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RTMFD RT MINERALS CORP

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  • 0.140
  • 0.0000.00%
15min DelayClose Jul 9 09:30 ET
305.54KMarket Cap-0.12P/E (TTM)

RT MINERALS CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Aug 31, 2022
(Q2)May 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-171.96%-73.04K
-9,697.82%-440.51K
7.68%38.65K
-3,413.49%-203.71K
-1,325.05%-248.59K
51.06%-26.86K
98.96%-4.5K
118.70%35.89K
-385.76%-5.8K
-85.14%20.29K
Net income from continuing operations
-6.99%-126.02K
-29.03%-1.94M
37.94%-92.45K
-34.25%-1.62M
-42.33%-109.09K
-66.64%-117.78K
34.99%-1.5M
92.25%-148.97K
-1,858.77%-1.21M
48.40%-76.65K
Operating gains losses
----
-93.59%74.1K
---24.33K
--0
----
----
--1.16M
----
----
----
Depreciation and amortization
--107
--214
--107
----
----
--0
--0
--0
----
----
Change In working capital
179.34%52.87K
-126.44%-73.7K
19.19%155.32K
-329.80%-82.02K
-271.17%-165.93K
19.81%18.93K
442.55%278.74K
1,160.43%130.32K
-43.88%35.69K
-62.52%96.94K
-Change in receivables
48.06%-3.41K
-92.10%4.34K
373.25%7.98K
-79.89%3.55K
-100.87%-626
79.11%-6.56K
396.24%54.92K
73.70%-2.92K
317.60%17.63K
52.53%71.62K
-Change in prepaid assets
-124.70%-286
-175.95%-3.64K
687.46%15.95K
-1,270.97%-15.77K
-21.52%-4.98K
-79.02%1.16K
-73.53%4.8K
-51.19%2.03K
136.32%1.35K
63.57%-4.09K
-Change in payables and accrued expense
132.47%56.56K
-133.97%-74.39K
0.14%131.4K
-517.64%-69.8K
-645.12%-160.32K
-41.63%24.33K
887.38%219.02K
658.84%131.21K
-76.51%16.71K
-86.81%29.41K
Cash from discontinued investing activities
Operating cash flow
-171.96%-73.04K
-9,697.82%-440.51K
7.68%38.65K
-3,413.49%-203.71K
-1,325.05%-248.59K
51.06%-26.86K
98.96%-4.5K
118.70%35.89K
-385.76%-5.8K
-85.14%20.29K
Investing cash flow
Cash flow from continuing investing activities
94.35%-1.25K
67.25%-112.41K
-342.14%-12.99K
-661.11%-21.1K
-226.94%-56.19K
93.27%-22.13K
-41.98%-343.2K
102.13%5.37K
97.57%-2.77K
93.69%-17.19K
Net PPE purchase and sale
----
-104.28%-2.14K
--0
--0
---2.14K
--0
--50K
--50K
--0
----
Net investment purchase and sale
----
--54.58K
--0
--0
--54.58K
--0
--0
--0
--0
----
Net other investing changes
94.35%-1.25K
58.08%-164.84K
70.90%-12.99K
-661.11%-21.1K
-532.05%-108.63K
93.27%-22.13K
59.33%-393.2K
82.26%-44.64K
99.19%-2.77K
93.69%-17.19K
Cash from discontinued investing activities
Investing cash flow
94.35%-1.25K
67.25%-112.41K
-342.14%-12.99K
-661.11%-21.1K
-226.94%-56.19K
93.27%-22.13K
-41.98%-343.2K
102.13%5.37K
97.57%-2.77K
93.69%-17.19K
Financing cash flow
Cash flow from continuing financing activities
388.12%238.88K
1,368.62%645.29K
-41.64%-118.88K
256.07%89.83K
4,807.40%625.4K
1,097.53%48.94K
-104.77%-50.87K
-110.29%-83.93K
319.51%25.23K
-80.82%12.74K
Net issuance payments of debt
-1,687.50%-50.8K
---117.21K
---117.21K
--0
---3.2K
--3.2K
--0
--0
--0
--0
Net common stock issuance
--300K
--850K
--0
--100K
--750K
--0
--0
--0
--0
----
Net other financing activities
-122.56%-10.32K
-72.03%-87.5K
98.01%-1.67K
-140.32%-10.17K
-1,052.61%-121.4K
1,032.31%45.74K
-25.15%-50.87K
-283.59%-83.93K
319.51%25.23K
193.23%12.74K
Cash from discontinued financing activities
Financing cash flow
388.12%238.88K
1,368.62%645.29K
-41.64%-118.88K
256.07%89.83K
4,807.40%625.4K
1,097.53%48.94K
-104.77%-50.87K
-110.29%-83.93K
319.51%25.23K
-80.82%12.74K
Net cash flow
Beginning cash position
7,509.67%93.6K
-99.69%1.23K
325.54%186.82K
1,081.15%321.81K
-89.59%1.19K
-99.69%1.23K
4,682.74%399.79K
59.78%43.9K
-81.96%27.25K
-94.83%11.4K
Current changes in cash
374,165.91%164.59K
123.18%92.37K
-118.46%-93.23K
-910.31%-134.98K
1,922.96%320.62K
99.99%-44
-201.82%-398.56K
-111.46%-42.67K
113.49%16.66K
122.87%15.85K
End cash Position
21,669.65%258.19K
7,509.67%93.6K
7,509.67%93.6K
325.54%186.82K
1,081.15%321.81K
-89.59%1.19K
-99.69%1.23K
-99.69%1.23K
59.78%43.9K
-81.96%27.25K
Free cash flow
-171.96%-73.04K
