AU Stock MarketDetailed Quotes

Southern Cross Gold Consolidated Ltd (SX2)

Watchlist
  • 12.670
  • -0.060-0.47%
20min DelayMarket Closed Sep 11 16:00 AET
3.42BMarket Cap-633.50P/E (Static)

Southern Cross Gold Consolidated Ltd (SX2) Balance Sheet

Cumulative·All
YOY yoy
Hide blank lines yoy
Currency: CAD
2026/Q4
2026/Q3
2026/Q2
2026/Q1
2025/Q4
2025/Q3
2025/Q2
2025/Q1
2024/Q4
2024/Q3
2024/Q2
2024/Q1
2023/Q4
2023/Q3
2023/Q2
2023/Q1
2022/Q4
2022/Q3
2022/Q2
2022/Q1
Total Assets
+12.40%275.56M
+149.41%262.43M
+537.95%250.48M
+486.88%246.98M
+506.70%245.16M
+215.17%105.22M
+7.41%39.26M
-43.58%42.08M
-46.99%40.41M
-56.75%33.39M
-54.33%36.55M
+13.46%74.59M
+14.55%76.22M
+24.88%77.18M
+49.10%80.04M
+20.07%65.74M
+21.06%66.54M
+9.52%61.81M
-2.82%53.68M
-1.92%54.75M
Total Current Assets
-20.25%121.06M
+645.44%124.67M
+1774.05%131.30M
+959.74%142.39M
+856.85%151.80M
+44.85%16.72M
-11.84%7.01M
+22.18%13.44M
+5.82%15.86M
-37.40%11.55M
-62.54%7.95M
+10.12%11.00M
+20.79%14.99M
+101.54%18.44M
+464.75%21.21M
+77.75%9.99M
+61.91%12.41M
-24.71%9.15M
-74.62%3.76M
-68.06%5.62M
Cash and Cash Equivalents & Short-Term Investments
-21.22%119.13M
+655.26%123.17M
+1871.70%130.38M
+992.00%141.18M
+875.72%151.21M
+45.02%16.31M
-13.21%6.61M
+19.91%12.93M
+5.57%15.50M
-37.69%11.25M
-63.36%7.62M
+11.48%10.78M
+20.91%14.68M
+103.97%18.05M
+496.91%20.79M
+79.94%9.67M
+64.37%12.14M
-22.32%8.85M
-75.41%3.48M
-67.97%5.37M
-Cash and Cash Equivalents
-21.22%119.13M
+655.26%123.17M
+1871.70%130.38M
+992.00%141.18M
+875.72%151.21M
+45.02%16.31M
-13.21%6.61M
+19.91%12.93M
+5.57%15.50M
-37.69%11.25M
-63.36%7.62M
+11.48%10.78M
+20.91%14.68M
+103.97%18.05M
+496.91%20.79M
+79.94%9.67M
+64.37%12.14M
-22.32%8.85M
-75.41%3.48M
-67.97%5.37M
Receivables
+39.31%657.11K
+40.93%403.63K
+61.33%460.86K
+181.89%658.04K
+98.04%471.71K
+58.04%286.40K
+23.90%285.66K
+43.03%233.44K
+8.07%238.19K
-43.56%181.22K
-24.00%230.56K
+43.66%163.21K
+69.76%220.40K
+31.54%321.06K
+85.17%303.37K
+26.19%113.61K
+3.72%129.83K
-44.23%244.07K
-8.86%163.83K
-33.01%90.03K
-Accounts Receivable
-100.00%0.00
--0.00
--0.00
--7.05K
--83.39K
----
----
----
--0.00
----
----
----
----
----
----
----
----
----
----
----
-Taxes Receivable
+69.22%657.11K
+40.93%403.63K
+61.33%460.86K
+178.87%650.99K
+63.03%388.32K
+58.04%286.40K
+23.90%285.66K
+43.03%233.44K
+8.07%238.19K
-43.56%181.22K
-24.00%230.56K
+43.66%163.21K
+69.76%220.40K
+31.54%321.06K
+85.17%303.37K
+26.19%113.61K
+3.72%129.83K
-44.23%244.07K
+42.02%163.83K
-2.19%90.03K
Prepaid Assets
+966.15%1.27M
----
--457.00K
----
-7.59%119.39K
----
----
----
+40.80%129.20K
+59.82%119.63K
-15.50%98.11K
-73.76%53.01K
-35.19%91.76K
+26.40%74.85K
+6.69%116.11K
+31.36%202.02K
-8.54%141.59K
-81.84%59.22K
-76.11%108.82K
-77.36%153.79K
Other Current Assets
----
