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STTDF STANDARD URANIUM LTD

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  • 0.035500
  • 0.0000000.00%
15min DelayTrading May 2 16:00 ET
8.17MMarket Cap-5071P/E (TTM)

STANDARD URANIUM LTD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Jan 31, 2024
(Q2)Oct 31, 2023
(Q1)Jul 31, 2023
(FY)Apr 30, 2023
(Q4)Apr 30, 2023
(Q3)Jan 31, 2023
(Q2)Oct 31, 2022
(Q1)Jul 31, 2022
(FY)Apr 30, 2022
(Q4)Apr 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-46.78%934.17K
-98.79%31.58K
-98.68%3.13K
-94.13%28.03K
-94.13%28.03K
-35.35%1.76M
-32.26%2.62M
-57.65%236.93K
-68.39%477.35K
-68.39%477.35K
-Cash and cash equivalents
-52.66%830.85K
-98.79%31.58K
-98.68%3.13K
-94.13%28.03K
-94.13%28.03K
-35.35%1.76M
-32.26%2.62M
-57.65%236.93K
-68.39%477.35K
-68.39%477.35K
-Short-term investments
--103.32K
----
----
----
----
----
----
----
----
----
Receivables
-88.72%9.09K
--0
-13.70%88.84K
-9.52%154.72K
-9.52%154.72K
-10.63%80.62K
-19.22%138.84K
-7.52%102.94K
-40.65%171K
-40.65%171K
-Accounts receivable
----
----
----
-9.52%154.72K
-9.52%154.72K
----
----
----
-40.65%171K
-40.65%171K
-Taxes receivable
-75.00%9.09K
--0
-28.54%41.94K
----
----
--36.37K
--94.59K
--58.69K
----
----
-Other receivables
----
----
5.99%46.9K
----
----
--44.25K
--44.25K
--44.25K
----
----
Prepaid assets
-18.61%265.24K
-90.73%39.83K
-67.16%107.25K
72.71%181.16K
72.71%181.16K
68.94%325.89K
111.26%429.72K
48.28%326.57K
-36.13%104.89K
-36.13%104.89K
Other current assets
----
----
----
----
----
--20K
----
----
----
----
Total current assets
-44.61%1.21M
-97.76%71.41K
-70.11%199.22K
-51.69%363.91K
-51.69%363.91K
-27.23%2.18M
-24.84%3.18M
-25.21%666.44K
-61.62%753.24K
-61.62%753.24K
Non current assets
Net PPE
14.34%17.87M
17.61%17.97M
18.29%17.79M
54.17%17.61M
54.17%17.61M
61.85%15.63M
62.10%15.28M
113.25%15.04M
130.77%11.42M
130.77%11.42M
Non current prepaid assets
-61.54%135.36K
-60.42%156.03K
167.70%185.6K
26.72%277.94K
26.72%277.94K
127.34%351.97K
3.92%394.25K
-83.60%69.33K
-61.72%219.33K
-61.72%219.33K
Total non current assets
12.67%18M
15.65%18.13M
18.98%17.98M
53.65%17.89M
53.65%17.89M
62.88%15.98M
59.85%15.68M
102.12%15.11M
110.80%11.64M
110.80%11.64M
Total assets
5.78%19.21M
-3.50%18.2M
15.22%18.18M
47.25%18.25M
47.25%18.25M
41.79%18.16M
34.30%18.86M
88.56%15.78M
65.60%12.4M
65.60%12.4M
Liabilities
Current liabilities
Current debt and capital lease obligation
----
--102.46K
--50.33K
----
----
----
----
----
----
----
-Current debt
----
--102.46K
--50.33K
----
----
----
----
----
----
----
Other current liabilities
-25.43%253.44K
-92.81%40.34K
-70.28%60.05K
--106.34K
--106.34K
299.72%339.88K
279.67%560.75K
--202.05K
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----
