CA Stock MarketDetailed Quotes

SVB Silver Bull Resources Inc

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  • 0.155
  • +0.015+10.71%
15min DelayMarket Closed Jul 5 16:00 ET
7.34MMarket Cap-4558P/E (TTM)

Silver Bull Resources Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Apr 30, 2024
(Q1)Jan 31, 2024
(FY)Oct 31, 2023
(Q4)Oct 31, 2023
(Q3)Jul 31, 2023
(Q2)Apr 30, 2023
(Q1)Jan 31, 2023
(FY)Oct 31, 2022
(Q4)Oct 31, 2022
(Q3)Jul 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-10.09%447.58K
-34.37%489.5K
13.73%1.01M
13.73%1.01M
-61.83%241.21K
-33.93%497.78K
-15.83%745.81K
-34.63%886.73K
-34.63%886.73K
4.52%631.93K
-Cash and cash equivalents
-10.09%447.58K
-34.37%489.5K
13.73%1.01M
13.73%1.01M
-61.83%241.21K
470.18%497.78K
244.59%745.81K
367.67%886.73K
367.67%886.73K
4.52%631.93K
-Accounts receivable
--222.36K
--209.68K
--140.1K
--140.1K
----
----
----
--0
--0
----
-Due from related parties current
5,489.83%135.72K
477.47%62.84K
149.41%57.85K
149.41%57.85K
--2.79K
--2.43K
--10.88K
--23.2K
--23.2K
----
Total current assets
53.44%831.53K
0.36%800.39K
30.60%1.26M
30.60%1.26M
-58.24%272.65K
-32.37%541.91K
-18.73%797.52K
-42.74%962.3K
-42.74%962.3K
-78.71%652.89K
Non current assets
-Accumulated depreciation
1.39%-690.28K
-1.64%-707.73K
-1.82%-705.28K
-1.82%-705.28K
-2.20%-702.84K
-2.52%-699.99K
-2.81%-696.32K
-3.06%-692.65K
-3.06%-692.65K
-0.79%-687.73K
-Long term equity investment
----
----
----
----
----
----
-4.73%44.94K
-9.27%43.96K
-9.27%43.96K
-2.82%46.79K
-Goodwill
0.00%5M
0.00%5M
-0.31%5M
-0.31%5M
-0.31%5M
-0.31%5M
-29.30%5M
-29.08%5.02M
-29.08%5.02M
-29.08%5.02M
Regulatory assets
4,038.81%360.7K
1,847.28%276.83K
682.31%203.64K
682.31%203.64K
334.28%7.94K
33.50%8.72K
-15.95%14.22K
-79.68%26.03K
-79.68%26.03K
-99.92%1.83K
Non current deferred assets
-19.47%108.42K
-16.83%106.52K
-20.80%100.61K
-20.80%100.61K
-10.46%109.71K
9.67%134.64K
7.10%128.07K
--127.04K
--127.04K
--122.54K
Total assets
----
----
----
----
----
----
----
----
----
--0
Liabilities
Current liabilities
Current debt and capital lease obligation
----
----
--43.26K
--43.26K
--45.53K
--44.19K
----
----
----
----
-Current debt
----
----
--43.26K
--43.26K
--45.53K
--44.19K
----
----
----
----
-accounts payable
-62.55%117.55K
-64.67%84.9K
224.27%517.49K
224.27%517.49K
130.64%332.39K
2.45%313.84K
33.88%240.3K
-65.74%159.59K
-65.74%159.59K
-78.03%144.12K
-Total tax payable
--145.06K
229.68%148.17K
77.64%78.09K
77.64%78.09K
--0
--0
-4.73%44.94K
-9.27%43.96K
-9.27%43.96K
-2.82%46.79K
-Due to related parties current
----
----
----
----
----
----
----
----
----
--437
Current accrued expenses
25.41%344.92K
65.60%340.27K
43.98%258.59K
43.98%258.59K
