US Stock MarketDetailed Quotes

ROUTE 109 RESOURCES INC (MRIRF)

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  • 0.0800
  • 0.00000.00%
15min DelayClose Jan 7 09:49 ET
1.34MMarket Cap-11.43P/E (TTM)

ROUTE 109 RESOURCES INC (MRIRF) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Feb 28, 2026
(Q1)Nov 30, 2025
(FY)Aug 31, 2025
(Q4)Aug 31, 2025
(Q3)May 31, 2025
(Q2)Feb 28, 2025
(Q1)Nov 30, 2024
(FY)Aug 31, 2024
(Q4)Aug 31, 2024
(Q3)May 31, 2024
Assets
Current assets
Cash, cash equivalents and short term investments
-81.02%112.59K
-88.61%112.02K
-85.37%181.23K
-85.37%181.23K
-57.28%39.57K
33.26%593.16K
236.90%983.54K
113.10%1.24M
113.10%1.24M
-87.51%92.62K
-Cash and cash equivalents
-81.02%112.59K
-88.61%112.02K
-85.37%181.23K
-85.37%181.23K
-57.28%39.57K
33.26%593.16K
236.90%983.54K
113.10%1.24M
113.10%1.24M
-87.51%92.62K
Receivables
-89.60%3.92K
-70.37%3.1K
274.25%19.06K
274.25%19.06K
338.64%53.77K
348.54%37.7K
-35.27%10.45K
-95.13%5.09K
-95.13%5.09K
-85.36%12.26K
-Taxes receivable
-89.60%3.92K
-70.37%3.1K
274.25%19.06K
274.25%19.06K
338.64%53.77K
348.54%37.7K
-35.27%10.45K
-95.13%5.09K
-95.13%5.09K
-85.36%12.26K
Prepaid assets
190.74%32.02K
77.52%36.05K
0.29%2.46K
0.29%2.46K
0.28%6.74K
0.27%11.01K
15.57%20.31K
-84.74%2.46K
-84.74%2.46K
5.71%6.72K
Total current assets
-76.86%148.53K
-85.10%151.16K
-83.73%202.75K
-83.73%202.75K
-10.32%100.08K
38.18%641.88K
211.47%1.01M
77.57%1.25M
77.57%1.25M
-86.58%111.6K
Non current assets
Net PPE
1.41%15.44M
5.86%15.44M
6.38%15.44M
6.38%15.44M
7.35%15.55M
4.76%15.22M
0.72%14.58M
2.43%14.51M
2.43%14.51M
4.44%14.49M
-Gross PPE
----
----
----
----
----
----
----
2.43%14.52M
2.43%14.52M
4.44%14.49M
-Accumulated depreciation
----
----
----
----
----
----
----
-3.87%-7.62K
-3.87%-7.62K
-2.81%-7.46K
Non current prepaid assets
----
----
----
----
----
----
----
--0
--0
----
Total non current assets
1.41%15.44M
5.86%15.44M
6.38%15.44M
6.38%15.44M
7.35%15.55M
4.76%15.22M
0.72%14.58M
2.11%14.51M
2.11%14.51M
4.44%14.49M
Total assets
-1.76%15.59M
-0.05%15.59M
-0.75%15.64M
-0.75%15.64M
7.21%15.65M
5.80%15.86M
5.36%15.6M
5.66%15.76M
5.66%15.76M
-0.71%14.6M
Liabilities
Current liabilities
Payables
-24.45%320.07K
187.50%256.15K
44.75%255.77K
44.75%255.77K
170.15%241.58K
-36.12%423.65K
-83.91%89.1K
--176.69K
--176.69K
-67.96%89.43K
-accounts payable
-24.45%320.07K
187.50%256.15K
44.75%255.77K
44.75%255.77K
170.15%241.58K
-22.85%423.65K
-83.91%89.1K
--176.69K
--176.69K
-67.96%89.43K
Current accrued expenses
0.00%23.5K
0.00%23.5K
80.64%42.45K
80.64%42.45K
--23.5K
--23.5K
--23.5K
--23.5K
--23.5K
----
Current debt and capital lease obligation
--207.78K
--200.74K
--193.86K
--193.86K
----
----
----
----
----
----
-Current debt
--207.78K
--200.74K
--193.86K
--193.86K
----
----
----
----
----
----
Current liabilities
23.30%551.34K
326.65%480.39K
145.80%492.08K
145.80%492.08K
