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HAND Handa Mining Corp

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  • 0.000
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15min DelayMarket Closed Dec 20 09:30 ET
0Market Cap0.00P/E (TTM)

Handa Mining Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Oct 30, 2020
(Q2)Jul 31, 2020
(Q1)Apr 30, 2020
(FY)Jan 31, 2020
(Q4)Jan 31, 2020
(Q3)Oct 30, 2019
(Q2)Jul 31, 2019
(Q1)Apr 30, 2019
(FY)Jan 31, 2019
(Q4)Jan 31, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
-83.80%17.67K
-89.38%39.46K
-98.94%4.36K
-94.86%15.59K
-94.86%15.59K
-82.76%109.1K
87.78%371.53K
61.59%409.32K
-16.89%303.03K
-16.89%303.03K
-Cash and cash equivalents
-83.80%17.67K
-89.38%39.46K
-98.94%4.36K
-94.86%15.59K
-94.86%15.59K
-82.76%109.1K
111.87%371.53K
77.34%409.32K
-16.89%303.03K
-16.89%303.03K
Receivables
55.12%2.06K
-87.22%589
-99.58%852
33.74%2.11K
33.74%2.11K
-93.94%1.33K
70.95%4.61K
9,629.04%204.02K
55.53%1.57K
55.53%1.57K
-Loans receivable
----
----
----
----
----
----
----
--201.35K
----
----
-Accrued interest receivable
----
----
----
--0
--0
--85
--647
--346
311.18%699
311.18%699
-Taxes receivable
65.73%2.06K
-85.13%589
-63.39%852
140.57%2.11K
140.57%2.11K
--1.24K
--3.96K
--2.33K
3.92%875
3.92%875
Prepaid assets
16.57%54.87K
-95.24%2.69K
-91.96%3.99K
-99.58%86
-99.58%86
1,426.33%47.07K
--56.42K
1,086.63%49.6K
10.54%20.64K
10.54%20.64K
Total current assets
-52.63%74.6K
-90.12%42.73K
-98.61%9.19K
-94.53%17.78K
-94.53%17.78K
-76.05%157.5K
115.69%432.56K
155.38%662.94K
-15.36%325.24K
-15.36%325.24K
Non current assets
Net PPE
-98.35%6.78K
-98.15%7.63K
-97.95%8.49K
-97.76%9.32K
-97.76%9.32K
2.23%411.21K
--412.9K
--414.46K
--415.11K
--415.11K
-Gross PPE
-96.15%16.07K
-96.15%16.07K
-96.16%16.07K
-96.16%16.07K
-96.16%16.07K
3.05%417.12K
--417.95K
--418.66K
--418.49K
--418.49K
-Accumulated depreciation
-57.36%-9.29K
-67.00%-8.44K
-80.60%-7.59K
-100.00%-6.76K
-100.00%-6.76K
-133.68%-5.91K
---5.05K
---4.2K
---3.38K
---3.38K
Investments and advances
----
----
----
--0
--0
--520.96K
--288.52K
----
--59.54K
--59.54K
-Long term equity investment
----
----
----
--0
--0
--520.96K
--288.52K
----
--59.54K
--59.54K
Non current prepaid assets
----
----
----
----
----
--0
--0
--59.54K
----
----
Total non current assets
-99.27%6.78K
-98.91%7.63K
-98.21%8.49K
-98.04%9.32K
-98.04%9.32K
131.75%932.17K
--701.41K
--473.99K
--474.65K
--474.65K
Total assets
-92.53%81.38K
-95.56%50.37K
-98.45%17.68K
-96.61%27.09K
-96.61%27.09K
2.81%1.09M
465.43%1.13M
337.98%1.14M
108.15%799.89K
108.15%799.89K
Liabilities
Current liabilities
Current debt and capital lease obligation
--466.13K
--469.14K
--486.85K
--463.16K
--463.16K
----
----
----
----
----
-Current debt
--466.13K
--469.14K
--486.85K
--463.16K
--463.16K
----
----
----
----
----
Payables
184.83%575.34K
169.26%460.1K
108.41%359.85K
95.47%260.31K
95.47%260.31K
67.00%201.99K
86.99%170.87K
847.51%172.66K
622.26%133.17K
622.26%133.17K
-accounts payable
136.50%51.89K
14.03%30.65K
8.85%64.4K
-27.59%16.24K
-27.59%16.24K
-64.87%21.94K
-47.60%26.87K
266.95%59.16K
346.03%22.42K
346.03%22.42K
-Due to related parties current
190.72%523.45K
198.23%429.45K
160.31%295.45K
120.39%244.08K
120.39%244.08K
207.78%180.05K
259.10%144K
5,304.76%113.5K
725.81%110.75K
725.81%110.75K
