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GRAYCLIFF EXPLORATION LIMITED (GRYCF)

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  • 0.1111
  • 0.00000.00%
15min DelayClose Dec 17 09:30 ET
489.11KMarket Cap-3.83P/E (TTM)

GRAYCLIFF EXPLORATION LIMITED (GRYCF) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-95.03%1.61K
-94.36%3.24K
-95.87%5.02K
-75.58%9.29K
-75.58%9.29K
-54.62%32.42K
-55.30%57.45K
-46.23%121.48K
-89.06%38.04K
-89.06%38.04K
-Cash and cash equivalents
-33.28%1.61K
-81.43%3.24K
-76.65%5.02K
-75.58%9.29K
-75.58%9.29K
-96.62%2.42K
383.84%17.45K
-16.64%21.48K
-5.58%38.04K
-5.58%38.04K
-Short-term investments
----
----
----
----
----
--30K
-67.98%40K
-50.03%100K
--0
--0
Receivables
-95.40%555
-35.06%1.25K
299.58%29.58K
-72.08%901
-72.08%901
-3.96%12.07K
-84.68%1.93K
-65.71%7.4K
-83.61%3.23K
-83.61%3.23K
-Accounts receivable
--0
----
243.10%25.4K
-0.25%396
-0.25%396
-96.85%396
-84.68%1.93K
-65.71%7.4K
-97.98%397
-97.98%397
-Taxes receivable
-95.24%555
--1.25K
--4.18K
-82.16%505
-82.16%505
--11.67K
----
----
--2.83K
--2.83K
Prepaid assets
-7.26%5.35K
-70.35%2.13K
-56.56%3.35K
-48.47%4.54K
-48.47%4.54K
-62.49%5.77K
-35.12%7.19K
-93.18%7.7K
-93.95%8.82K
-93.95%8.82K
Other current assets
----
--1
----
----
----
----
----
----
----
----
Total current assets
-85.04%7.52K
-90.05%6.63K
-72.22%37.94K
-70.58%14.73K
-70.58%14.73K
-49.43%50.25K
-56.27%66.57K
-62.11%136.58K
-90.24%50.08K
-90.24%50.08K
Non current assets
Net PPE
--0
----
-30.77%39.25K
-28.57%43.61K
-28.57%43.61K
-26.67%47.97K
-25.00%52.34K
-23.53%56.7K
-22.22%61.06K
-22.22%61.06K
-Gross PPE
--0
----
-30.77%39.25K
-28.57%43.61K
-28.57%43.61K
-26.67%47.97K
-25.00%52.34K
-23.53%56.7K
-22.22%61.06K
-22.22%61.06K
Total non current assets
--0
--0
-30.77%39.25K
-28.57%43.61K
-28.57%43.61K
-26.67%47.97K
-25.00%52.34K
-23.53%56.7K
-22.22%61.06K
-22.22%61.06K
Total assets
-92.35%7.52K
-94.43%6.63K
-60.06%77.19K
-47.50%58.34K
-47.50%58.34K
-40.40%98.23K
-46.44%118.91K
-55.52%193.28K
-81.21%111.14K
-81.21%111.14K
Liabilities
Current liabilities
Payables
29.80%478.34K
--435.76K
--248.01K
96.88%383.26K
96.88%383.26K
--368.52K
----
----
--194.67K
--194.67K
-accounts payable
27.05%465.01K
--428.11K
--242.86K
94.23%378.11K
94.23%378.11K
--366K
----
----
--194.67K
--194.67K
-Due to related parties current
--13.33K
--7.65K
--5.15K
--5.15K
--5.15K
----
----
----
----
----
-Other payable
----
----
----
----
----
--2.52K
----
----
----
----
Current accrued expenses
----
----
--182.5K
----
----
----
----
----
----
----
Current debt and capital lease obligation
----
----
19.13%19.59K
20.03%18.77K
20.03%18.77K
20.99%17.99K
22.01%17.24K
22.58%16.44K
29.71%15.64K
29.71%15.64K
-Current capital lease obligation
--0
----
19.13%19.59K
20.03%18.77K
20.03%18.77K
20.99%17.99K
22.01%17.24K
22.58%16.44K
29.71%15.64K
29.71%15.64K
Current liabilities
23.76%478.34K
59.63%435.76K
88.40%450.1K
91.16%402.04K
91.16%402.04K
117.97%386.51K
112.19%272.98K
150.49%238.91K
324.97%210.31K
324.97%210.31K
Non current liabilities
Long term debt and capital lease obligation
----
----
-39.49%30.02K
-34.78%35.21K
