US Stock MarketDetailed Quotes

UUSAF KRAKEN ENERGY CORP

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  • 0.019
  • -0.001-6.00%
15min DelayClose Dec 20 16:00 ET
1.12MMarket Cap-0.38P/E (TTM)

KRAKEN ENERGY CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-83.32%684.22K
-71.78%1.48M
-71.78%1.48M
613.51%1.64M
142.68%3.03M
578.22%4.1M
-56.80%5.23M
-56.80%5.23M
5,477.78%229.19K
1,589.25%1.25M
-Cash and cash equivalents
-83.32%684.22K
-71.78%1.48M
-71.78%1.48M
613.51%1.64M
142.68%3.03M
578.22%4.1M
-56.80%5.23M
-56.80%5.23M
5,477.78%229.19K
1,589.25%1.25M
Receivables
-79.88%8.57K
-46.19%22.67K
-46.19%22.67K
-84.41%25.55K
-71.23%41.98K
-64.99%42.57K
-12.38%42.14K
-12.38%42.14K
1,006.92%163.9K
1,276.56%145.92K
-Loans receivable
--0
-52.00%16.5K
-52.00%16.5K
-52.00%16.5K
-52.00%16.5K
0.00%34.38K
--34.38K
--34.38K
--34.38K
--34.38K
-Accrued interest receivable
----
----
----
----
----
----
----
----
--116.08K
--51.2K
-Taxes receivable
4.51%8.57K
-20.50%6.17K
-20.50%6.17K
--9.05K
--25.48K
--8.2K
--7.77K
--7.77K
----
----
-Other receivables
----
----
----
----
----
----
----
----
-9.18%13.45K
469.25%60.34K
Prepaid assets
-84.03%80.09K
-81.17%106.13K
-81.17%106.13K
-57.47%181.55K
-30.26%608.65K
-9.08%501.42K
39.06%563.53K
39.06%563.53K
12.07%426.91K
--872.69K
Restricted cash
----
----
----
----
----
----
----
----
159.48%6.5M
--8M
Total current assets
-83.37%772.87K
-72.50%1.61M
-72.50%1.61M
-74.83%1.84M
-64.17%3.68M
-58.80%4.65M
-53.54%5.84M
-53.54%5.84M
151.99%7.32M
12,055.46%10.27M
Non current assets
Net PPE
2.08%22.7M
5.54%22.56M
5.54%22.56M
8.89%22.34M
6.31%21.75M
8.97%22.24M
6.18%21.38M
6.18%21.38M
342.18%20.51M
11,355.22%20.46M
Total non current assets
2.08%22.7M
5.54%22.56M
5.54%22.56M
8.89%22.34M
6.31%21.75M
8.97%22.24M
6.18%21.38M
6.18%21.38M
342.18%20.51M
11,355.22%20.46M
Total assets
-12.69%23.47M
-11.20%24.17M
-11.20%24.17M
-13.13%24.18M
-17.24%25.43M
-15.15%26.89M
-16.76%27.22M
-16.76%27.22M
268.95%27.83M
11,580.06%30.72M
Liabilities
Current liabilities
Current debt and capital lease obligation
----
----
----
----
----
----
----
----
----
--34.38K
-Current debt
----
----
----
----
----
----
----
----
----
--34.38K
Current liabilities
-76.35%53.43K
-37.28%120.77K
-37.28%120.77K
-53.23%334.48K
58.50%906.13K
131.77%225.95K
-49.23%192.55K
-49.23%192.55K
-92.04%715.17K
894.17%571.69K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
-76.35%53.43K
-37.28%120.77K
-37.28%120.77K
-53.23%334.48K
58.50%906.13K
131.77%225.95K
-49.23%192.55K
-49.23%192.55K
-92.04%715.17K
894.17%571.69K
Shareholders'equity
Share capital
1.04%41.83M
1.06%41.82M
1.06%41.82M
0.11%41.39M
0.11%41.39M
0.11%41.39M
0.17%41.38M
0.17%41.38M
738.81%41.35M
8,181.36%41.35M
-common stock
1.04%41.83M
1.06%41.82M
1.06%41.82M
0.11%41.39M
0.11%41.39M
0.11%41.39M
0.17%41.38M
0.17%41.38M
738.81%41.35M
8,181.36%41.35M
Retained earnings
-18.90%-20.8M
-20.49%-20.49M
-20.49%-20.49M
-11.33%-20.36M
-22.46%-19.15M
-33.38%-17.5M
-38.01%-17M
-38.01%-17M
-153.67%-18.29M
-4,824.81%-15.63M
Gains losses not affecting retained earnings
-13.15%2.4M
2.62%2.72M
2.62%2.72M
-30.72%2.81M
-48.81%2.27M
-17.75%2.76M
-20.43%2.65M
-20.43%2.65M
385.14%4.06M
18,624.29%4.44M
Total stockholders'equity
-12.15%23.42M
-11.01%24.05M
-11.01%24.05M
-12.07%23.85M
-18.68%24.52M
-15.60%26.66M
-16.38%27.02M
-16.38%27.02M
1,978.61%27.12M
14,569.77%30.15M
Total equity
-12.15%23.42M
-11.01%24.05M
-11.01%24.05M
-12.07%23.85M
-18.68%24.52M
