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PLAYFAIR MINING (PLYFF)

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  • 0.0480
  • 0.00000.00%
15min DelayClose May 11 15:30 ET
2.26MMarket Cap-2.18P/E (TTM)

PLAYFAIR MINING (PLYFF) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Nov 30, 2025
(Q2)Aug 31, 2025
(Q1)May 31, 2025
(FY)Feb 28, 2025
(Q4)Feb 28, 2025
(Q3)Nov 30, 2024
(Q2)Aug 31, 2024
(Q1)May 31, 2024
(FY)Feb 29, 2024
(Q4)Feb 29, 2024
Assets
Current assets
Cash, cash equivalents and short term investments
12.74%50.22K
13.13%50.01K
-99.95%44
237.66%12.89K
237.66%12.89K
-86.31%44.55K
-85.39%44.2K
-49.30%83.86K
-80.32%3.82K
-80.32%3.82K
-Cash and cash equivalents
12.74%50.22K
13.13%50.01K
-99.95%44
237.66%12.89K
237.66%12.89K
-86.31%44.55K
-85.39%44.2K
-49.30%83.86K
-80.32%3.82K
-80.32%3.82K
Receivables
259.31%4.5K
377.54%4.47K
7.93%3.4K
11.42%3.23K
11.42%3.23K
-93.42%1.25K
-95.99%935
-86.27%3.15K
-86.53%2.9K
-86.53%2.9K
-Accounts receivable
259.31%4.5K
377.54%4.47K
7.93%3.4K
11.42%3.23K
11.42%3.23K
-93.42%1.25K
-95.99%935
-86.27%3.15K
-86.53%2.9K
-86.53%2.9K
Prepaid assets
----
----
----
--0
--0
-92.59%833
-39.34%8.33K
55.30%21.33K
40.35%40.33K
40.35%40.33K
Total current assets
17.34%54.71K
1.88%54.47K
-96.82%3.45K
-65.75%16.12K
-65.75%16.12K
-86.89%46.63K
-84.26%53.47K
-46.39%108.35K
-32.46%47.05K
-32.46%47.05K
Non current assets
Net PPE
96.04%147.89K
103.85%147.89K
103.85%147.89K
-39.82%17.89K
-39.82%17.89K
-97.67%75.44K
-97.75%72.55K
-97.72%72.55K
-99.05%29.73K
-99.05%29.73K
Non current prepaid assets
143.79%50.37K
268.06%50.37K
385.61%49.6K
-33.08%59.01K
-33.08%59.01K
-60.15%20.66K
-77.12%13.68K
-52.53%10.21K
911.29%88.17K
911.29%88.17K
Total non current assets
106.30%198.26K
129.90%198.26K
138.62%197.49K
-34.78%76.9K
-34.78%76.9K
-97.07%96.1K
-97.38%86.23K
-97.42%82.76K
-96.24%117.9K
-96.24%117.9K
Total assets
77.24%252.97K
80.90%252.73K
5.14%200.94K
-43.61%93.01K
-43.61%93.01K
-96.08%142.73K
-96.15%139.71K
-94.40%191.11K
-94.85%164.95K
-94.85%164.95K
Liabilities
Current liabilities
Payables
-62.73%83.06K
----
7.75%320.44K
3.98%313.01K
3.98%313.01K
-26.30%222.85K
-22.11%225.16K
14.76%297.39K
20.42%301.02K
20.42%301.02K
-accounts payable
-52.54%83.06K
----
7.75%320.44K
3.98%313.01K
3.98%313.01K
-42.13%174.99K
-22.11%225.16K
14.76%297.39K
20.42%301.02K
20.42%301.02K
-Due to related parties current
----
----
----
----
----
--47.86K
----
----
----
----
Current liabilities
-62.73%83.06K
-65.60%77.45K
7.75%320.44K
3.98%313.01K
3.98%313.01K
-26.30%222.85K
-22.11%225.16K
14.76%297.39K
20.42%301.02K
20.42%301.02K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
-62.73%83.06K
-65.60%77.45K
7.75%320.44K
3.98%313.01K
3.98%313.01K
-26.30%222.85K
-22.11%225.16K
14.76%297.39K
20.42%301.02K
20.42%301.02K
Shareholders'equity
Share capital
0.80%36.44M
1.18%36.44M
1.57%36.44M
1.39%36.17M
1.39%36.17M
1.35%36.15M
1.07%36.02M
0.69%35.88M
1.52%35.67M
1.52%35.67M
-common stock
0.80%36.44M
1.18%36.44M
1.57%36.44M
1.39%36.17M
1.39%36.17M
1.35%36.15M
1.07%36.02M
0.69%35.88M
1.52%35.67M
1.52%35.67M
Retained earnings
-0.41%-36.97M
-0.38%-36.97M
-0.34%-36.93M
-0.35%-36.91M
-0.35%-36.91M
-10.17%-36.82M
-10.26%-36.83M
-10.40%-36.81M
-10.47%-36.78M
-10.47%-36.78M
Gains losses not affecting retained earnings
-8.41%834.19K
-13.89%834.19K
-18.56%834.19K
-24.93%834.19K
-24.93%834.19K
-18.03%910.78K
-14.00%968.71K
-9.07%1.02M
-1.36%1.11M
-1.36%1.11M
Other equity interest
58.27%-134.37K
44.48%-134.37K
-128.40%-462.5K
-122.81%-317.5K
-122.81%-317.5K
-1,363.64%-322K
-1,000.00%-242K
25.00%-202.5K
-547.73%-142.5K
-547.73%-142.5K
Total stockholders'equity
312.06%169.91K
305.11%175.28K
-12.44%-119.51K
-61.68%-220K
-61.68%-220K
-102.40%-80.12K
-102.56%-85.46K
-103.37%-106.28K
-104.61%-136.07K
-104.61%-136.07K