Current liabilities
-23.84%371.12K
43.57%1.22M
1.30%1.01M
347.86%803.53K
347.86%803.53K
31.46%487.28K
-37.11%848K
-22.17%1M
-59.87%179.42K
-59.87%179.42K
Non current liabilities
Non current deferred liabilities
94.18%1.54M
94.18%1.54M
94.18%1.54M
94.18%1.54M
94.18%1.54M
--791K
--791K
--791K
--791K
--791K
Other non current liabilities
--8.82K
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----
----
----
----
----
----
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----
Total non current liabilities
95.30%1.54M
94.18%1.54M
94.18%1.54M
94.18%1.54M
94.18%1.54M
--791K
--791K
--791K
--791K
--791K
Total liabilities
49.89%1.92M
68.00%2.75M
42.30%2.55M
141.09%2.34M
141.09%2.34M
244.86%1.28M
21.55%1.64M
39.33%1.79M
117.07%970.42K
117.07%970.42K
Shareholders'equity
Share capital
10.51%22.63M
0.32%20.56M
17.24%20.48M
33.68%20.48M
33.68%20.48M
33.68%20.48M
34.61%20.5M
96.29%17.47M
72.14%15.32M
72.14%15.32M
-common stock
10.51%22.63M
0.32%20.56M
17.24%20.48M
33.68%20.48M
33.68%20.48M
33.68%20.48M
34.61%20.5M
96.29%17.47M
72.14%15.32M
72.14%15.32M
Retained earnings
-16.84%-7.68M
-20.56%-7.42M
-31.77%-7.79M
-33.41%-7.61M
-33.41%-7.61M
-49.35%-6.57M
-52.47%-6.15M
-58.63%-5.91M
-66.25%-5.7M
-66.25%-5.7M
Paid-in capital
-21.26%2.34M
-20.01%2.3M
21.00%2.94M
68.24%3.04M
68.24%3.04M
95.95%2.98M
91.29%2.88M
47.15%2.43M
15.26%1.81M
15.26%1.81M
Total stockholders'equity
2.45%17.3M
-10.31%15.45M
11.75%15.63M
39.28%15.91M
39.28%15.91M
35.73%16.88M
35.65%17.22M
97.50%13.99M
62.33%11.43M
62.33%11.43M
Total equity
2.45%17.3M
-10.31%15.45M
11.75%15.63M
39.28%15.91M
39.28%15.91M
35.73%16.88M
35.65%17.22M
97.50%13.99M
62.33%11.43M
62.33%11.43M
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)Jan 31, 2024(Q2)Oct 31, 2023(Q1)Jul 31, 2023(FY)Apr 30, 2023(Q4)Apr 30, 2023(Q3)Jan 31, 2023(Q2)Oct 31, 2022(Q1)Jul 31, 2022(FY)Apr 30, 2022(Q4)Apr 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -46.78%934.17K-98.79%31.58K-98.68%3.13K-94.13%28.03K-94.13%28.03K-35.35%1.76M-32.26%2.62M-57.65%236.93K-68.39%477.35K-68.39%477.35K
-Cash and cash equivalents -52.66%830.85K-98.79%31.58K-98.68%3.13K-94.13%28.03K-94.13%28.03K-35.35%1.76M-32.26%2.62M-57.65%236.93K-68.39%477.35K-68.39%477.35K
-Short-term investments --103.32K------------------------------------
Receivables -88.72%9.09K--0-13.70%88.84K-9.52%154.72K-9.52%154.72K-10.63%80.62K-19.22%138.84K-7.52%102.94K-40.65%171K-40.65%171K
-Accounts receivable -------------9.52%154.72K-9.52%154.72K-------------40.65%171K-40.65%171K
-Taxes receivable -75.00%9.09K--0-28.54%41.94K----------36.37K--94.59K--58.69K--------
-Other receivables --------5.99%46.9K----------44.25K--44.25K--44.25K--------
Prepaid assets -18.61%265.24K-90.73%39.83K-67.16%107.25K72.71%181.16K72.71%181.16K68.94%325.89K111.26%429.72K48.28%326.57K-36.13%104.89K-36.13%104.89K