-34.78%35.21K
-31.78%40.21K
-27.69%45.02K
-24.89%49.6K
-23.20%53.98K
-23.20%53.98K
-Long term capital lease obligation
--0
----
-39.49%30.02K
-34.78%35.21K
-34.78%35.21K
-31.78%40.21K
-27.69%45.02K
-24.89%49.6K
-23.20%53.98K
-23.20%53.98K
Other non current liabilities
----
----
----
--1
--1
----
----
----
----
----
Total non current liabilities
--0
--0
-39.49%30.02K
-34.78%35.21K
-34.78%35.21K
-30.91%40.21K
-27.69%45.02K
-24.89%49.6K
-23.20%53.98K
-23.20%53.98K
Total liabilities
12.10%478.34K
37.03%435.76K
66.41%480.11K
65.44%437.24K
65.44%437.24K
81.18%426.72K
66.58%318K
78.73%288.51K
120.66%264.29K
120.66%264.29K
Shareholders'equity
Share capital
0.00%7.49M
0.00%7.49M
0.00%7.49M
0.00%7.49M
0.00%7.49M
0.00%7.49M
0.00%7.49M
0.00%7.49M
1.63%7.49M
1.63%7.49M
-common stock
0.00%7.49M
0.00%7.49M
0.00%7.49M
0.00%7.49M
0.00%7.49M
0.00%7.49M
0.00%7.49M
0.00%7.49M
1.63%7.49M
1.63%7.49M
Retained earnings
-1.40%-10.33M
-2.29%-10.28M
-3.09%-10.26M
-2.26%-10.23M
-2.26%-10.23M
-2.60%-10.18M
-2.34%-10.05M
-3.84%-9.95M
-8.04%-10.01M
-8.04%-10.01M
Paid-in capital
12.78%2.36M
0.00%2.09M
0.00%2.09M
0.00%2.09M
0.00%2.09M
19.08%2.09M
19.08%2.09M
84.52%2.09M
103.12%2.09M
103.12%2.09M
Other equity interest
----
0.00%267.56K
0.00%267.56K
0.00%267.56K
0.00%267.56K
-55.63%267.56K
-55.63%267.56K
-78.19%267.56K
-79.89%267.56K
-79.89%267.56K
Total stockholders'equity
-43.33%-470.83K
-115.55%-429.14K
-323.10%-402.93K
-147.40%-378.9K
-147.40%-378.9K
-364.45%-328.49K
-740.23%-199.09K
-134.87%-95.23K
-132.46%-153.15K
-132.46%-153.15K
Total equity
-43.33%-470.83K
-115.55%-429.14K
-323.10%-402.93K
-147.40%-378.9K
-147.40%-378.9K
-364.45%-328.49K
-740.23%-199.09K
-134.87%-95.23K
-132.46%-153.15K
-132.46%-153.15K
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)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(FY)Dec 31, 2023(Q4)Dec 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -95.03%1.61K-94.36%3.24K-95.87%5.02K-75.58%9.29K-75.58%9.29K-54.62%32.42K-55.30%57.45K-46.23%121.48K-89.06%38.04K-89.06%38.04K
-Cash and cash equivalents -33.28%1.61K-81.43%3.24K-76.65%5.02K-75.58%9.29K-75.58%9.29K-96.62%2.42K383.84%17.45K-16.64%21.48K-5.58%38.04K-5.58%38.04K
-Short-term investments ----------------------30K-67.98%40K-50.03%100K--0--0
Receivables -95.40%555-35.06%1.25K299.58%29.58K-72.08%901-72.08%901-3.96%12.07K-84.68%1.93K-65.71%7.4K-83.61%3.23K-83.61%3.23K
-Accounts receivable --0----243.10%25.4K-0.25%396-0.25%396-96.85%396-84.68%1.93K-65.71%7.4K-97.98%397-97.98%397
-Taxes receivable -95.24%555--1.25K--4.18K-82.16%505-82.16%505--11.67K----------2.83K--2.83K
Prepaid assets -7.26%5.35K-70.35%2.13K-56.56%3.35K-48.47%4.54K-48.47%4.54K-62.49%5.77K-35.12%7.19K-93.18%7.7K-93.95%8.82K-93.95%8.82K
Other current assets ------1--------------------------------
Total current assets -85.04%7.52K-90.05%6.63K-72.22%37.94K-70.58%14.73K-70.58%14.73K-49.43%50.25K-56.27%66.57K-62.11%136.58K-90.24%50.08K-90.24%50.08K
Non current assets
Net PPE --0-----30.77%39.25K-28.57%43.61K-28.57%43.61K-26.67%47.97K-25.00%52.34K-23.53%56.7K-22.22%61.06K-22.22%61.06K