Current accrued expenses
-7.83%11.58K
154.05%22.4K
-4.20%19.4K
-17.72%16.4K
-17.72%16.4K
12.51%12.57K
-22.55%8.82K
-2.92%20.25K
-14.45%19.93K
-14.45%19.93K
Current liabilities
390.80%1.05M
429.60%951.64K
348.96%866.1K
383.24%739.87K
383.24%739.87K
62.40%214.56K
74.85%179.69K
393.60%192.91K
266.82%153.1K
266.82%153.1K
Non current liabilities
Long term debt and capital lease obligation
----
----
----
----
----
411.54%348.84K
--338.29K
--335.22K
----
----
-Long term debt
----
----
----
----
----
411.54%348.84K
--338.29K
--335.22K
----
----
Total non current liabilities
--0
--0
--0
--0
--0
411.54%348.84K
--338.29K
--335.22K
--0
--0
Total liabilities
86.91%1.05M
83.72%951.64K
63.99%866.1K
383.24%739.87K
383.24%739.87K
181.26%563.4K
404.04%517.98K
1,251.32%528.14K
266.82%153.1K
266.82%153.1K
Shareholders'equity
Share capital
-0.12%7.38M
0.99%7.38M
1.75%7.38M
1.75%7.38M
1.75%7.38M
2.11%7.39M
--7.31M
--7.25M
11.48%7.25M
11.48%7.25M
-common stock
-0.12%7.38M
0.99%7.38M
1.75%7.38M
1.75%7.38M
1.75%7.38M
2.11%7.39M
--7.31M
--7.25M
11.48%7.25M
11.48%7.25M
Retained earnings
-17.94%-10.93M
-20.26%-10.81M
-21.15%-10.54M
-22.47%-10.4M
-22.47%-10.4M
-14.66%-9.27M
-13.55%-8.99M
-12.88%-8.7M
-11.99%-8.49M
-11.99%-8.49M
Gains losses not affecting retained earnings
1.63%1.78M
1.35%1.78M
5.95%1.78M
5.90%1.78M
5.90%1.78M
2.94%1.76M
24.05%1.76M
18.67%1.68M
18.72%1.68M
18.72%1.68M
Other equity interest
22.27%793.28K
38.70%741.4K
41.90%523.34K
160.34%523.34K
160.34%523.34K
--648.81K
514.41%534.54K
--368.8K
--201.02K
--201.02K
Total stockholders'equity
-284.63%-971.67K
-246.31%-901.27K
-239.36%-848.42K
-210.20%-712.77K
-210.20%-712.77K
-38.78%526.27K
529.96%616K
176.09%608.8K
88.82%646.78K
88.82%646.78K
Total equity
-284.63%-971.67K
-246.31%-901.27K
-239.36%-848.42K
-210.20%-712.77K
-210.20%-712.77K
-38.78%526.27K
529.96%616K
176.09%608.8K
88.82%646.78K
88.82%646.78K
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)Oct 30, 2020(Q2)Jul 31, 2020(Q1)Apr 30, 2020(FY)Jan 31, 2020(Q4)Jan 31, 2020(Q3)Oct 30, 2019(Q2)Jul 31, 2019(Q1)Apr 30, 2019(FY)Jan 31, 2019(Q4)Jan 31, 2019
Assets
Current assets
Cash, cash equivalents and short term investments -83.80%17.67K-89.38%39.46K-98.94%4.36K-94.86%15.59K-94.86%15.59K-82.76%109.1K87.78%371.53K61.59%409.32K-16.89%303.03K-16.89%303.03K
-Cash and cash equivalents -83.80%17.67K-89.38%39.46K-98.94%4.36K-94.86%15.59K-94.86%15.59K-82.76%109.1K111.87%371.53K77.34%409.32K-16.89%303.03K-16.89%303.03K
Receivables 55.12%2.06K-87.22%589-99.58%85233.74%2.11K33.74%2.11K-93.94%1.33K70.95%4.61K9,629.04%204.02K55.53%1.57K55.53%1.57K
-Loans receivable ------------------------------201.35K--------
-Accrued interest receivable --------------0--0--85--647--346311.18%699311.18%699
-Taxes receivable 65.73%2.06K-85.13%589-63.39%852140.57%2.11K140.57%2.11K--1.24K--3.96K--2.33K3.92%8753.92%875
Prepaid assets 16.57%54.87K-95.24%2.69K-91.96%3.99K-99.58%86-99.58%861,426.33%47.07K--56.42K1,086.63%49.6K10.54%20.64K10.54%20.64K
Total current assets -52.63%74.6K-90.12%42.73K-98.61%9.19K-94.53%17.78K-94.53%17.78K-76.05%157.5K115.69%432.56K155.38%662.94K-15.36%325.24K-15.36%325.24K
Non current assets
Net PPE -98.35%6.78K-98.15%7.63K-97.95%8.49K-97.76%9.32K-97.76%9.32K2.23%411.21K--412.9K--414.46K--415.11K--415.11K
