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BNTRF BENTON RESOURCES INC

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  • 0.068200
  • 0.0000000.00%
15min DelayClose Feb 13 13:54 ET
13.37MMarket Cap-6.20P/E (TTM)

BENTON RESOURCES INC 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
55.08%2.18M
192.49%3.37M
192.49%3.37M
-33.41%1.32M
-21.67%1.22M
6.73%1.41M
-43.35%1.15M
-43.35%1.15M
-9.54%1.99M
3.24%1.55M
-Cash and cash equivalents
-28.89%546K
-26.33%340.95K
-26.33%340.95K
207.91%193.19K
-62.31%100.6K
331.63%767.81K
-47.76%462.79K
-47.76%462.79K
-94.00%62.74K
-25.19%266.9K
-Short-term investments
156.13%1.63M
339.10%3.03M
339.10%3.03M
-41.29%1.13M
-13.24%1.12M
-44.00%638.04K
-39.95%690.66K
-39.95%690.66K
67.38%1.92M
12.08%1.29M
Receivables
10.36%587.32K
-67.46%340.69K
-67.46%340.69K
97.86%208.45K
-73.68%214.22K
-55.72%532.17K
56.78%1.05M
56.78%1.05M
-71.58%105.35K
106.27%813.99K
-Accounts receivable
7.53%572.24K
-68.86%326.05K
-68.86%326.05K
84.37%194.24K
-56.19%200.43K
-55.72%532.17K
56.78%1.05M
56.78%1.05M
-71.58%105.35K
15.93%457.49K
-Other receivables
--15.08K
--14.64K
--14.64K
--14.21K
-96.13%13.79K
----
----
----
----
--356.5K
Prepaid assets
-30.64%117.31K
-29.41%127.48K
-29.41%127.48K
-49.41%81.1K
-43.50%93.43K
8.05%169.13K
2.55%180.6K
2.55%180.6K
-17.15%160.3K
0.51%165.37K
Restricted cash
-30.99%749.86K
-99.07%15K
-99.07%15K
-63.89%859.61K
-35.80%1.58M
-36.40%1.09M
-44.10%1.61M
-44.10%1.61M
-31.30%2.38M
2.41%2.46M
Total current assets
13.81%3.63M
-3.27%3.86M
-3.27%3.86M
-46.64%2.47M
-37.83%3.1M
-27.15%3.19M
-30.69%3.99M
-30.69%3.99M
-25.59%4.63M
11.80%4.99M
Non current assets
Net PPE
-44.17%4.4M
-43.82%3.75M
-43.82%3.75M
11.72%6.62M
0.75%5.9M
45.56%7.88M
58.73%6.68M
58.73%6.68M
68.05%5.92M
83.95%5.85M
-Gross PPE
-42.54%4.99M
-41.45%4.37M
-41.45%4.37M
11.19%7.44M
1.51%6.7M
41.38%8.68M
51.82%7.47M
51.82%7.47M
58.97%6.69M
71.50%6.6M
-Accumulated depreciation
26.51%-588.61K
21.29%-616.96K
21.29%-616.96K
-7.14%-819.48K
-7.47%-800.83K
-10.26%-800.99K
-10.74%-783.85K
-10.74%-783.85K
-12.08%-764.84K
-11.98%-745.14K
Investments and advances
337.66%5.99M
235.30%5.57M
235.30%5.57M
198.95%6.53M
91.72%7.34M
-66.89%1.37M
-61.73%1.66M
-61.73%1.66M
-68.97%2.18M
-41.92%3.83M
Non current accounts receivable
--17.49K
--21.43K
--21.43K
--25.26K
--28.97K
----
----
----
----
----
Total non current assets
12.54%10.41M
12.05%9.35M
12.05%9.35M
62.46%13.17M
37.02%13.26M
-3.14%9.25M
-2.45%8.35M
-2.45%8.35M
-23.25%8.11M
-0.94%9.68M
Total assets
12.87%14.05M
7.09%13.21M
7.09%13.21M
22.80%15.64M
11.55%16.36M
-10.69%12.45M
-13.80%12.33M
-13.80%12.33M
-24.12%12.74M
3.06%14.67M
Liabilities
Current liabilities
Current debt and capital lease obligation
----
-96.50%1.73K
-96.50%1.73K
2.45%49.33K
10.15%50.06K
14.20%50.6K
14.41%49.41K
14.41%49.41K
14.38%48.14K
7.80%45.45K
-Current capital lease obligation
--0
-96.50%1.73K
-96.50%1.73K
2.45%49.33K
10.15%50.06K
14.20%50.6K
14.41%49.41K
14.41%49.41K
14.38%48.14K
7.80%45.45K
Current deferred liabilities
-50.13%111.34K
--0
--0
-35.06%270.28K
15.69%500K
-32.00%223.28K
-34.53%311.51K
-34.53%311.51K
-19.67%416.17K
45.01%432.21K
Other current liabilities
----
----
----
----
---2
----
----
----
----
----
Current liabilities
-10.51%529.06K
20.10%883.85K
20.10%883.85K