-9,745.40%-442.65K
7.68%38.65K
-3,413.49%-203.71K
-1,335.60%-250.73K
51.06%-26.86K
98.96%-4.5K
118.70%35.89K
-385.76%-5.8K
-85.14%20.29K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(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(Q3)Aug 31, 2022(Q2)May 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -171.96%-73.04K-9,697.82%-440.51K7.68%38.65K-3,413.49%-203.71K-1,325.05%-248.59K51.06%-26.86K98.96%-4.5K118.70%35.89K-385.76%-5.8K-85.14%20.29K
Net income from continuing operations -6.99%-126.02K-29.03%-1.94M37.94%-92.45K-34.25%-1.62M-42.33%-109.09K-66.64%-117.78K34.99%-1.5M92.25%-148.97K-1,858.77%-1.21M48.40%-76.65K
Operating gains losses -----93.59%74.1K---24.33K--0----------1.16M------------
Depreciation and amortization --107--214--107----------0--0--0--------
Change In working capital 179.34%52.87K-126.44%-73.7K19.19%155.32K-329.80%-82.02K-271.17%-165.93K19.81%18.93K442.55%278.74K1,160.43%130.32K-43.88%35.69K-62.52%96.94K
-Change in receivables 48.06%-3.41K-92.10%4.34K373.25%7.98K-79.89%3.55K-100.87%-62679.11%-6.56K396.24%54.92K73.70%-2.92K317.60%17.63K52.53%71.62K
-Change in prepaid assets -124.70%-286-175.95%-3.64K687.46%15.95K-1,270.97%-15.77K-21.52%-4.98K-79.02%1.16K-73.53%4.8K-51.19%2.03K136.32%1.35K63.57%-4.09K
-Change in payables and accrued expense 132.47%56.56K-133.97%-74.39K0.14%131.4K-517.64%-69.8K-645.12%-160.32K-41.63%24.33K887.38%219.02K658.84%131.21K-76.51%16.71K-86.81%29.41K
Cash from discontinued investing activities
Operating cash flow -171.96%-73.04K-9,697.82%-440.51K7.68%38.65K-3,413.49%-203.71K-1,325.05%-248.59K51.06%-26.86K98.96%-4.5K118.70%35.89K-385.76%-5.8K-85.14%20.29K
Investing cash flow
Cash flow from continuing investing activities 94.35%-1.25K67.25%-112.41K-342.14%-12.99K-661.11%-21.1K-226.94%-56.19K93.27%-22.13K-41.98%-343.2K102.13%5.37K97.57%-2.77K93.69%-17.19K
Net PPE purchase and sale -----104.28%-2.14K--0--0---2.14K--0--50K--50K--0----
Net investment purchase and sale ------54.58K--0--0--54.58K--0--0--0--0----
Net other investing changes 94.35%-1.25K58.08%-164.84K70.90%-12.99K-661.11%-21.1K-532.05%-108.63K93.27%-22.13K59.33%-393.2K82.26%-44.64K99.19%-2.77K93.69%-17.19K
Cash from discontinued investing activities
Investing cash flow 94.35%-1.25K67.25%-112.41K-342.14%-12.99K-661.11%-21.1K-226.94%-56.19K93.27%-22.13K-41.98%-343.2K102.13%5.37K97.57%-2.77K93.69%-17.19K
Financing cash flow
Cash flow from continuing financing activities 388.12%238.88K1,368.62%645.29K-41.64%-118.88K256.07%89.83K4,807.40%625.4K1,097.53%48.94K-104.77%-50.87K-110.29%-83.93K319.51%25.23K-80.82%12.74K
Net issuance payments of debt -1,687.50%-50.8K---117.21K---117.21K--0---3.2K--3.2K--0--0--0--0
Net common stock issuance --300K--850K--0--100K--750K--0--0--0--0----
Net other financing activities -122.56%-10.32K-72.03%-87.5K98.01%-1.67K-140.32%-10.17K-1,052.61%-121.4K1,032.31%45.74K-25.15%-50.87K-283.59%-83.93K319.51%25.23K193.23%12.74K
Cash from discontinued financing activities
Financing cash flow 388.12%238.88K1,368.62%645.29K-41.64%-118.88K256.07%89.83K4,807.40%625.4K1,097.53%48.94K-104.77%-50.87K-110.29%-83.93K319.51%25.23K-80.82%12.74K
Net cash flow
Beginning cash position 7,509.67%93.6K-99.69%1.23K325.54%186.82K1,081.15%321.81K-89.59%1.19K-99.69%1.23K4,682.74%399.79K59.78%43.9K-81.96%27.25K-94.83%11.4K
Current changes in cash 374,165.91%164.59K123.18%92.37K-118.46%-93.23K-910.31%-134.98K1,922.96%320.62K99.99%-44-201.82%-398.56K-111.46%-42.67K113.49%16.66K122.87%15.85K
End cash Position 21,669.65%258.19K7,509.67%93.6K7,509.67%93.6K325.54%186.82K1,081.15%321.81K-89.59%1.19K-99.69%1.23K-99.69%1.23K59.78%43.9K-81.96%27.25K
Free cash flow -171.96%-73.04K-9,745.40%-442.65K7.68%38.65K-3,413.49%-203.71K-1,335.60%-250.73K51.06%-26.86K98.96%-4.5K118.70%35.89K-385.76%-5.8K-85.14%20.29K
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------
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