-Gross PPE --0-----30.77%39.25K-28.57%43.61K-28.57%43.61K-26.67%47.97K-25.00%52.34K-23.53%56.7K-22.22%61.06K-22.22%61.06K
Total non current assets --0--0-30.77%39.25K-28.57%43.61K-28.57%43.61K-26.67%47.97K-25.00%52.34K-23.53%56.7K-22.22%61.06K-22.22%61.06K
Total assets -92.35%7.52K-94.43%6.63K-60.06%77.19K-47.50%58.34K-47.50%58.34K-40.40%98.23K-46.44%118.91K-55.52%193.28K-81.21%111.14K-81.21%111.14K
Liabilities
Current liabilities
Payables 29.80%478.34K--435.76K--248.01K96.88%383.26K96.88%383.26K--368.52K----------194.67K--194.67K
-accounts payable 27.05%465.01K--428.11K--242.86K94.23%378.11K94.23%378.11K--366K----------194.67K--194.67K
-Due to related parties current --13.33K--7.65K--5.15K--5.15K--5.15K--------------------
-Other payable ----------------------2.52K----------------
Current accrued expenses ----------182.5K----------------------------
Current debt and capital lease obligation --------19.13%19.59K20.03%18.77K20.03%18.77K20.99%17.99K22.01%17.24K22.58%16.44K29.71%15.64K29.71%15.64K
-Current capital lease obligation --0----19.13%19.59K20.03%18.77K20.03%18.77K20.99%17.99K22.01%17.24K22.58%16.44K29.71%15.64K29.71%15.64K
Current liabilities 23.76%478.34K59.63%435.76K88.40%450.1K91.16%402.04K91.16%402.04K117.97%386.51K112.19%272.98K150.49%238.91K324.97%210.31K324.97%210.31K
Non current liabilities
Long term debt and capital lease obligation ---------39.49%30.02K-34.78%35.21K-34.78%35.21K-31.78%40.21K-27.69%45.02K-24.89%49.6K-23.20%53.98K-23.20%53.98K
-Long term capital lease obligation --0-----39.49%30.02K-34.78%35.21K-34.78%35.21K-31.78%40.21K-27.69%45.02K-24.89%49.6K-23.20%53.98K-23.20%53.98K
Other non current liabilities --------------1--1--------------------
Total non current liabilities --0--0-39.49%30.02K-34.78%35.21K-34.78%35.21K-30.91%40.21K-27.69%45.02K-24.89%49.6K-23.20%53.98K-23.20%53.98K
Total liabilities 12.10%478.34K37.03%435.76K66.41%480.11K65.44%437.24K65.44%437.24K81.18%426.72K66.58%318K78.73%288.51K120.66%264.29K120.66%264.29K
Shareholders'equity
Share capital 0.00%7.49M0.00%7.49M0.00%7.49M0.00%7.49M0.00%7.49M0.00%7.49M0.00%7.49M0.00%7.49M1.63%7.49M1.63%7.49M
-common stock 0.00%7.49M0.00%7.49M0.00%7.49M0.00%7.49M0.00%7.49M0.00%7.49M0.00%7.49M0.00%7.49M1.63%7.49M1.63%7.49M
Retained earnings -1.40%-10.33M-2.29%-10.28M-3.09%-10.26M-2.26%-10.23M-2.26%-10.23M-2.60%-10.18M-2.34%-10.05M-3.84%-9.95M-8.04%-10.01M-8.04%-10.01M
Paid-in capital 12.78%2.36M0.00%2.09M0.00%2.09M0.00%2.09M0.00%2.09M19.08%2.09M19.08%2.09M84.52%2.09M103.12%2.09M103.12%2.09M
Other equity interest ----0.00%267.56K0.00%267.56K0.00%267.56K0.00%267.56K-55.63%267.56K-55.63%267.56K-78.19%267.56K-79.89%267.56K-79.89%267.56K
Total stockholders'equity -43.33%-470.83K-115.55%-429.14K-323.10%-402.93K-147.40%-378.9K-147.40%-378.9K-364.45%-328.49K-740.23%-199.09K-134.87%-95.23K-132.46%-153.15K-132.46%-153.15K
Total equity -43.33%-470.83K-115.55%-429.14K-323.10%-402.93K-147.40%-378.9K-147.40%-378.9K-364.45%-328.49K-740.23%-199.09K-134.87%-95.23K-132.46%-153.15K-132.46%-153.15K
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--
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