25.45%741.97K
11.42%739.05K
-26.13%591.21K
-28.79%735.96K
-28.79%735.96K
-19.44%591.43K
17.08%663.29K
Non current liabilities
Long term debt and capital lease obligation
----
----
----
-52.06%43.67K
-48.95%53.54K
-44.12%65.21K
-38.94%78.26K
-38.94%78.26K
-34.59%91.08K
-30.37%104.88K
-Long term capital lease obligation
----
--0
--0
-52.06%43.67K
-48.95%53.54K
-44.12%65.21K
-38.94%78.26K
-38.94%78.26K
-34.59%91.08K
-30.37%104.88K
Other non current liabilities
----
----
----
----
--2
----
----
----
----
----
Total non current liabilities
--0
--0
--0
-52.06%43.67K
-48.95%53.54K
-44.12%65.21K
-38.94%78.26K
-38.94%78.26K
-34.59%91.08K
-30.37%104.88K
Total liabilities
-19.40%529.06K
8.55%883.85K
8.55%883.85K
15.11%785.63K
3.18%792.59K
-28.42%656.42K
-29.91%814.22K
-29.91%814.22K
-21.86%682.51K
7.12%768.16K
Shareholders'equity
Share capital
9.03%37.95M
9.56%37.38M
9.56%37.38M
4.44%35.63M
4.13%35.53M
4.95%34.8M
2.97%34.12M
2.97%34.12M
3.19%34.12M
7.11%34.12M
-common stock
9.03%37.95M
9.56%37.38M
9.56%37.38M
4.44%35.63M
4.13%35.53M
4.95%34.8M
2.97%34.12M
2.97%34.12M
3.19%34.12M
7.11%34.12M
Retained earnings
-9.24%-31.61M
-11.86%-31.9M
-11.86%-31.9M
3.14%-27.1M
-0.53%-26.26M
-12.06%-28.94M
-11.28%-28.52M
-11.28%-28.52M
-22.97%-27.98M
-13.78%-26.12M
Gains losses not affecting retained earnings
21.28%7.18M
15.68%6.85M
15.68%6.85M
112.26%6.32M
112.44%6.3M
101.43%5.92M
4.98%5.92M
4.98%5.92M
-46.81%2.98M
-35.79%2.97M
Other equity interest
----
----
----
----
----
----
----
----
--2.94M
--2.94M
Total stockholders'equity
14.66%13.52M
6.99%12.32M
6.99%12.32M
23.23%14.86M
12.02%15.57M
-9.44%11.79M
-12.38%11.52M
-12.38%11.52M
-24.24%12.06M
2.84%13.9M
Total equity
14.66%13.52M
6.99%12.32M
6.99%12.32M
23.23%14.86M
12.02%15.57M
-9.44%11.79M
-12.38%11.52M
-12.38%11.52M
-24.24%12.06M
2.84%13.9M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(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 55.08%2.18M192.49%3.37M192.49%3.37M-33.41%1.32M-21.67%1.22M6.73%1.41M-43.35%1.15M-43.35%1.15M-9.54%1.99M3.24%1.55M
-Cash and cash equivalents -28.89%546K-26.33%340.95K-26.33%340.95K207.91%193.19K-62.31%100.6K331.63%767.81K-47.76%462.79K-47.76%462.79K-94.00%62.74K-25.19%266.9K
-Short-term investments 156.13%1.63M339.10%3.03M339.10%3.03M-41.29%1.13M-13.24%1.12M-44.00%638.04K-39.95%690.66K-39.95%690.66K67.38%1.92M12.08%1.29M
Receivables 10.36%587.32K-67.46%340.69K-67.46%340.69K97.86%208.45K-73.68%214.22K-55.72%532.17K56.78%1.05M56.78%1.05M-71.58%105.35K106.27%813.99K
-Accounts receivable 7.53%572.24K-68.86%326.05K-68.86%326.05K84.37%194.24K-56.19%200.43K-55.72%532.17K56.78%1.05M56.78%1.05M-71.58%105.35K15.93%457.49K
-Other receivables --15.08K--14.64K--14.64K--14.21K-96.13%13.79K------------------356.5K
Prepaid assets -30.64%117.31K-29.41%127.48K-29.41%127.48K-49.41%81.1K-43.50%93.43K8.05%169.13K2.55%180.6K2.55%180.6K-17.15%160.3K0.51%165.37K
Restricted cash -30.99%749.86K-99.07%15K-99.07%15K-63.89%859.61K-35.80%1.58M-36.40%1.09M-44.10%1.61M-44.10%1.61M-31.30%2.38M2.41%2.46M
Total current assets 13.81%3.63M-3.27%3.86M-3.27%3.86M-46.64%2.47M-37.83%3.1M-27.15%3.19M-30.69%3.99M-30.69%3.99M-25.59%4.63M11.80%4.99M
Non current assets
Net PPE -44.17%4.4M-43.82%3.75M-43.82%3.75M11.72%6.62M0.75%5.9M45.56%7.88M58.73%6.68M58.73%6.68M68.05%5.92M83.95%5.85M
