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BLUE SKY URANIUM CORP (BKUCF)

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  • 0.0386
  • -0.0028-6.76%
15min DelayClose May 19 14:51 ET
16.76MMarket Cap-5.51P/E (TTM)

BLUE SKY URANIUM CORP (BKUCF) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Assets
Current assets
Cash, cash equivalents and short term investments
778.00%1.93M
778.00%1.93M
-71.09%137.83K
74.65%674.81K
234.66%980.33K
-79.13%219.29K
-79.13%219.29K
-34.59%476.79K
-63.07%386.37K
-68.47%292.93K
-Cash and cash equivalents
778.00%1.93M
778.00%1.93M
-71.09%137.83K
74.65%674.81K
234.66%980.33K
-79.13%219.29K
-79.13%219.29K
-34.59%476.79K
-63.07%386.37K
-68.47%292.93K
Receivables
79.26%36.63K
79.26%36.63K
1.60%17.95K
54.73%38.54K
-14.72%13.02K
50.59%20.44K
50.59%20.44K
-46.63%17.67K
65.29%24.91K
39.01%15.27K
-Accounts receivable
79.26%36.63K
79.26%36.63K
1.60%17.95K
54.73%38.54K
-14.72%13.02K
50.59%20.44K
50.59%20.44K
-46.63%17.67K
65.29%24.91K
39.01%15.27K
Prepaid assets
10.72%141.54K
10.72%141.54K
1,150.61%314.13K
6.98%375.39K
-60.88%63.02K
117.09%127.84K
117.09%127.84K
-27.33%25.12K
619.97%350.91K
116.18%161.09K
Total current assets
472.30%2.1M
472.30%2.1M
-9.56%469.91K
42.84%1.09M
125.10%1.06M
-67.28%367.57K
-67.28%367.57K
-34.78%519.57K
-31.33%762.18K
-53.74%469.29K
Non current assets
Net PPE
80.25%604.88K
80.25%604.88K
143.68%666.88K
92.06%514.21K
67.63%351.37K
65.82%335.57K
65.82%335.57K
38.38%273.67K
99.92%267.73K
52.80%209.61K
-Gross PPE
----
----
--666.88K
--514.21K
----
----
----
----
----
----
Investments and advances
--1
--1
----
----
----
--0
--0
----
----
----
Total non current assets
80.25%604.88K
80.25%604.88K
143.68%666.88K
92.06%514.21K
67.63%351.37K
65.82%335.57K
65.82%335.57K
38.38%273.67K
99.92%267.73K
52.80%209.61K
Total assets
285.19%2.71M
285.19%2.71M
43.31%1.14M
55.64%1.6M
107.36%1.41M
-46.96%703.14K
-46.96%703.14K
-20.23%793.24K
-17.20%1.03M
-41.05%678.9K
Liabilities
Current liabilities
Current debt and capital lease obligation
----
----
----
----
--306K
--180K
--180K
----
----
----
-Current debt
----
----
----
----
--306K
--180K
--180K
----
----
----
Current liabilities
-52.82%1.05M
-52.82%1.05M
133.15%2.2M
43.72%1.7M
200.37%2.65M
140.23%2.22M
140.23%2.22M
-7.60%944.1K
15.30%1.19M
-4.94%882.31K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
-52.82%1.05M
-52.82%1.05M
133.15%2.2M
43.72%1.7M
200.37%2.65M
140.23%2.22M
140.23%2.22M
-7.60%944.1K
15.30%1.19M
-4.94%882.31K
Shareholders'equity
Share capital
8.92%47.36M
8.92%47.36M
5.33%45.77M
6.51%45.7M
3.53%43.68M
3.05%43.48M
3.05%43.48M
5.37%43.46M
4.89%42.9M
4.73%42.19M
-common stock
8.92%47.36M
8.92%47.36M
5.33%45.77M
6.51%45.7M
3.53%43.68M
3.05%43.48M
3.05%43.48M
5.37%43.46M
4.89%42.9M
4.73%42.19M
Retained earnings
-7.25%-63.27M
-7.25%-63.27M
-11.36%-64.15M
-9.40%-61.93M
-7.51%-59.79M
-7.24%-58.99M
-7.24%-58.99M
-6.65%-57.61M
-6.18%-56.61M
-6.46%-55.61M
Paid-in capital
18.49%9.04M
18.49%9.04M
30.30%9.04M
21.46%8.35M
12.12%7.63M
12.93%7.63M
12.93%7.63M
2.69%6.94M
2.14%6.87M
13.60%6.8M
Other equity interest
34.06%8.54M
34.06%8.54M
17.13%8.28M
16.56%7.79M
12.84%7.24M
-1.49%6.37M
-1.49%6.37M
17.89%7.07M
13.15%6.68M
3.71%6.42M
Total stockholders'equity
209.42%1.66M
209.42%1.66M
-605.52%-1.06M
35.22%-100.76K
-510.83%-1.24M
-478.26%-1.52M
-478.26%-1.52M
-450.23%-150.86K
-172.09%-155.53K
-191.05%-203.41K
Total equity
209.42%1.66M