132.82%418.71K
34.88%275.03K
-42.30%205.47K
-44.64%179.61K
-44.64%179.61K
-63.98%179.85K
Current liabilities
-26.88%463.97K
-4.58%429.16K
140.31%822.34K
140.31%822.34K
144.08%799.14K
21.97%634.57K
-16.34%449.77K
-56.76%342.19K
-56.76%342.19K
-71.68%327.4K
Non current liabilities
Non current accrued expenses
-6.65%127.17K
-8.15%128.49K
-8.80%130.94K
-8.80%130.94K
-10.18%133.38K
-11.20%136.23K
-11.96%139.9K
-12.53%143.57K
-12.53%143.57K
-47.71%148.49K
Derivative product liabilities
--145.06K
--148.17K
--78.09K
--78.09K
----
----
----
--0
--0
----
Long term provisions
----
----
----
----
----
----
-4.73%44.94K
-9.27%43.96K
-9.27%43.96K
-2.82%46.79K
Total non current liabilities
-4.03%609.02K
16.70%577.33K
133.18%900.42K
133.18%900.42K
113.56%799.14K
11.88%634.57K
-15.40%494.71K
-54.02%386.15K
-54.02%386.15K
-68.93%374.19K
Shareholders'equity
Share capital
4.82%2.54M
5.09%2.54M
5.09%2.54M
5.09%2.54M
0.26%2.42M
0.26%2.42M
0.21%2.42M
0.21%2.42M
0.21%2.42M
0.30%2.42M
-common stock
4.82%2.54M
5.09%2.54M
5.09%2.54M
5.09%2.54M
0.26%2.42M
0.26%2.42M
0.21%2.42M
0.21%2.42M
0.21%2.42M
0.30%2.42M
Additional paid-in capital
0.57%141.69M
0.61%141.67M
0.61%141.6M
0.61%141.6M
0.51%140.9M
0.54%140.88M
0.72%140.8M
0.68%140.75M
0.68%140.75M
0.38%140.18M
Gains losses not affecting retained earnings
0.00%92.25K
0.00%92.25K
0.00%92.25K
0.00%92.25K
0.00%92.25K
0.00%92.25K
0.00%92.25K
0.00%92.25K
0.00%92.25K
0.00%92.25K
Total equity
4.37%6.07M
-0.50%6.04M
3.84%6.49M
3.84%6.49M
-7.13%5.52M
-4.60%5.82M
-27.20%6.07M
-29.92%6.25M
-29.92%6.25M
-43.01%5.94M
(Q2)Apr 30, 2024(Q1)Jan 31, 2024(FY)Oct 31, 2023(Q4)Oct 31, 2023(Q3)Jul 31, 2023(Q2)Apr 30, 2023(Q1)Jan 31, 2023(FY)Oct 31, 2022(Q4)Oct 31, 2022(Q3)Jul 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -10.09%447.58K-34.37%489.5K13.73%1.01M13.73%1.01M-61.83%241.21K-33.93%497.78K-15.83%745.81K-34.63%886.73K-34.63%886.73K4.52%631.93K
-Cash and cash equivalents -10.09%447.58K-34.37%489.5K13.73%1.01M13.73%1.01M-61.83%241.21K470.18%497.78K244.59%745.81K367.67%886.73K367.67%886.73K4.52%631.93K
-Accounts receivable --222.36K--209.68K--140.1K--140.1K--------------0--0----
-Due from related parties current 5,489.83%135.72K477.47%62.84K149.41%57.85K149.41%57.85K--2.79K--2.43K--10.88K--23.2K--23.2K----
Total current assets 53.44%831.53K0.36%800.39K30.60%1.26M30.60%1.26M-58.24%272.65K-32.37%541.91K-18.73%797.52K-42.74%962.3K-42.74%962.3K-78.71%652.89K
Non current assets
-Accumulated depreciation 1.39%-690.28K-1.64%-707.73K-1.82%-705.28K-1.82%-705.28K-2.20%-702.84K-2.52%-699.99K-2.81%-696.32K-3.06%-692.65K-3.06%-692.65K-0.79%-687.73K
-Long term equity investment -------------------------4.73%44.94K-9.27%43.96K-9.27%43.96K-2.82%46.79K
