US Stock MarketDetailed Quotes

ABBRF ABRASILVER RESOURCE CORP

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  • 0.328300
  • -0.001400-0.42%
15min DelayClose May 7 16:00 ET
204.86MMarket Cap-14922P/E (TTM)

ABRASILVER RESOURCE CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-69.68%4.8M
-69.68%4.8M
-38.52%6.61M
-16.72%10.9M
-36.96%10.67M
-16.79%15.82M
-16.79%15.82M
-45.88%10.75M
-38.22%13.09M
-4.46%16.93M
-Cash and cash equivalents
-79.76%2.8M
-79.76%2.8M
-57.12%4.61M
-47.28%6.9M
-48.78%8.67M
-27.31%13.82M
-27.31%13.82M
-45.88%10.75M
-38.22%13.09M
-4.46%16.93M
-Short-term investments
0.00%2M
0.00%2M
--2M
--4M
--2M
--2M
--2M
----
----
----
Receivables
49.51%443.22K
49.51%443.22K
236.51%412.16K
236.84%370.8K
155.76%305.36K
74.47%296.44K
74.47%296.44K
-21.76%122.48K
-30.80%110.08K
-49.53%119.39K
-Accounts receivable
49.51%443.22K
49.51%443.22K
236.51%412.16K
236.84%370.8K
155.76%305.36K
74.47%296.44K
74.47%296.44K
-21.76%122.48K
-30.80%110.08K
-49.53%119.39K
Prepaid assets
-48.67%50.18K
-48.67%50.18K
-29.53%56.33K
-31.85%71.08K
-68.31%44.71K
-42.25%97.77K
-42.25%97.77K
-42.94%79.94K
19.03%104.3K
125.14%141.08K
Total current assets
-67.38%5.29M
-67.38%5.29M
-35.38%7.08M
-14.75%11.34M
-35.88%11.02M
-16.21%16.22M
-16.21%16.22M
-45.67%10.95M
-37.93%13.31M
-4.60%17.19M
Non current assets
Net PPE
6.39%24.38M
6.39%24.38M
24.46%24.92M
28.99%22.93M
41.74%23.44M
27.52%22.91M
27.52%22.91M
7.21%20.02M
0.27%17.78M
-3.40%16.54M
-Gross PPE
----
----
----
----
----
----
----
7.21%20.02M
0.27%17.78M
-3.40%16.54M
Total non current assets
6.39%24.38M
6.39%24.38M
24.46%24.92M
28.99%22.93M
41.74%23.44M
27.52%22.91M
27.52%22.91M
7.21%20.02M
0.27%17.78M
-3.40%16.54M
Total assets
-24.18%29.67M
-24.18%29.67M
3.30%32M
10.27%34.28M
2.19%34.46M
4.84%39.13M
4.84%39.13M
-20.24%30.97M
-20.64%31.08M
-4.01%33.73M
Liabilities
Current liabilities
Current debt and capital lease obligation
----
----
----
-44.97%3.14K
9.47%7.92K
201.88%12.53K
201.88%12.53K
-80.79%2.36K
-61.49%5.7K
-63.01%7.24K
-Current capital lease obligation
--0
--0
--0
-44.97%3.14K
9.47%7.92K
201.88%12.53K
201.88%12.53K
-80.79%2.36K
-61.49%5.7K
-63.01%7.24K
Current liabilities
-14.55%789.1K
-14.55%789.1K
-11.37%376.31K
239.71%901.58K
87.80%804.52K
62.91%923.51K
62.91%923.51K
67.01%424.61K
2.24%265.4K
48.49%428.4K
Non current liabilities
Long term debt and capital lease obligation
----
----
----
----
----
----
----
--0
-84.40%3.05K
-69.30%7.31K
-Long term capital lease obligation
----
----
----
----
----
----
----
--0
-84.40%3.05K
-69.30%7.31K
Total non current liabilities
12.30%7.42M
12.30%7.42M
--7.32M
226,573.02%6.92M
93,330.18%6.83M
22.87%6.61M
22.87%6.61M
--0
-84.40%3.05K
-69.30%7.31K
Total liabilities
9.01%8.21M
9.01%8.21M
1,713.14%7.7M
2,814.57%7.82M
1,652.97%7.64M
26.69%7.53M
26.69%7.53M
57.12%424.61K
-3.84%268.45K
39.50%435.72K
Shareholders'equity
Share capital
11.58%93.2M
11.58%93.2M
30.84%92.65M
33.74%92.59M
25.16%84.93M
26.30%83.53M
26.30%83.53M
11.57%70.81M
11.24%69.23M
23.34%67.85M
-common stock
11.58%93.2M
11.58%93.2M
30.84%92.65M
33.74%92.59M
25.16%84.93M
26.30%83.53M
26.30%83.53M
11.57%70.81M
11.24%69.23M
23.34%67.85M
Retained earnings
-30.99%-79.43M
-30.99%-79.43M
-27.37%-76.98M
-35.39%-73.88M
-40.06%-66.85M
-52.61%-60.64M
-52.61%-60.64M
-68.63%-60.44M
-69.25%-54.57M
-69.14%-47.73M
Gains losses not affecting retained earnings
-11.68%7.69M
-11.68%7.69M
-94.12%1.19M
-49.84%7.74M
-32.56%8.75M
75.01%8.7M
75.01%8.7M
84.75%20.18M
73.52%15.43M
63.89%12.98M
Other equity interest
----
----
--7.44M
----
----
----
----
----
--716.86K
72.93%190.5K
Total stockholders'equity
-32.09%21.46M
-32.09%21.46M
-20.46%24.3M
-14.16%26.45M
-19.42%26.83M
0.70%31.6M
0.70%31.6M
-20.78%30.55M
