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Homeland Nickel Inc (SHL)

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  • 0.390
  • +0.050+14.71%
15min DelayMarket Closed Jun 12 16:00 ET
88.65MMarket Cap0.00P/E (TTM)

Homeland Nickel Inc (SHL) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Jan 31, 2026
(Q2)Oct 31, 2025
(Q1)Jul 31, 2025
(FY)Apr 30, 2025
(Q4)Apr 30, 2025
(Q3)Jan 31, 2025
(Q2)Oct 31, 2024
(Q1)Jul 31, 2024
(FY)Apr 30, 2024
(Q4)Apr 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments
10.85%4.24M
-26.30%3.3M
-64.53%2.89M
-47.93%3.87M
-47.93%3.87M
-62.12%3.82M
-39.21%4.47M
2.14%8.14M
-20.05%7.44M
-20.05%7.44M
-Cash and cash equivalents
170.98%620.19K
38.26%293.33K
-28.43%108.65K
78.42%307.36K
78.42%307.36K
-63.17%228.87K
359.37%212.17K
104.03%151.81K
-19.41%172.27K
-19.41%172.27K
-Short term investments
0.65%3.62M
-29.51%3M
-65.22%2.78M
-50.93%3.57M
-50.93%3.57M
-62.05%3.6M
-41.73%4.26M
1.18%7.99M
-20.06%7.27M
-20.06%7.27M
Receivables
-37.08%53.84K
-59.10%57.12K
19.70%76.78K
9.13%78.5K
9.13%78.5K
-89.69%85.58K
-72.66%139.67K
-63.29%64.15K
-48.86%71.93K
-48.86%71.93K
-Accounts receivable
--0
--0
0.05%1.89K
0.00%1.88K
0.00%1.88K
-94.58%1.89K
-80.80%1.88K
-80.80%1.88K
-82.99%1.88K
-82.99%1.88K
-Taxes receivable
-8.26%53.84K
-71.52%32.12K
33.90%49.9K
14.58%51.61K
14.58%51.61K
-54.64%58.69K
130.02%112.78K
-70.34%37.26K
-59.57%45.04K
-59.57%45.04K
-Other receivables
----
0.00%25K
0.00%25K
0.00%25K
0.00%25K
-89.61%25K
-94.47%25K
-36.38%25K
37.63%25K
37.63%25K
Prepaid assets
184.90%133.92K
240.25%121.87K
82.57%92.33K
-13.79%44.94K
-13.79%44.94K
99.35%47.01K
29.23%35.82K
-15.34%50.57K
258.93%52.12K
258.93%52.12K
Total current assets
11.88%4.43M
-25.23%3.47M
-62.97%3.06M
-47.16%4M
-47.16%4M
-63.16%3.96M
-41.14%4.65M
0.62%8.26M
-20.05%7.56M
-20.05%7.56M
Non current assets
Net PPE
2.67%6.26M
6.00%6.47M
0.27%6.15M
-0.79%6.12M
-0.79%6.12M
1,790.67%6.1M
2,022.20%6.1M
650.60%6.14M
584.32%6.16M
584.32%6.16M
-Gross PPE
2.93%6.34M
6.23%6.55M
0.56%6.22M
-2.11%6.18M
-2.11%6.18M
1,218.38%6.16M
1,344.47%6.16M
414.46%6.19M
393.61%6.32M
393.61%6.32M
-Accumulated depreciation
-27.49%-79.55K
-30.57%-75.38K
-33.67%-70.74K
55.76%-67.05K
55.76%-67.05K
56.91%-62.39K
58.45%-57.74K
86.27%-52.92K
59.99%-151.55K
59.99%-151.55K
Investments and advances
----
----
----
--0
--0
-70.00%450K
-10.00%450K
--650K
--700K
--700K
-Financial asset investment
----
----
----
--0
--0
-70.00%450K
-10.00%450K
--650K
--700K
--700K
-Including:Available-for-sale securities
----
----
----
----
----
-70.00%450K
-10.00%450K
--650K
--700K
--700K
Total non current assets
-4.38%6.26M
-1.28%6.47M
-9.33%6.15M
-10.90%6.12M
-10.90%6.12M
148.10%6.55M
467.47%6.55M
480.90%6.79M
518.58%6.86M
518.58%6.86M
Total assets
1.74%10.69M
-11.21%9.95M
-38.78%9.21M
-29.91%10.11M
-29.91%10.11M
-21.47%10.51M
23.79%11.2M
60.46%15.04M
36.51%14.43M
36.51%14.43M
Liabilities
Current liabilities
Payables
19.13%437.63K
20.33%402.06K
373.91%295.53K
342.05%364.18K
342.05%364.18K
152.22%367.35K
150.71%334.14K
-31.57%62.36K
131.10%82.38K
131.10%82.38K
-accounts payable
19.13%437.63K
20.33%402.06K
373.91%295.53K
342.05%364.18K
342.05%364.18K
152.22%367.35K
150.71%334.14K
-31.57%62.36K
131.10%82.38K
131.10%82.38K
Current accrued expenses
51.44%68.15K