196.43%265.08K
-32.57%447.15K
-79.72%112.6K
-67.69%200.19K
-67.69%200.19K
-77.53%89.43K
Non current liabilities
Long term debt and capital lease obligation
----
----
----
----
-13.04%191.5K
--184.87K
--178.61K
--172.49K
--172.49K
--220.22K
-Long term debt
----
----
----
----
-13.04%191.5K
--184.87K
--178.61K
--172.49K
--172.49K
--220.22K
Total non current liabilities
--0
--0
--0
--0
-13.04%191.5K
--184.87K
1,785,960.00%178.61K
--172.49K
--172.49K
--220.22K
Total liabilities
-12.76%551.34K
64.97%480.39K
32.04%492.08K
32.04%492.08K
47.45%456.58K
-4.70%632.01K
-47.55%291.2K
-39.86%372.68K
-39.86%372.68K
-22.21%309.65K
Shareholders'equity
Share capital
0.00%18.51M
0.43%18.51M
0.43%18.51M
0.43%18.51M
7.08%18.51M
7.08%18.51M
8.67%18.43M
8.67%18.43M
8.67%18.43M
1.92%17.28M
-common stock
0.00%18.51M
0.43%18.51M
0.43%18.51M
0.43%18.51M
7.08%18.51M
7.08%18.51M
8.67%18.43M
8.67%18.43M
8.67%18.43M
1.92%17.28M
Retained earnings
-3.94%-5.22M
-3.99%-5.14M
-4.87%-5.1M
-4.87%-5.1M
-5.53%-5.06M
-5.68%-5.02M
-6.20%-4.94M
-6.21%-4.87M
-6.21%-4.87M
-5.52%-4.79M
Paid-in capital
0.00%386.8K
0.00%386.8K
0.00%386.8K
0.00%386.8K
7.44%386.8K
7.44%386.8K
7.44%386.8K
7.44%386.8K
7.44%386.8K
0.00%360K
Other equity interest
0.00%1.36M
-5.52%1.36M
-5.52%1.36M
-5.52%1.36M
-5.52%1.36M
-5.52%1.36M
-9.52%1.44M
-7.80%1.44M
-7.80%1.44M
-6.00%1.44M
Total stockholders'equity
-1.30%15.04M
-1.29%15.11M
-1.54%15.15M
-1.54%15.15M
6.34%15.19M
6.29%15.23M
7.42%15.31M
7.63%15.39M
7.63%15.39M
-0.11%14.29M
Total equity
-1.30%15.04M
-1.29%15.11M
-1.54%15.15M
-1.54%15.15M
6.34%15.19M
6.29%15.23M
7.42%15.31M
7.63%15.39M
7.63%15.39M
-0.11%14.29M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(Q2)Feb 28, 2026(Q1)Nov 30, 2025(FY)Aug 31, 2025(Q4)Aug 31, 2025(Q3)May 31, 2025(Q2)Feb 28, 2025(Q1)Nov 30, 2024(FY)Aug 31, 2024(Q4)Aug 31, 2024(Q3)May 31, 2024
Assets
Current assets
Cash, cash equivalents and short term investments -81.02%112.59K-88.61%112.02K-85.37%181.23K-85.37%181.23K-57.28%39.57K33.26%593.16K236.90%983.54K113.10%1.24M113.10%1.24M-87.51%92.62K
-Cash and cash equivalents -81.02%112.59K-88.61%112.02K-85.37%181.23K-85.37%181.23K-57.28%39.57K33.26%593.16K236.90%983.54K113.10%1.24M113.10%1.24M-87.51%92.62K
Receivables -89.60%3.92K-70.37%3.1K274.25%19.06K274.25%19.06K338.64%53.77K348.54%37.7K-35.27%10.45K-95.13%5.09K-95.13%5.09K-85.36%12.26K
-Taxes receivable -89.60%3.92K-70.37%3.1K274.25%19.06K274.25%19.06K338.64%53.77K348.54%37.7K-35.27%10.45K-95.13%5.09K-95.13%5.09K-85.36%12.26K
Prepaid assets 190.74%32.02K77.52%36.05K0.29%2.46K0.29%2.46K0.28%6.74K0.27%11.01K15.57%20.31K-84.74%2.46K-84.74%2.46K5.71%6.72K
Total current assets -76.86%148.53K-85.10%151.16K-83.73%202.75K-83.73%202.75K-10.32%100.08K38.18%641.88K211.47%1.01M77.57%1.25M77.57%1.25M-86.58%111.6K
Non current assets
Net PPE 1.41%15.44M5.86%15.44M6.38%15.44M6.38%15.44M7.35%15.55M4.76%15.22M0.72%14.58M2.43%14.51M2.43%14.51M4.44%14.49M