209.42%1.66M
-605.52%-1.06M
35.22%-100.76K
-510.83%-1.24M
-478.26%-1.52M
-478.26%-1.52M
-450.23%-150.86K
-172.09%-155.53K
-191.05%-203.41K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Assets
Current assets
Cash, cash equivalents and short term investments 778.00%1.93M778.00%1.93M-71.09%137.83K74.65%674.81K234.66%980.33K-79.13%219.29K-79.13%219.29K-34.59%476.79K-63.07%386.37K-68.47%292.93K
-Cash and cash equivalents 778.00%1.93M778.00%1.93M-71.09%137.83K74.65%674.81K234.66%980.33K-79.13%219.29K-79.13%219.29K-34.59%476.79K-63.07%386.37K-68.47%292.93K
Receivables 79.26%36.63K79.26%36.63K1.60%17.95K54.73%38.54K-14.72%13.02K50.59%20.44K50.59%20.44K-46.63%17.67K65.29%24.91K39.01%15.27K
-Accounts receivable 79.26%36.63K79.26%36.63K1.60%17.95K54.73%38.54K-14.72%13.02K50.59%20.44K50.59%20.44K-46.63%17.67K65.29%24.91K39.01%15.27K
Prepaid assets 10.72%141.54K10.72%141.54K1,150.61%314.13K6.98%375.39K-60.88%63.02K117.09%127.84K117.09%127.84K-27.33%25.12K619.97%350.91K116.18%161.09K
Total current assets 472.30%2.1M472.30%2.1M-9.56%469.91K42.84%1.09M125.10%1.06M-67.28%367.57K-67.28%367.57K-34.78%519.57K-31.33%762.18K-53.74%469.29K
Non current assets
Net PPE 80.25%604.88K80.25%604.88K143.68%666.88K92.06%514.21K67.63%351.37K65.82%335.57K65.82%335.57K38.38%273.67K99.92%267.73K52.80%209.61K
-Gross PPE ----------666.88K--514.21K------------------------
Investments and advances --1--1--------------0--0------------
Total non current assets 80.25%604.88K80.25%604.88K143.68%666.88K92.06%514.21K67.63%351.37K65.82%335.57K65.82%335.57K38.38%273.67K99.92%267.73K52.80%209.61K
Total assets 285.19%2.71M285.19%2.71M43.31%1.14M55.64%1.6M107.36%1.41M-46.96%703.14K-46.96%703.14K-20.23%793.24K-17.20%1.03M-41.05%678.9K
Liabilities
Current liabilities
Current debt and capital lease obligation ------------------306K--180K--180K------------
-Current debt ------------------306K--180K--180K------------
Current liabilities -52.82%1.05M-52.82%1.05M133.15%2.2M43.72%1.7M200.37%2.65M140.23%2.22M140.23%2.22M-7.60%944.1K15.30%1.19M-4.94%882.31K
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities -52.82%1.05M-52.82%1.05M133.15%2.2M43.72%1.7M200.37%2.65M140.23%2.22M140.23%2.22M-7.60%944.1K15.30%1.19M-4.94%882.31K
Shareholders'equity
Share capital 8.92%47.36M8.92%47.36M5.33%45.77M6.51%45.7M3.53%43.68M3.05%43.48M3.05%43.48M5.37%43.46M4.89%42.9M4.73%42.19M
-common stock 8.92%47.36M8.92%47.36M5.33%45.77M6.51%45.7M3.53%43.68M3.05%43.48M3.05%43.48M5.37%43.46M4.89%42.9M4.73%42.19M
Retained earnings -7.25%-63.27M-7.25%-63.27M-11.36%-64.15M-9.40%-61.93M-7.51%-59.79M-7.24%-58.99M-7.24%-58.99M-6.65%-57.61M-6.18%-56.61M-6.46%-55.61M
Paid-in capital 18.49%9.04M18.49%9.04M30.30%9.04M21.46%8.35M12.12%7.63M12.93%7.63M12.93%7.63M2.69%6.94M2.14%6.87M13.60%6.8M
Other equity interest 34.06%8.54M34.06%8.54M17.13%8.28M16.56%7.79M12.84%7.24M-1.49%6.37M-1.49%6.37M17.89%7.07M13.15%6.68M3.71%6.42M
Total stockholders'equity 209.42%1.66M209.42%1.66M-605.52%-1.06M35.22%-100.76K-510.83%-1.24M-478.26%-1.52M-478.26%-1.52M-450.23%-150.86K-172.09%-155.53K-191.05%-203.41K
Total equity 209.42%1.66M209.42%1.66M-605.52%-1.06M35.22%-100.76K-510.83%-1.24M-478.26%-1.52M-478.26%-1.52M-450.23%-150.86K-172.09%-155.53K-191.05%-203.41K
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----------Unqualified Opinion with Explanatory Notes--------
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