58.87%47.66K
-24.69%61.98K
-1.26%157.51K
-1.26%157.51K
-10.77%45K
-50.43%30K
24.35%82.3K
151.16%159.52K
151.16%159.52K
Current liabilities
22.66%505.78K
23.50%449.73K
147.14%357.51K
115.66%521.68K
115.66%521.68K
110.30%412.35K
43.47%364.14K
-33.43%144.66K
51.99%241.9K
51.99%241.9K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--2.43M
--0
--0
Total liabilities
22.66%505.78K
23.50%449.73K
-86.13%357.51K
115.66%521.68K
115.66%521.68K
110.30%412.35K
43.47%364.14K
1,086.29%2.58M
51.99%241.9K
51.99%241.9K
Shareholders'equity
Share capital
1.52%19.28M
1.15%19.21M
2.07%19.21M
2.07%19.21M
2.07%19.21M
0.31%18.99M
8.94%18.99M
7.95%18.82M
7.95%18.82M
7.95%18.82M
-common stock
1.52%19.28M
1.15%19.21M
2.07%19.21M
2.07%19.21M
2.07%19.21M
0.31%18.99M
8.94%18.99M
7.95%18.82M
7.95%18.82M
7.95%18.82M
Additional paid-in capital
5.72%4.51M
2.19%4.14M
2.25%4.08M
3.31%4.07M
3.31%4.07M
10.53%4.27M
23.53%4.05M
21.76%3.99M
20.00%3.94M
20.00%3.94M
Retained earnings
-507.75%-13.79M
-1,045.79%-14.31M
-4,237.51%-14.85M
-1,178.90%-14.12M
-1,178.90%-14.12M
-232.86%-2.27M
-99.65%-1.25M
236.59%358.89K
32.46%1.31M
32.46%1.31M
Gains losses not affecting retained earnings
101.63%184.06K
101.44%163.07K
101.03%115.7K
100.72%80.9K
100.72%80.9K
0.48%-11.26M
-0.06%-11.32M
0.73%-11.23M
0.50%-11.26M
0.50%-11.26M
Other equity interest
----
0.00%296.6K
-34.89%296.6K
0.00%296.6K
0.00%296.6K
--296.6K
1,074.65%296.6K
1,704.19%455.56K
1,074.65%296.6K
1,074.65%296.6K
Total stockholders'equity
1.61%10.18M
-11.80%9.5M
-28.57%8.85M
-27.29%9.53M
-27.29%9.53M
-23.97%10.02M
22.41%10.77M
35.33%12.39M
25.85%13.1M
25.85%13.1M
Noncontrolling interests
--0
--0
--0
-94.02%64.9K
-94.02%64.9K
--71.44K
--71.49K
--72.87K
--1.08M
--1.08M
Total equity
0.89%10.18M
-12.38%9.5M
-28.98%8.85M
-32.39%9.59M
-32.39%9.59M
-23.43%10.09M
23.22%10.84M
36.12%12.47M
36.27%14.18M
36.27%14.18M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Jan 31, 2026(Q2)Oct 31, 2025(Q1)Jul 31, 2025(FY)Apr 30, 2025(Q4)Apr 30, 2025(Q3)Jan 31, 2025(Q2)Oct 31, 2024(Q1)Jul 31, 2024(FY)Apr 30, 2024(Q4)Apr 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments 10.85%4.24M-26.30%3.3M-64.53%2.89M-47.93%3.87M-47.93%3.87M-62.12%3.82M-39.21%4.47M2.14%8.14M-20.05%7.44M-20.05%7.44M
-Cash and cash equivalents 170.98%620.19K38.26%293.33K-28.43%108.65K78.42%307.36K78.42%307.36K-63.17%228.87K359.37%212.17K104.03%151.81K-19.41%172.27K-19.41%172.27K
-Short term investments 0.65%3.62M-29.51%3M-65.22%2.78M-50.93%3.57M-50.93%3.57M-62.05%3.6M-41.73%4.26M1.18%7.99M-20.06%7.27M-20.06%7.27M
Receivables -37.08%53.84K-59.10%57.12K19.70%76.78K9.13%78.5K9.13%78.5K-89.69%85.58K-72.66%139.67K-63.29%64.15K-48.86%71.93K-48.86%71.93K
-Accounts receivable --0--00.05%1.89K0.00%1.88K0.00%1.88K-94.58%1.89K-80.80%1.88K-80.80%1.88K-82.99%1.88K-82.99%1.88K
-Taxes receivable -8.26%53.84K-71.52%32.12K33.90%49.9K14.58%51.61K14.58%51.61K-54.64%58.69K130.02%112.78K-70.34%37.26K-59.57%45.04K-59.57%45.04K
-Other receivables ----0.00%25K0.00%25K0.00%25K0.00%25K-89.61%25K-94.47%25K-36.38%25K37.63%25K37.63%25K
Prepaid assets 184.90%133.92K240.25%121.87K82.57%92.33K-13.79%44.94K-13.79%44.94K99.35%47.01K29.23%35.82K-15.34%50.57K258.93%52.12K258.93%52.12K
Total current assets 11.88%4.43M-25.23%3.47M-62.97%3.06M-47.16%4M-47.16%4M-63.16%3.96M-41.14%4.65M0.62%8.26M-20.05%7.56M-20.05%7.56M
