term investments
--16.72M
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Receivables
32.15%17.83K
-70.47%6.9K
-66.96%7.49K
-58.83%9.55K
-58.83%9.55K
54.08%13.49K
158.60%23.38K
169.00%22.68K
220.25%23.2K
220.25%23.2K
-Accounts receivable
32.15%17.83K
-70.47%6.9K
-66.96%7.49K
-58.83%9.55K
-58.83%9.55K
54.08%13.49K
158.60%23.38K
169.00%22.68K
220.25%23.2K
220.25%23.2K
Prepaid assets
1,197.71%45.42K
-49.69%84.44K
-46.42%89.92K
-98.32%2.75K
-98.32%2.75K
-98.94%3.5K
17.56%167.81K
4,139.84%167.81K
--163.66K
--163.66K
Total current assets
36,867.41%19.77M
-52.95%111.7K
-41.52%179.22K
-82.83%83.08K
-82.83%83.08K
-95.52%53.48K
-83.32%237.43K
-81.15%306.44K
-72.03%483.92K
-72.03%483.92K
Non current assets
Net PPE
-82.71%528.48K
42.65%4.09M
-11.05%2.45M
-11.65%2.41M
-11.65%2.41M
30.99%3.06M
27.85%2.87M
1,109.08%2.76M
1,096.89%2.73M
1,096.89%2.73M
Investments and advances
--230K
--135K
--130K
--190K
--190K
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--0
--0
Total non current assets
-75.18%758.48K
47.35%4.23M
-6.33%2.58M
-4.68%2.6M
-4.68%2.6M
30.99%3.06M
27.85%2.87M
1,109.08%2.76M
1,096.89%2.73M
1,096.89%2.73M
Total assets
560.14%20.53M
39.69%4.34M
-9.85%2.76M
-16.46%2.68M
-16.46%2.68M
-11.85%3.11M
-15.29%3.11M
65.22%3.06M
64.05%3.21M
64.05%3.21M
Liabilities
Current liabilities
Payables
13,742.79%16.73M
10,726.01%239.36K
238.40%63.71K
366.15%306.3K
366.15%306.3K
-54.31%120.84K
-99.17%2.21K
1,745.78%18.83K
288.74%65.71K
288.74%65.71K
-accounts payable
-90.07%12K
10,726.01%239.36K
238.40%63.71K
366.15%306.3K
366.15%306.3K
-54.31%120.84K
-99.17%2.21K
1,745.78%18.83K
288.74%65.71K
288.74%65.71K
-Dividends payable
--16.72M
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Current debt and capital lease obligation
----
----
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--152.5K
--152.5K
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-Current debt
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--152.5K
--152.5K
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Current liabilities
13,742.79%16.73M
10,726.01%239.36K
238.40%63.71K
598.24%458.8K
598.24%458.8K
-54.31%120.84K
-99.17%2.21K
1,745.78%18.83K
288.74%65.71K
288.74%65.71K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
13,742.79%16.73M
10,726.01%239.36K
238.40%63.71K
598.24%458.8K
598.24%458.8K
-54.31%120.84K
-99.17%2.21K
1,745.78%18.83K
288.74%65.71K
288.74%65.71K
Shareholders'equity
Share capital
75.50%7.5M
72.30%7.36M
42.46%5.77M
20.97%4.9M
20.97%4.9M
5.47%4.27M
5.47%4.27M
75.22%4.05M
75.22%4.05M
75.22%4.05M
-common stock
75.50%7.5M
72.30%7.36M
42.46%5.77M
20.97%4.9M
20.97%4.9M
5.47%4.27M
5.47%4.27M
75.22%4.05M
75.22%4.05M
75.22%4.05M
Retained earnings
1,058.67%12.96M
-161.20%-3.23M
-169.35%-3.04M
-176.87%-2.84M
-176.87%-2.84M
-49.00%-1.35M
-60.59%-1.24M
-94.42%-1.13M
-108.58%-1.02M
-108.58%-1.02M
Paid-in capital
----
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-42.78%69.17K
-42.78%69.17K
0.00%120.88K
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Gains losses not affecting retained earnings
---16.65M
---31.05K
---36.05K
34.18%162.19K
34.18%162.19K
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----
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--120.88K
--120.88K
Total stockholders'equity
27.14%3.8M
32.08%4.1M
-11.39%2.7M
-29.30%2.22M
-29.30%2.22M
-8.41%2.99M
-8.71%3.1M
64.30%3.04M
62.09%3.15M
62.09%3.15M
Total equity
27.14%3.8M
32.08%4.1M
-11.39%2.7M
-29.30%2.22M
-29.30%2.22M
-8.41%2.99M
-8.71%3.1M
64.30%3.04M
62.09%3.15M
62.09%3.15M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
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Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