-Gross PPE -42.54%4.99M-41.45%4.37M-41.45%4.37M11.19%7.44M1.51%6.7M41.38%8.68M51.82%7.47M51.82%7.47M58.97%6.69M71.50%6.6M
-Accumulated depreciation 26.51%-588.61K21.29%-616.96K21.29%-616.96K-7.14%-819.48K-7.47%-800.83K-10.26%-800.99K-10.74%-783.85K-10.74%-783.85K-12.08%-764.84K-11.98%-745.14K
Investments and advances 337.66%5.99M235.30%5.57M235.30%5.57M198.95%6.53M91.72%7.34M-66.89%1.37M-61.73%1.66M-61.73%1.66M-68.97%2.18M-41.92%3.83M
Non current accounts receivable --17.49K--21.43K--21.43K--25.26K--28.97K--------------------
Total non current assets 12.54%10.41M12.05%9.35M12.05%9.35M62.46%13.17M37.02%13.26M-3.14%9.25M-2.45%8.35M-2.45%8.35M-23.25%8.11M-0.94%9.68M
Total assets 12.87%14.05M7.09%13.21M7.09%13.21M22.80%15.64M11.55%16.36M-10.69%12.45M-13.80%12.33M-13.80%12.33M-24.12%12.74M3.06%14.67M
Liabilities
Current liabilities
Current debt and capital lease obligation -----96.50%1.73K-96.50%1.73K2.45%49.33K10.15%50.06K14.20%50.6K14.41%49.41K14.41%49.41K14.38%48.14K7.80%45.45K
-Current capital lease obligation --0-96.50%1.73K-96.50%1.73K2.45%49.33K10.15%50.06K14.20%50.6K14.41%49.41K14.41%49.41K14.38%48.14K7.80%45.45K
Current deferred liabilities -50.13%111.34K--0--0-35.06%270.28K15.69%500K-32.00%223.28K-34.53%311.51K-34.53%311.51K-19.67%416.17K45.01%432.21K
Other current liabilities -------------------2--------------------
Current liabilities -10.51%529.06K20.10%883.85K20.10%883.85K25.45%741.97K11.42%739.05K-26.13%591.21K-28.79%735.96K-28.79%735.96K-19.44%591.43K17.08%663.29K
Non current liabilities
Long term debt and capital lease obligation -------------52.06%43.67K-48.95%53.54K-44.12%65.21K-38.94%78.26K-38.94%78.26K-34.59%91.08K-30.37%104.88K
-Long term capital lease obligation ------0--0-52.06%43.67K-48.95%53.54K-44.12%65.21K-38.94%78.26K-38.94%78.26K-34.59%91.08K-30.37%104.88K
Other non current liabilities ------------------2--------------------
Total non current liabilities --0--0--0-52.06%43.67K-48.95%53.54K-44.12%65.21K-38.94%78.26K-38.94%78.26K-34.59%91.08K-30.37%104.88K
Total liabilities -19.40%529.06K8.55%883.85K8.55%883.85K15.11%785.63K3.18%792.59K-28.42%656.42K-29.91%814.22K-29.91%814.22K-21.86%682.51K7.12%768.16K
Shareholders'equity
Share capital 9.03%37.95M9.56%37.38M9.56%37.38M4.44%35.63M4.13%35.53M4.95%34.8M2.97%34.12M2.97%34.12M3.19%34.12M7.11%34.12M
-common stock 9.03%37.95M9.56%37.38M9.56%37.38M4.44%35.63M4.13%35.53M4.95%34.8M2.97%34.12M2.97%34.12M3.19%34.12M7.11%34.12M
Retained earnings -9.24%-31.61M-11.86%-31.9M-11.86%-31.9M3.14%-27.1M-0.53%-26.26M-12.06%-28.94M-11.28%-28.52M-11.28%-28.52M-22.97%-27.98M-13.78%-26.12M
Gains losses not affecting retained earnings 21.28%7.18M15.68%6.85M15.68%6.85M112.26%6.32M112.44%6.3M101.43%5.92M4.98%5.92M4.98%5.92M-46.81%2.98M-35.79%2.97M
Other equity interest ----------------------------------2.94M--2.94M
Total stockholders'equity 14.66%13.52M6.99%12.32M6.99%12.32M23.23%14.86M12.02%15.57M-9.44%11.79M-12.38%11.52M-12.38%11.52M-24.24%12.06M2.84%13.9M
Total equity 14.66%13.52M6.99%12.32M6.99%12.32M23.23%14.86M12.02%15.57M-9.44%11.79M-12.38%11.52M-12.38%11.52M-24.24%12.06M2.84%13.9M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion with Explanatory Notes------
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