-Gross PPE ----------------------------2.43%14.52M2.43%14.52M4.44%14.49M
-Accumulated depreciation -----------------------------3.87%-7.62K-3.87%-7.62K-2.81%-7.46K
Non current prepaid assets ------------------------------0--0----
Total non current assets 1.41%15.44M5.86%15.44M6.38%15.44M6.38%15.44M7.35%15.55M4.76%15.22M0.72%14.58M2.11%14.51M2.11%14.51M4.44%14.49M
Total assets -1.76%15.59M-0.05%15.59M-0.75%15.64M-0.75%15.64M7.21%15.65M5.80%15.86M5.36%15.6M5.66%15.76M5.66%15.76M-0.71%14.6M
Liabilities
Current liabilities
Payables -24.45%320.07K187.50%256.15K44.75%255.77K44.75%255.77K170.15%241.58K-36.12%423.65K-83.91%89.1K--176.69K--176.69K-67.96%89.43K
-accounts payable -24.45%320.07K187.50%256.15K44.75%255.77K44.75%255.77K170.15%241.58K-22.85%423.65K-83.91%89.1K--176.69K--176.69K-67.96%89.43K
Current accrued expenses 0.00%23.5K0.00%23.5K80.64%42.45K80.64%42.45K--23.5K--23.5K--23.5K--23.5K--23.5K----
Current debt and capital lease obligation --207.78K--200.74K--193.86K--193.86K------------------------
-Current debt --207.78K--200.74K--193.86K--193.86K------------------------
Current liabilities 23.30%551.34K326.65%480.39K145.80%492.08K145.80%492.08K196.43%265.08K-32.57%447.15K-79.72%112.6K-67.69%200.19K-67.69%200.19K-77.53%89.43K
Non current liabilities
Long term debt and capital lease obligation -----------------13.04%191.5K--184.87K--178.61K--172.49K--172.49K--220.22K
-Long term debt -----------------13.04%191.5K--184.87K--178.61K--172.49K--172.49K--220.22K
Total non current liabilities --0--0--0--0-13.04%191.5K--184.87K1,785,960.00%178.61K--172.49K--172.49K--220.22K
Total liabilities -12.76%551.34K64.97%480.39K32.04%492.08K32.04%492.08K47.45%456.58K-4.70%632.01K-47.55%291.2K-39.86%372.68K-39.86%372.68K-22.21%309.65K
Shareholders'equity
Share capital 0.00%18.51M0.43%18.51M0.43%18.51M0.43%18.51M7.08%18.51M7.08%18.51M8.67%18.43M8.67%18.43M8.67%18.43M1.92%17.28M
-common stock 0.00%18.51M0.43%18.51M0.43%18.51M0.43%18.51M7.08%18.51M7.08%18.51M8.67%18.43M8.67%18.43M8.67%18.43M1.92%17.28M
Retained earnings -3.94%-5.22M-3.99%-5.14M-4.87%-5.1M-4.87%-5.1M-5.53%-5.06M-5.68%-5.02M-6.20%-4.94M-6.21%-4.87M-6.21%-4.87M-5.52%-4.79M
Paid-in capital 0.00%386.8K0.00%386.8K0.00%386.8K0.00%386.8K7.44%386.8K7.44%386.8K7.44%386.8K7.44%386.8K7.44%386.8K0.00%360K
Other equity interest 0.00%1.36M-5.52%1.36M-5.52%1.36M-5.52%1.36M-5.52%1.36M-5.52%1.36M-9.52%1.44M-7.80%1.44M-7.80%1.44M-6.00%1.44M
Total stockholders'equity -1.30%15.04M-1.29%15.11M-1.54%15.15M-1.54%15.15M6.34%15.19M6.29%15.23M7.42%15.31M7.63%15.39M7.63%15.39M-0.11%14.29M
Total equity -1.30%15.04M-1.29%15.11M-1.54%15.15M-1.54%15.15M6.34%15.19M6.29%15.23M7.42%15.31M7.63%15.39M7.63%15.39M-0.11%14.29M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----
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