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AAGFF AFTERMATH SILVER LTD

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  • 0.304600
  • -0.017400-5.40%
15min DelayTrading May 21 11:50 ET
68.50MMarket Cap-13845P/E (TTM)

AFTERMATH SILVER LTD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Feb 29, 2024
(Q2)Nov 30, 2023
(Q1)Aug 31, 2023
(FY)May 31, 2023
(Q4)May 31, 2023
(Q3)Feb 28, 2023
(Q2)Nov 30, 2022
(Q1)Aug 31, 2022
(FY)May 31, 2022
(Q4)May 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-6.02%-1.18M
11.93%-1.29M
12.37%-1.23M
3.55%-5.68M
27.60%-1.69M
50.73%-1.12M
-104.23%-1.47M
-146.23%-1.41M
-54.13%-5.89M
-90.41%-2.33M
Net income from continuing operations
25.10%-1.33M
8.86%-1.78M
21.37%-1.69M
3.10%-8.5M
11.27%-2.62M
33.43%-1.78M
-48.66%-1.95M
-17.28%-2.15M
-27.13%-8.77M
-87.11%-2.95M
Operating gains losses
-105.83%-4.39K
-90.83%25.88K
-108.89%-28.8K
34.47%681.2K
99.04%-334
-70.57%75.32K
260.10%282.29K
-29.85%323.92K
167.76%506.57K
---34.79K
Depreciation and amortization
-24.80%3.24K
-26.08%3.08K
-21.06%3.04K
160.43%16.8K
-25.84%4.47K
922.27%4.31K
--4.16K
--3.86K
--6.45K
--6.03K
Other non cash items
-28.98%196.55K
-34.73%193.94K
-26.86%195.25K
12.19%1.3M
74.90%455.76K
9.18%276.74K
-9.04%297.14K
-15.25%266.96K
123.03%1.16M
-56.36%260.58K
Change In working capital
-2,364.85%-54.76K
257.98%170.98K
-95.01%6.6K
-141.93%-176.05K
-160.03%-202.48K
101.22%2.42K
-143.97%-108.23K
275.85%132.23K
311.35%419.91K
262.59%337.3K
-Change in receivables
233.78%5.23K
633.77%20.16K
-163.82%-9.32K
43.91%-3.21K
-107.62%-15.61K
100.71%1.57K
-112.52%-3.78K
178.32%14.61K
-131.05%-5.72K
7,254.56%204.84K
-Change in prepaid assets
61.16%-15.4K
18.92%93.66K
18,129.12%90.78K
-6,098.04%-91.92K
-113.80%-131.53K
-991.85%-39.65K
209.33%78.76K
-98.70%498
93.09%-1.48K
-294.73%-61.52K
-Change in payables and accrued expense
-210.12%-44.59K
131.20%57.16K
-163.91%-74.86K
-118.95%-80.93K
-128.53%-55.34K
50.07%40.5K
-196.16%-183.21K
649.67%117.13K
318.32%427.11K
202.64%193.98K
Cash from discontinued investing activities
Operating cash flow
-6.02%-1.18M
11.93%-1.29M
12.37%-1.23M
3.55%-5.68M
27.60%-1.69M
50.73%-1.12M
-104.23%-1.47M
-146.23%-1.41M
-54.13%-5.89M
-90.41%-2.33M
Investing cash flow
Cash flow from continuing investing activities
106.82%40.48K
142.07%44.57K
79.57%-214.07K
-69.80%-5.21M
-350,858.46%-3.46M
-859.63%-593.63K
96.48%-105.94K
-1.05M
41.17%-3.07M
99.94%-987
Net PPE purchase and sale
88.28%-6.07K
--0
99.84%-1.64K
-1,818.36%-1.21M
--0
-101.76%-51.74K
96.48%-105.94K
---1.05M
98.80%-62.85K
99.94%-987
Net other investing changes
--216.49K
--44.57K
---212.43K
-33.25%-4.01M
----
----
----
----
---3.01M
--0
Cash from discontinued investing activities
Investing cash flow