-Gross PPE -96.15%16.07K-96.15%16.07K-96.16%16.07K-96.16%16.07K-96.16%16.07K3.05%417.12K--417.95K--418.66K--418.49K--418.49K
-Accumulated depreciation -57.36%-9.29K-67.00%-8.44K-80.60%-7.59K-100.00%-6.76K-100.00%-6.76K-133.68%-5.91K---5.05K---4.2K---3.38K---3.38K
Investments and advances --------------0--0--520.96K--288.52K------59.54K--59.54K
-Long term equity investment --------------0--0--520.96K--288.52K------59.54K--59.54K
Non current prepaid assets ----------------------0--0--59.54K--------
Total non current assets -99.27%6.78K-98.91%7.63K-98.21%8.49K-98.04%9.32K-98.04%9.32K131.75%932.17K--701.41K--473.99K--474.65K--474.65K
Total assets -92.53%81.38K-95.56%50.37K-98.45%17.68K-96.61%27.09K-96.61%27.09K2.81%1.09M465.43%1.13M337.98%1.14M108.15%799.89K108.15%799.89K
Liabilities
Current liabilities
Current debt and capital lease obligation --466.13K--469.14K--486.85K--463.16K--463.16K--------------------
-Current debt --466.13K--469.14K--486.85K--463.16K--463.16K--------------------
Payables 184.83%575.34K169.26%460.1K108.41%359.85K95.47%260.31K95.47%260.31K67.00%201.99K86.99%170.87K847.51%172.66K622.26%133.17K622.26%133.17K
-accounts payable 136.50%51.89K14.03%30.65K8.85%64.4K-27.59%16.24K-27.59%16.24K-64.87%21.94K-47.60%26.87K266.95%59.16K346.03%22.42K346.03%22.42K
-Due to related parties current 190.72%523.45K198.23%429.45K160.31%295.45K120.39%244.08K120.39%244.08K207.78%180.05K259.10%144K5,304.76%113.5K725.81%110.75K725.81%110.75K
Current accrued expenses -7.83%11.58K154.05%22.4K-4.20%19.4K-17.72%16.4K-17.72%16.4K12.51%12.57K-22.55%8.82K-2.92%20.25K-14.45%19.93K-14.45%19.93K
Current liabilities 390.80%1.05M429.60%951.64K348.96%866.1K383.24%739.87K383.24%739.87K62.40%214.56K74.85%179.69K393.60%192.91K266.82%153.1K266.82%153.1K
Non current liabilities
Long term debt and capital lease obligation --------------------411.54%348.84K--338.29K--335.22K--------
-Long term debt --------------------411.54%348.84K--338.29K--335.22K--------
Total non current liabilities --0--0--0--0--0411.54%348.84K--338.29K--335.22K--0--0
Total liabilities 86.91%1.05M83.72%951.64K63.99%866.1K383.24%739.87K383.24%739.87K181.26%563.4K404.04%517.98K1,251.32%528.14K266.82%153.1K266.82%153.1K
Shareholders'equity
Share capital -0.12%7.38M0.99%7.38M1.75%7.38M1.75%7.38M1.75%7.38M2.11%7.39M--7.31M--7.25M11.48%7.25M11.48%7.25M
-common stock -0.12%7.38M0.99%7.38M1.75%7.38M1.75%7.38M1.75%7.38M2.11%7.39M--7.31M--7.25M11.48%7.25M11.48%7.25M
Retained earnings -17.94%-10.93M-20.26%-10.81M-21.15%-10.54M-22.47%-10.4M-22.47%-10.4M-14.66%-9.27M-13.55%-8.99M-12.88%-8.7M-11.99%-8.49M-11.99%-8.49M
Gains losses not affecting retained earnings 1.63%1.78M1.35%1.78M5.95%1.78M5.90%1.78M5.90%1.78M2.94%1.76M24.05%1.76M18.67%1.68M18.72%1.68M18.72%1.68M
Other equity interest 22.27%793.28K38.70%741.4K41.90%523.34K160.34%523.34K160.34%523.34K--648.81K514.41%534.54K--368.8K--201.02K--201.02K
Total stockholders'equity -284.63%-971.67K-246.31%-901.27K-239.36%-848.42K-210.20%-712.77K-210.20%-712.77K-38.78%526.27K529.96%616K176.09%608.8K88.82%646.78K88.82%646.78K
Total equity -284.63%-971.67K-246.31%-901.27K-239.36%-848.42K-210.20%-712.77K-210.20%-712.77K-38.78%526.27K529.96%616K176.09%608.8K88.82%646.78K88.82%646.78K
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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