Other current assets ----------------------20K----------------
Total current assets -44.61%1.21M-97.76%71.41K-70.11%199.22K-51.69%363.91K-51.69%363.91K-27.23%2.18M-24.84%3.18M-25.21%666.44K-61.62%753.24K-61.62%753.24K
Non current assets
Net PPE 14.34%17.87M17.61%17.97M18.29%17.79M54.17%17.61M54.17%17.61M61.85%15.63M62.10%15.28M113.25%15.04M130.77%11.42M130.77%11.42M
Non current prepaid assets -61.54%135.36K-60.42%156.03K167.70%185.6K26.72%277.94K26.72%277.94K127.34%351.97K3.92%394.25K-83.60%69.33K-61.72%219.33K-61.72%219.33K
Total non current assets 12.67%18M15.65%18.13M18.98%17.98M53.65%17.89M53.65%17.89M62.88%15.98M59.85%15.68M102.12%15.11M110.80%11.64M110.80%11.64M
Total assets 5.78%19.21M-3.50%18.2M15.22%18.18M47.25%18.25M47.25%18.25M41.79%18.16M34.30%18.86M88.56%15.78M65.60%12.4M65.60%12.4M
Liabilities
Current liabilities
Current debt and capital lease obligation ------102.46K--50.33K----------------------------
-Current debt ------102.46K--50.33K----------------------------
Other current liabilities -25.43%253.44K-92.81%40.34K-70.28%60.05K--106.34K--106.34K299.72%339.88K279.67%560.75K--202.05K--------
Current liabilities -23.84%371.12K43.57%1.22M1.30%1.01M347.86%803.53K347.86%803.53K31.46%487.28K-37.11%848K-22.17%1M-59.87%179.42K-59.87%179.42K
Non current liabilities
Non current deferred liabilities 94.18%1.54M94.18%1.54M94.18%1.54M94.18%1.54M94.18%1.54M--791K--791K--791K--791K--791K
Other non current liabilities --8.82K------------------------------------
Total non current liabilities 95.30%1.54M94.18%1.54M94.18%1.54M94.18%1.54M94.18%1.54M--791K--791K--791K--791K--791K
Total liabilities 49.89%1.92M68.00%2.75M42.30%2.55M141.09%2.34M141.09%2.34M244.86%1.28M21.55%1.64M39.33%1.79M117.07%970.42K117.07%970.42K
Shareholders'equity
Share capital 10.51%22.63M0.32%20.56M17.24%20.48M33.68%20.48M33.68%20.48M33.68%20.48M34.61%20.5M96.29%17.47M72.14%15.32M72.14%15.32M
-common stock 10.51%22.63M0.32%20.56M17.24%20.48M33.68%20.48M33.68%20.48M33.68%20.48M34.61%20.5M96.29%17.47M72.14%15.32M72.14%15.32M
Retained earnings -16.84%-7.68M-20.56%-7.42M-31.77%-7.79M-33.41%-7.61M-33.41%-7.61M-49.35%-6.57M-52.47%-6.15M-58.63%-5.91M-66.25%-5.7M-66.25%-5.7M
Paid-in capital -21.26%2.34M-20.01%2.3M21.00%2.94M68.24%3.04M68.24%3.04M95.95%2.98M91.29%2.88M47.15%2.43M15.26%1.81M15.26%1.81M
Total stockholders'equity 2.45%17.3M-10.31%15.45M11.75%15.63M39.28%15.91M39.28%15.91M35.73%16.88M35.65%17.22M97.50%13.99M62.33%11.43M62.33%11.43M
Total equity 2.45%17.3M-10.31%15.45M11.75%15.63M39.28%15.91M39.28%15.91M35.73%16.88M35.65%17.22M97.50%13.99M62.33%11.43M62.33%11.43M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

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