106.82%40.48K
142.07%44.57K
79.57%-214.07K
-69.80%-5.21M
-350,858.46%-3.46M
-859.63%-593.63K
96.48%-105.94K
---1.05M
41.17%-3.07M
99.94%-987
Financing cash flow
Cash flow from continuing financing activities
0
0
0
25,463.55%12.16M
10,810.55%8.24M
-114.43%-9.74K
43,393.81%3.91M
-81.25%9K
-99.73%47.55K
-258.50%-76.95K
Net issuance payments of debt
--0
----
----
-172.48%-817.43K
0.00%-300K
--0
----
----
-500.00%-300K
---300K
Net common stock issuance
--0
----
----
--12.39M
--8.25M
--0
----
----
--0
--0
Proceeds from stock option exercised by employees
--0
--0
--0
237.95%1.17M
243.91%767.1K
--0
4,327.20%398.45K
-81.25%9K
-77.80%347.55K
126.33%223.05K
Net other financing activities
----
----
----
---593.58K
---471.7K
---9.74K
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
--0
--0
--0
25,463.55%12.16M
10,810.55%8.24M
-114.43%-9.74K
43,393.81%3.91M
-81.25%9K
-99.73%47.55K
-258.50%-76.95K
Net cash flow
Beginning cash position
-48.76%1.39M
590.88%2.64M
44.66%4.09M
-75.91%2.83M
-80.88%1M
-63.70%2.72M
-96.59%382.73K
-75.91%2.83M
295.79%11.74M
-64.04%5.24M
Current changes in cash
33.51%-1.14M
-153.43%-1.25M
40.86%-1.45M
114.18%1.26M
228.24%3.09M
23.93%-1.72M
162.93%2.34M
-367.57%-2.44M
-201.58%-8.91M
14.74%-2.41M
End cash Position
-74.96%250.68K
-48.76%1.39M
590.88%2.64M
44.66%4.09M
44.66%4.09M
-80.88%1M
-63.70%2.72M
-96.59%382.73K
-75.91%2.83M
-75.91%2.83M
Free cash flow
-1.85%-1.19M
17.85%-1.29M
49.73%-1.23M
-15.69%-6.89M
27.63%-1.69M
-272.60%-1.17M
57.72%-1.58M
-329.83%-2.45M
34.14%-5.95M
18.86%-2.33M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Feb 29, 2024(Q2)Nov 30, 2023(Q1)Aug 31, 2023(FY)May 31, 2023(Q4)May 31, 2023(Q3)Feb 28, 2023(Q2)Nov 30, 2022(Q1)Aug 31, 2022(FY)May 31, 2022(Q4)May 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -6.02%-1.18M11.93%-1.29M12.37%-1.23M3.55%-5.68M27.60%-1.69M50.73%-1.12M-104.23%-1.47M-146.23%-1.41M-54.13%-5.89M-90.41%-2.33M
Net income from continuing operations 25.10%-1.33M8.86%-1.78M21.37%-1.69M3.10%-8.5M11.27%-2.62M33.43%-1.78M-48.66%-1.95M-17.28%-2.15M-27.13%-8.77M-87.11%-2.95M
Operating gains losses -105.83%-4.39K-90.83%25.88K-108.89%-28.8K34.47%681.2K99.04%-334-70.57%75.32K260.10%282.29K-29.85%323.92K167.76%506.57K---34.79K
Depreciation and amortization -24.80%3.24K-26.08%3.08K-21.06%3.04K160.43%16.8K-25.84%4.47K922.27%4.31K--4.16K--3.86K--6.45K--6.03K
Other non cash items -28.98%196.55K-34.73%193.94K-26.86%195.25K12.19%1.3M74.90%455.76K9.18%276.74K-9.04%297.14K-15.25%266.96K123.03%1.16M-56.36%260.58K
Change In working capital -2,364.85%-54.76K257.98%170.98K-95.01%6.6K-141.93%-176.05K-160.03%-202.48K101.22%2.42K-143.97%-108.23K275.85%132.23K311.35%419.91K262.59%337.3K