-Goodwill 0.00%5M0.00%5M-0.31%5M-0.31%5M-0.31%5M-0.31%5M-29.30%5M-29.08%5.02M-29.08%5.02M-29.08%5.02M
Regulatory assets 4,038.81%360.7K1,847.28%276.83K682.31%203.64K682.31%203.64K334.28%7.94K33.50%8.72K-15.95%14.22K-79.68%26.03K-79.68%26.03K-99.92%1.83K
Non current deferred assets -19.47%108.42K-16.83%106.52K-20.80%100.61K-20.80%100.61K-10.46%109.71K9.67%134.64K7.10%128.07K--127.04K--127.04K--122.54K
Total assets --------------------------------------0
Liabilities
Current liabilities
Current debt and capital lease obligation ----------43.26K--43.26K--45.53K--44.19K----------------
-Current debt ----------43.26K--43.26K--45.53K--44.19K----------------
-accounts payable -62.55%117.55K-64.67%84.9K224.27%517.49K224.27%517.49K130.64%332.39K2.45%313.84K33.88%240.3K-65.74%159.59K-65.74%159.59K-78.03%144.12K
-Total tax payable --145.06K229.68%148.17K77.64%78.09K77.64%78.09K--0--0-4.73%44.94K-9.27%43.96K-9.27%43.96K-2.82%46.79K
-Due to related parties current --------------------------------------437
Current accrued expenses 25.41%344.92K65.60%340.27K43.98%258.59K43.98%258.59K132.82%418.71K34.88%275.03K-42.30%205.47K-44.64%179.61K-44.64%179.61K-63.98%179.85K
Current liabilities -26.88%463.97K-4.58%429.16K140.31%822.34K140.31%822.34K144.08%799.14K21.97%634.57K-16.34%449.77K-56.76%342.19K-56.76%342.19K-71.68%327.4K
Non current liabilities
Non current accrued expenses -6.65%127.17K-8.15%128.49K-8.80%130.94K-8.80%130.94K-10.18%133.38K-11.20%136.23K-11.96%139.9K-12.53%143.57K-12.53%143.57K-47.71%148.49K
Derivative product liabilities --145.06K--148.17K--78.09K--78.09K--------------0--0----
Long term provisions -------------------------4.73%44.94K-9.27%43.96K-9.27%43.96K-2.82%46.79K
Total non current liabilities -4.03%609.02K16.70%577.33K133.18%900.42K133.18%900.42K113.56%799.14K11.88%634.57K-15.40%494.71K-54.02%386.15K-54.02%386.15K-68.93%374.19K
Shareholders'equity
Share capital 4.82%2.54M5.09%2.54M5.09%2.54M5.09%2.54M0.26%2.42M0.26%2.42M0.21%2.42M0.21%2.42M0.21%2.42M0.30%2.42M
-common stock 4.82%2.54M5.09%2.54M5.09%2.54M5.09%2.54M0.26%2.42M0.26%2.42M0.21%2.42M0.21%2.42M0.21%2.42M0.30%2.42M
Additional paid-in capital 0.57%141.69M0.61%141.67M0.61%141.6M0.61%141.6M0.51%140.9M0.54%140.88M0.72%140.8M0.68%140.75M0.68%140.75M0.38%140.18M
Gains losses not affecting retained earnings 0.00%92.25K0.00%92.25K0.00%92.25K0.00%92.25K0.00%92.25K0.00%92.25K0.00%92.25K0.00%92.25K0.00%92.25K0.00%92.25K
Total equity 4.37%6.07M-0.50%6.04M3.84%6.49M3.84%6.49M-7.13%5.52M-4.60%5.82M-27.20%6.07M-29.92%6.25M-29.92%6.25M-43.01%5.94M

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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