-15.60%26.66M
-16.38%27.02M
-16.38%27.02M
1,978.61%27.12M
14,569.77%30.15M
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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(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -83.32%684.22K-71.78%1.48M-71.78%1.48M613.51%1.64M142.68%3.03M578.22%4.1M-56.80%5.23M-56.80%5.23M5,477.78%229.19K1,589.25%1.25M
-Cash and cash equivalents -83.32%684.22K-71.78%1.48M-71.78%1.48M613.51%1.64M142.68%3.03M578.22%4.1M-56.80%5.23M-56.80%5.23M5,477.78%229.19K1,589.25%1.25M
Receivables -79.88%8.57K-46.19%22.67K-46.19%22.67K-84.41%25.55K-71.23%41.98K-64.99%42.57K-12.38%42.14K-12.38%42.14K1,006.92%163.9K1,276.56%145.92K
-Loans receivable --0-52.00%16.5K-52.00%16.5K-52.00%16.5K-52.00%16.5K0.00%34.38K--34.38K--34.38K--34.38K--34.38K
-Accrued interest receivable ----------------------------------116.08K--51.2K
-Taxes receivable 4.51%8.57K-20.50%6.17K-20.50%6.17K--9.05K--25.48K--8.2K--7.77K--7.77K--------
-Other receivables ---------------------------------9.18%13.45K469.25%60.34K
Prepaid assets -84.03%80.09K-81.17%106.13K-81.17%106.13K-57.47%181.55K-30.26%608.65K-9.08%501.42K39.06%563.53K39.06%563.53K12.07%426.91K--872.69K
Restricted cash --------------------------------159.48%6.5M--8M
Total current assets -83.37%772.87K-72.50%1.61M-72.50%1.61M-74.83%1.84M-64.17%3.68M-58.80%4.65M-53.54%5.84M-53.54%5.84M151.99%7.32M12,055.46%10.27M
Non current assets
Net PPE 2.08%22.7M5.54%22.56M5.54%22.56M8.89%22.34M6.31%21.75M8.97%22.24M6.18%21.38M6.18%21.38M342.18%20.51M11,355.22%20.46M
Total non current assets 2.08%22.7M5.54%22.56M5.54%22.56M8.89%22.34M6.31%21.75M8.97%22.24M6.18%21.38M6.18%21.38M342.18%20.51M11,355.22%20.46M
Total assets -12.69%23.47M-11.20%24.17M-11.20%24.17M-13.13%24.18M-17.24%25.43M-15.15%26.89M-16.76%27.22M-16.76%27.22M268.95%27.83M11,580.06%30.72M
Liabilities
Current liabilities
Current debt and capital lease obligation --------------------------------------34.38K
-Current debt --------------------------------------34.38K
Current liabilities -76.35%53.43K-37.28%120.77K-37.28%120.77K-53.23%334.48K58.50%906.13K131.77%225.95K-49.23%192.55K-49.23%192.55K-92.04%715.17K894.17%571.69K
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities -76.35%53.43K-37.28%120.77K-37.28%120.77K-53.23%334.48K58.50%906.13K131.77%225.95K-49.23%192.55K-49.23%192.55K-92.04%715.17K894.17%571.69K
Shareholders'equity
Share capital 1.04%41.83M1.06%41.82M1.06%41.82M0.11%41.39M0.11%41.39M0.11%41.39M0.17%41.38M0.17%41.38M738.81%41.35M8,181.36%41.35M
-common stock 1.04%41.83M1.06%41.82M1.06%41.82M0.11%41.39M0.11%41.39M0.11%41.39M0.17%41.38M0.17%41.38M738.81%41.35M8,181.36%41.35M
Retained earnings -18.90%-20.8M-20.49%-20.49M-20.49%-20.49M-11.33%-20.36M-22.46%-19.15M-33.38%-17.5M-38.01%-17M-38.01%-17M-153.67%-18.29M-4,824.81%-15.63M
Gains losses not affecting retained earnings -13.15%2.4M2.62%2.72M2.62%2.72M-30.72%2.81M-48.81%2.27M-17.75%2.76M-20.43%2.65M-20.43%2.65M385.14%4.06M18,624.29%4.44M
Total stockholders'equity -12.15%23.42M-11.01%24.05M-11.01%24.05M-12.07%23.85M-18.68%24.52M-15.60%26.66M-16.38%27.02M-16.38%27.02M1,978.61%27.12M14,569.77%30.15M
Total equity -12.15%23.42M-11.01%24.05M-11.01%24.05M-12.07%23.85M-18.68%24.52M-15.60%26.66M-16.38%27.02M-16.38%27.02M1,978.61%27.12M14,569.77%30.15M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion with Explanatory Notes----------------
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