-Change in receivables 233.78%5.23K633.77%20.16K-163.82%-9.32K43.91%-3.21K-107.62%-15.61K100.71%1.57K-112.52%-3.78K178.32%14.61K-131.05%-5.72K7,254.56%204.84K
-Change in prepaid assets 61.16%-15.4K18.92%93.66K18,129.12%90.78K-6,098.04%-91.92K-113.80%-131.53K-991.85%-39.65K209.33%78.76K-98.70%49893.09%-1.48K-294.73%-61.52K
-Change in payables and accrued expense -210.12%-44.59K131.20%57.16K-163.91%-74.86K-118.95%-80.93K-128.53%-55.34K50.07%40.5K-196.16%-183.21K649.67%117.13K318.32%427.11K202.64%193.98K
Cash from discontinued investing activities
Operating cash flow -6.02%-1.18M11.93%-1.29M12.37%-1.23M3.55%-5.68M27.60%-1.69M50.73%-1.12M-104.23%-1.47M-146.23%-1.41M-54.13%-5.89M-90.41%-2.33M
Investing cash flow
Cash flow from continuing investing activities 106.82%40.48K142.07%44.57K79.57%-214.07K-69.80%-5.21M-350,858.46%-3.46M-859.63%-593.63K96.48%-105.94K-1.05M41.17%-3.07M99.94%-987
Net PPE purchase and sale 88.28%-6.07K--099.84%-1.64K-1,818.36%-1.21M--0-101.76%-51.74K96.48%-105.94K---1.05M98.80%-62.85K99.94%-987
Net other investing changes --216.49K--44.57K---212.43K-33.25%-4.01M-------------------3.01M--0
Cash from discontinued investing activities
Investing cash flow 106.82%40.48K142.07%44.57K79.57%-214.07K-69.80%-5.21M-350,858.46%-3.46M-859.63%-593.63K96.48%-105.94K---1.05M41.17%-3.07M99.94%-987
Financing cash flow
Cash flow from continuing financing activities 00025,463.55%12.16M10,810.55%8.24M-114.43%-9.74K43,393.81%3.91M-81.25%9K-99.73%47.55K-258.50%-76.95K
Net issuance payments of debt --0---------172.48%-817.43K0.00%-300K--0---------500.00%-300K---300K
Net common stock issuance --0----------12.39M--8.25M--0----------0--0
Proceeds from stock option exercised by employees --0--0--0237.95%1.17M243.91%767.1K--04,327.20%398.45K-81.25%9K-77.80%347.55K126.33%223.05K
Net other financing activities ---------------593.58K---471.7K---9.74K----------------
Cash from discontinued financing activities
Financing cash flow --0--0--025,463.55%12.16M10,810.55%8.24M-114.43%-9.74K43,393.81%3.91M-81.25%9K-99.73%47.55K-258.50%-76.95K
Net cash flow
Beginning cash position -48.76%1.39M590.88%2.64M44.66%4.09M-75.91%2.83M-80.88%1M-63.70%2.72M-96.59%382.73K-75.91%2.83M295.79%11.74M-64.04%5.24M
Current changes in cash 33.51%-1.14M-153.43%-1.25M40.86%-1.45M114.18%1.26M228.24%3.09M23.93%-1.72M162.93%2.34M-367.57%-2.44M-201.58%-8.91M14.74%-2.41M
End cash Position -74.96%250.68K-48.76%1.39M590.88%2.64M44.66%4.09M44.66%4.09M-80.88%1M-63.70%2.72M-96.59%382.73K-75.91%2.83M-75.91%2.83M
Free cash flow -1.85%-1.19M17.85%-1.29M49.73%-1.23M-15.69%-6.89M27.63%-1.69M-272.60%-1.17M57.72%-1.58M-329.83%-2.45M34.14%-5.95M18.86%-2.33M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

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