Non current assets
Net PPE 2.67%6.26M6.00%6.47M0.27%6.15M-0.79%6.12M-0.79%6.12M1,790.67%6.1M2,022.20%6.1M650.60%6.14M584.32%6.16M584.32%6.16M
-Gross PPE 2.93%6.34M6.23%6.55M0.56%6.22M-2.11%6.18M-2.11%6.18M1,218.38%6.16M1,344.47%6.16M414.46%6.19M393.61%6.32M393.61%6.32M
-Accumulated depreciation -27.49%-79.55K-30.57%-75.38K-33.67%-70.74K55.76%-67.05K55.76%-67.05K56.91%-62.39K58.45%-57.74K86.27%-52.92K59.99%-151.55K59.99%-151.55K
Investments and advances --------------0--0-70.00%450K-10.00%450K--650K--700K--700K
-Financial asset investment --------------0--0-70.00%450K-10.00%450K--650K--700K--700K
-Including:Available-for-sale securities ---------------------70.00%450K-10.00%450K--650K--700K--700K
Total non current assets -4.38%6.26M-1.28%6.47M-9.33%6.15M-10.90%6.12M-10.90%6.12M148.10%6.55M467.47%6.55M480.90%6.79M518.58%6.86M518.58%6.86M
Total assets 1.74%10.69M-11.21%9.95M-38.78%9.21M-29.91%10.11M-29.91%10.11M-21.47%10.51M23.79%11.2M60.46%15.04M36.51%14.43M36.51%14.43M
Liabilities
Current liabilities
Payables 19.13%437.63K20.33%402.06K373.91%295.53K342.05%364.18K342.05%364.18K152.22%367.35K150.71%334.14K-31.57%62.36K131.10%82.38K131.10%82.38K
-accounts payable 19.13%437.63K20.33%402.06K373.91%295.53K342.05%364.18K342.05%364.18K152.22%367.35K150.71%334.14K-31.57%62.36K131.10%82.38K131.10%82.38K
Current accrued expenses 51.44%68.15K58.87%47.66K-24.69%61.98K-1.26%157.51K-1.26%157.51K-10.77%45K-50.43%30K24.35%82.3K151.16%159.52K151.16%159.52K
Current liabilities 22.66%505.78K23.50%449.73K147.14%357.51K115.66%521.68K115.66%521.68K110.30%412.35K43.47%364.14K-33.43%144.66K51.99%241.9K51.99%241.9K
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--2.43M--0--0
Total liabilities 22.66%505.78K23.50%449.73K-86.13%357.51K115.66%521.68K115.66%521.68K110.30%412.35K43.47%364.14K1,086.29%2.58M51.99%241.9K51.99%241.9K
Shareholders'equity
Share capital 1.52%19.28M1.15%19.21M2.07%19.21M2.07%19.21M2.07%19.21M0.31%18.99M8.94%18.99M7.95%18.82M7.95%18.82M7.95%18.82M
-common stock 1.52%19.28M1.15%19.21M2.07%19.21M2.07%19.21M2.07%19.21M0.31%18.99M8.94%18.99M7.95%18.82M7.95%18.82M7.95%18.82M
Additional paid-in capital 5.72%4.51M2.19%4.14M2.25%4.08M3.31%4.07M3.31%4.07M10.53%4.27M23.53%4.05M21.76%3.99M20.00%3.94M20.00%3.94M
Retained earnings -507.75%-13.79M-1,045.79%-14.31M-4,237.51%-14.85M-1,178.90%-14.12M-1,178.90%-14.12M-232.86%-2.27M-99.65%-1.25M236.59%358.89K32.46%1.31M32.46%1.31M
Gains losses not affecting retained earnings 101.63%184.06K101.44%163.07K101.03%115.7K100.72%80.9K100.72%80.9K0.48%-11.26M-0.06%-11.32M0.73%-11.23M0.50%-11.26M0.50%-11.26M
Other equity interest ----0.00%296.6K-34.89%296.6K0.00%296.6K0.00%296.6K--296.6K1,074.65%296.6K1,704.19%455.56K1,074.65%296.6K1,074.65%296.6K
Total stockholders'equity 1.61%10.18M-11.80%9.5M-28.57%8.85M-27.29%9.53M-27.29%9.53M-23.97%10.02M22.41%10.77M35.33%12.39M25.85%13.1M25.85%13.1M
Noncontrolling interests --0--0--0-94.02%64.9K-94.02%64.9K--71.44K--71.49K--72.87K--1.08M--1.08M
Total equity 0.89%10.18M-12.38%9.5M-28.98%8.85M-32.39%9.59M-32.39%9.59M-23.43%10.09M23.22%10.84M36.12%12.47M36.27%14.18M36.27%14.18M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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