-20.76%30.82M
-4.40%33.29M
Total equity
-32.09%21.46M
-32.09%21.46M
-20.46%24.3M
-14.16%26.45M
-19.42%26.83M
0.70%31.6M
0.70%31.6M
-20.78%30.55M
-20.76%30.82M
-4.40%33.29M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -69.68%4.8M-69.68%4.8M-38.52%6.61M-16.72%10.9M-36.96%10.67M-16.79%15.82M-16.79%15.82M-45.88%10.75M-38.22%13.09M-4.46%16.93M
-Cash and cash equivalents -79.76%2.8M-79.76%2.8M-57.12%4.61M-47.28%6.9M-48.78%8.67M-27.31%13.82M-27.31%13.82M-45.88%10.75M-38.22%13.09M-4.46%16.93M
-Short-term investments 0.00%2M0.00%2M--2M--4M--2M--2M--2M------------
Receivables 49.51%443.22K49.51%443.22K236.51%412.16K236.84%370.8K155.76%305.36K74.47%296.44K74.47%296.44K-21.76%122.48K-30.80%110.08K-49.53%119.39K
-Accounts receivable 49.51%443.22K49.51%443.22K236.51%412.16K236.84%370.8K155.76%305.36K74.47%296.44K74.47%296.44K-21.76%122.48K-30.80%110.08K-49.53%119.39K
Prepaid assets -48.67%50.18K-48.67%50.18K-29.53%56.33K-31.85%71.08K-68.31%44.71K-42.25%97.77K-42.25%97.77K-42.94%79.94K19.03%104.3K125.14%141.08K
Total current assets -67.38%5.29M-67.38%5.29M-35.38%7.08M-14.75%11.34M-35.88%11.02M-16.21%16.22M-16.21%16.22M-45.67%10.95M-37.93%13.31M-4.60%17.19M
Non current assets
Net PPE 6.39%24.38M6.39%24.38M24.46%24.92M28.99%22.93M41.74%23.44M27.52%22.91M27.52%22.91M7.21%20.02M0.27%17.78M-3.40%16.54M
-Gross PPE ----------------------------7.21%20.02M0.27%17.78M-3.40%16.54M
Total non current assets 6.39%24.38M6.39%24.38M24.46%24.92M28.99%22.93M41.74%23.44M27.52%22.91M27.52%22.91M7.21%20.02M0.27%17.78M-3.40%16.54M
Total assets -24.18%29.67M-24.18%29.67M3.30%32M10.27%34.28M2.19%34.46M4.84%39.13M4.84%39.13M-20.24%30.97M-20.64%31.08M-4.01%33.73M
Liabilities
Current liabilities
Current debt and capital lease obligation -------------44.97%3.14K9.47%7.92K201.88%12.53K201.88%12.53K-80.79%2.36K-61.49%5.7K-63.01%7.24K
-Current capital lease obligation --0--0--0-44.97%3.14K9.47%7.92K201.88%12.53K201.88%12.53K-80.79%2.36K-61.49%5.7K-63.01%7.24K
Current liabilities -14.55%789.1K-14.55%789.1K-11.37%376.31K239.71%901.58K87.80%804.52K62.91%923.51K62.91%923.51K67.01%424.61K2.24%265.4K48.49%428.4K
Non current liabilities
Long term debt and capital lease obligation ------------------------------0-84.40%3.05K-69.30%7.31K
-Long term capital lease obligation ------------------------------0-84.40%3.05K-69.30%7.31K
Total non current liabilities 12.30%7.42M12.30%7.42M--7.32M226,573.02%6.92M93,330.18%6.83M22.87%6.61M22.87%6.61M--0-84.40%3.05K-69.30%7.31K
Total liabilities 9.01%8.21M9.01%8.21M1,713.14%7.7M2,814.57%7.82M1,652.97%7.64M26.69%7.53M26.69%7.53M57.12%424.61K-3.84%268.45K39.50%435.72K
Shareholders'equity
Share capital 11.58%93.2M11.58%93.2M30.84%92.65M33.74%92.59M25.16%84.93M26.30%83.53M26.30%83.53M11.57%70.81M11.24%69.23M23.34%67.85M
-common stock 11.58%93.2M11.58%93.2M30.84%92.65M33.74%92.59M25.16%84.93M26.30%83.53M26.30%83.53M11.57%70.81M11.24%69.23M23.34%67.85M
Retained earnings -30.99%-79.43M-30.99%-79.43M-27.37%-76.98M-35.39%-73.88M-40.06%-66.85M-52.61%-60.64M-52.61%-60.64M-68.63%-60.44M-69.25%-54.57M-69.14%-47.73M
Gains losses not affecting retained earnings -11.68%7.69M-11.68%7.69M-94.12%1.19M-49.84%7.74M-32.56%8.75M75.01%8.7M75.01%8.7M84.75%20.18M73.52%15.43M63.89%12.98M
Other equity interest ----------7.44M----------------------716.86K72.93%190.5K
Total stockholders'equity -32.09%21.46M-32.09%21.46M-20.46%24.3M-14.16%26.45M-19.42%26.83M0.70%31.6M0.70%31.6M-20.78%30.55M-20.76%30.82M-4.40%33.29M
Total equity -32.09%21.46M-32.09%21.46M-20.46%24.3M-14.16%26.45M-19.42%26.83M0.70%31.6M0.70%31.6M-20.78%30.55M-20.76%30.82M-4.40%33.29M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--------

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