--
(Q3)May 31, 2024(Q2)Feb 29, 2024(Q1)Nov 30, 2023(FY)Aug 31, 2023(Q4)Aug 31, 2023(Q3)May 31, 2023(Q2)Feb 28, 2023(Q1)Nov 30, 2022(FY)Aug 31, 2022(Q4)Aug 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 53,906.83%19.71M-55.95%20.37K-29.44%81.81K-76.17%70.78K-76.17%70.78K-95.74%36.49K-96.36%46.24K-92.81%115.94K-82.76%297.06K-82.76%297.06K
-Cash and cash equivalents 8,072.86%2.98M-55.95%20.37K-29.44%81.81K-76.17%70.78K-76.17%70.78K-95.74%36.49K-96.36%46.24K-92.81%115.94K-82.76%297.06K-82.76%297.06K
-Short-term investments --16.72M------------------------------------
Receivables 32.15%17.83K-70.47%6.9K-66.96%7.49K-58.83%9.55K-58.83%9.55K54.08%13.49K158.60%23.38K169.00%22.68K220.25%23.2K220.25%23.2K
-Accounts receivable 32.15%17.83K-70.47%6.9K-66.96%7.49K-58.83%9.55K-58.83%9.55K54.08%13.49K158.60%23.38K169.00%22.68K220.25%23.2K220.25%23.2K
Prepaid assets 1,197.71%45.42K-49.69%84.44K-46.42%89.92K-98.32%2.75K-98.32%2.75K-98.94%3.5K17.56%167.81K4,139.84%167.81K--163.66K--163.66K
Total current assets 36,867.41%19.77M-52.95%111.7K-41.52%179.22K-82.83%83.08K-82.83%83.08K-95.52%53.48K-83.32%237.43K-81.15%306.44K-72.03%483.92K-72.03%483.92K
Non current assets
Net PPE -82.71%528.48K42.65%4.09M-11.05%2.45M-11.65%2.41M-11.65%2.41M30.99%3.06M27.85%2.87M1,109.08%2.76M1,096.89%2.73M1,096.89%2.73M
Investments and advances --230K--135K--130K--190K--190K--------------0--0
Total non current assets -75.18%758.48K47.35%4.23M-6.33%2.58M-4.68%2.6M-4.68%2.6M30.99%3.06M27.85%2.87M1,109.08%2.76M1,096.89%2.73M1,096.89%2.73M
Total assets 560.14%20.53M39.69%4.34M-9.85%2.76M-16.46%2.68M-16.46%2.68M-11.85%3.11M-15.29%3.11M65.22%3.06M64.05%3.21M64.05%3.21M
Liabilities
Current liabilities
Payables 13,742.79%16.73M10,726.01%239.36K238.40%63.71K366.15%306.3K366.15%306.3K-54.31%120.84K-99.17%2.21K1,745.78%18.83K288.74%65.71K288.74%65.71K
-accounts payable -90.07%12K10,726.01%239.36K238.40%63.71K366.15%306.3K366.15%306.3K-54.31%120.84K-99.17%2.21K1,745.78%18.83K288.74%65.71K288.74%65.71K
-Dividends payable --16.72M------------------------------------
Current debt and capital lease obligation --------------152.5K--152.5K--------------------
-Current debt --------------152.5K--152.5K--------------------
Current liabilities 13,742.79%16.73M10,726.01%239.36K238.40%63.71K598.24%458.8K598.24%458.8K-54.31%120.84K-99.17%2.21K1,745.78%18.83K288.74%65.71K288.74%65.71K
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities 13,742.79%16.73M10,726.01%239.36K238.40%63.71K598.24%458.8K598.24%458.8K-54.31%120.84K-99.17%2.21K1,745.78%18.83K288.74%65.71K288.74%65.71K
Shareholders'equity
Share capital 75.50%7.5M72.30%7.36M42.46%5.77M20.97%4.9M20.97%4.9M5.47%4.27M5.47%4.27M75.22%4.05M75.22%4.05M75.22%4.05M
-common stock 75.50%7.5M72.30%7.36M42.46%5.77M20.97%4.9M20.97%4.9M5.47%4.27M5.47%4.27M75.22%4.05M75.22%4.05M75.22%4.05M
Retained earnings 1,058.67%12.96M-161.20%-3.23M-169.35%-3.04M-176.87%-2.84M-176.87%-2.84M-49.00%-1.35M-60.59%-1.24M-94.42%-1.13M-108.58%-1.02M-108.58%-1.02M
Paid-in capital ---------------------42.78%69.17K-42.78%69.17K0.00%120.88K--------
Gains losses not affecting retained earnings ---16.65M---31.05K---36.05K34.18%162.19K34.18%162.19K--------------120.88K--120.88K
Total stockholders'equity 27.14%3.8M32.08%4.1M-11.39%2.7M-29.30%2.22M-29.30%2.22M-8.41%2.99M-8.71%3.1M64.30%3.04M62.09%3.15M62.09%3.15M
Total equity 27.14%3.8M32.08%4.1M-11.39%2.7M-29.30%2.22M-29.30%2.22M-8.41%2.99M-8.71%3.1M64.30%3.04M62.09%3.15M62.09%3.15M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--
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