Total equity
312.06%169.91K
305.11%175.28K
-12.44%-119.51K
-61.68%-220K
-61.68%-220K
-102.40%-80.12K
-102.56%-85.46K
-103.37%-106.28K
-104.61%-136.07K
-104.61%-136.07K
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)Nov 30, 2025(Q2)Aug 31, 2025(Q1)May 31, 2025(FY)Feb 28, 2025(Q4)Feb 28, 2025(Q3)Nov 30, 2024(Q2)Aug 31, 2024(Q1)May 31, 2024(FY)Feb 29, 2024(Q4)Feb 29, 2024
Assets
Current assets
Cash, cash equivalents and short term investments 12.74%50.22K13.13%50.01K-99.95%44237.66%12.89K237.66%12.89K-86.31%44.55K-85.39%44.2K-49.30%83.86K-80.32%3.82K-80.32%3.82K
-Cash and cash equivalents 12.74%50.22K13.13%50.01K-99.95%44237.66%12.89K237.66%12.89K-86.31%44.55K-85.39%44.2K-49.30%83.86K-80.32%3.82K-80.32%3.82K
Receivables 259.31%4.5K377.54%4.47K7.93%3.4K11.42%3.23K11.42%3.23K-93.42%1.25K-95.99%935-86.27%3.15K-86.53%2.9K-86.53%2.9K
-Accounts receivable 259.31%4.5K377.54%4.47K7.93%3.4K11.42%3.23K11.42%3.23K-93.42%1.25K-95.99%935-86.27%3.15K-86.53%2.9K-86.53%2.9K
Prepaid assets --------------0--0-92.59%833-39.34%8.33K55.30%21.33K40.35%40.33K40.35%40.33K
Total current assets 17.34%54.71K1.88%54.47K-96.82%3.45K-65.75%16.12K-65.75%16.12K-86.89%46.63K-84.26%53.47K-46.39%108.35K-32.46%47.05K-32.46%47.05K
Non current assets
Net PPE 96.04%147.89K103.85%147.89K103.85%147.89K-39.82%17.89K-39.82%17.89K-97.67%75.44K-97.75%72.55K-97.72%72.55K-99.05%29.73K-99.05%29.73K
Non current prepaid assets 143.79%50.37K268.06%50.37K385.61%49.6K-33.08%59.01K-33.08%59.01K-60.15%20.66K-77.12%13.68K-52.53%10.21K911.29%88.17K911.29%88.17K
Total non current assets 106.30%198.26K129.90%198.26K138.62%197.49K-34.78%76.9K-34.78%76.9K-97.07%96.1K-97.38%86.23K-97.42%82.76K-96.24%117.9K-96.24%117.9K
Total assets 77.24%252.97K80.90%252.73K5.14%200.94K-43.61%93.01K-43.61%93.01K-96.08%142.73K-96.15%139.71K-94.40%191.11K-94.85%164.95K-94.85%164.95K
Liabilities
Current liabilities
Payables -62.73%83.06K----7.75%320.44K3.98%313.01K3.98%313.01K-26.30%222.85K-22.11%225.16K14.76%297.39K20.42%301.02K20.42%301.02K
-accounts payable -52.54%83.06K----7.75%320.44K3.98%313.01K3.98%313.01K-42.13%174.99K-22.11%225.16K14.76%297.39K20.42%301.02K20.42%301.02K
-Due to related parties current ----------------------47.86K----------------
Current liabilities -62.73%83.06K-65.60%77.45K7.75%320.44K3.98%313.01K3.98%313.01K-26.30%222.85K-22.11%225.16K14.76%297.39K20.42%301.02K20.42%301.02K
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities -62.73%83.06K-65.60%77.45K7.75%320.44K3.98%313.01K3.98%313.01K-26.30%222.85K-22.11%225.16K14.76%297.39K20.42%301.02K20.42%301.02K
Shareholders'equity
Share capital 0.80%36.44M1.18%36.44M1.57%36.44M1.39%36.17M1.39%36.17M1.35%36.15M1.07%36.02M0.69%35.88M1.52%35.67M1.52%35.67M
-common stock 0.80%36.44M1.18%36.44M1.57%36.44M1.39%36.17M1.39%36.17M1.35%36.15M1.07%36.02M0.69%35.88M1.52%35.67M1.52%35.67M
Retained earnings -0.41%-36.97M-0.38%-36.97M-0.34%-36.93M-0.35%-36.91M-0.35%-36.91M-10.17%-36.82M-10.26%-36.83M-10.40%-36.81M-10.47%-36.78M-10.47%-36.78M
Gains losses not affecting retained earnings -8.41%834.19K-13.89%834.19K-18.56%834.19K-24.93%834.19K-24.93%834.19K-18.03%910.78K-14.00%968.71K-9.07%1.02M-1.36%1.11M-1.36%1.11M
Other equity interest 58.27%-134.37K44.48%-134.37K-128.40%-462.5K-122.81%-317.5K-122.81%-317.5K-1,363.64%-322K-1,000.00%-242K25.00%-202.5K-547.73%-142.5K-547.73%-142.5K
Total stockholders'equity 312.06%169.91K305.11%175.28K-12.44%-119.51K-61.68%-220K-61.68%-220K-102.40%-80.12K-102.56%-85.46K-103.37%-106.28K-104.61%-136.07K-104.61%-136.07K
Total equity 312.06%169.91K305.11%175.28K-12.44%-119.51K-61.68%-220K-61.68%-220K-102.40%-80.12K-102.56%-85.46K-103.37%-106.28K-104.61%-136.07K-104.61%-136.07K
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--
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