+744.56%1.10M
----
+102.18%555.06K
----
--129.80K
--107.89K
--274.54K
----
----
----
----
----
----
----
----
----
----
----
----
Total Non-Current Assets
+65.49%154.50M
+55.66%137.76M
+269.46%119.18M
+265.08%104.58M
+280.37%93.36M
+305.21%88.50M
+12.76%32.26M
-54.95%28.65M
-59.92%24.54M
-62.82%21.84M
-51.37%28.61M
+14.06%63.59M
+13.12%61.23M
+11.55%58.74M
+17.83%58.83M
+13.47%55.75M
+14.44%54.13M
+18.91%52.66M
+23.46%49.93M
+28.51%49.13M
Net PPE
+64.37%152.02M
+53.93%134.94M
+280.73%118.37M
+277.72%103.80M
+285.66%92.49M
+325.37%87.67M
+15.65%31.09M
-55.64%27.48M
-59.42%23.98M
-63.14%20.61M
-51.24%26.88M
+18.16%61.95M
+14.58%59.10M
+11.49%55.92M
+18.20%55.14M
+16.05%52.43M
+16.71%51.58M
+20.98%50.15M
+22.82%46.65M
+26.66%45.17M
-Gross PPE
+64.55%153.02M
+54.19%135.84M
+278.42%119.08M
+275.62%104.40M
+283.69%92.99M
+323.21%88.10M
+14.39%31.47M
-55.52%27.80M
-59.32%24.24M
-63.05%20.82M
-50.46%27.51M
+18.34%62.50M
+14.69%59.58M
+11.52%56.33M
+18.15%55.53M
+16.02%52.81M
+16.68%51.95M
+20.97%50.52M
+22.77%47.00M
+26.55%45.52M
-Accumulated Depreciation
-97.93%-997.97K
-106.01%-890.30K
-88.08%-710.48K
-91.56%-599.93K
-98.12%-504.22K
-108.72%-432.17K
+39.60%-377.75K
+42.90%-313.18K
+47.68%-254.50K
+50.27%-207.06K
-58.66%-625.41K
-43.68%-548.48K
-30.28%-486.41K
-14.49%-416.32K
-11.74%-394.18K
-11.83%-381.75K
-13.15%-373.35K
-20.13%-363.63K
-17.27%-352.77K
-14.51%-341.36K
Investments and Advances
+184.93%2.48M
+238.51%2.81M
-30.84%806.58K
-33.16%778.30K
+54.75%869.78K
-32.50%830.24K
-32.31%1.17M
-29.03%1.16M
-73.66%562.05K
-56.43%1.23M
-50.42%1.72M
-46.98%1.64M
-16.28%2.13M
+24.70%2.82M
+15.56%3.48M
-16.78%3.09M
-17.83%2.55M
-16.30%2.26M
+28.66%3.01M
+52.29%3.72M
-Financial Assets Designated As Fair Value Through Profit or Loss
-25.38%577.41K
+17.92%866.07K
--669.35K
-39.76%648.74K
+57.11%773.80K
-35.33%734.48K
----
-23.37%1.08M
-74.03%492.51K
-55.60%1.14M
--1.44M
-54.58%1.41M
-18.96%1.90M
--2.56M
----
--3.09M
-21.61%2.34M
----
----
----
-Available for Sale Securities
----
----
----
----
----
----
----
----
-70.62%69.55K
-64.44%94.30K
--278.79K
--235.18K
+13.84%236.72K
--265.22K
----
----
+80.10%207.94K
----
----
----
-Held to Maturity Securities
+1880.33%1.90M
+1930.39%1.94M
+57.81%137.23K
+48.17%129.56K
+38.02%95.99K
--95.76K
--86.96K
--87.44K
--69.55K
----
----
----
----
----
----
----
----
----
----
----
-Other Investment
----
----
----
----
----
----
--1.08M
----
----
----
----
----
----
----
----
----
----
----
----
----
Non-Current Note Receivables
----
----
----
----
----
----
----
----
----
----
----
----
----
----
+0.19%216.40K
-3.87%228.09K
----
+99.34%240.44K
+77.08%215.98K
+95.32%237.27K
Non-Current Deferred Assets
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--57.00K
----
Total Liabilities
+115.39%8.67M
+84.64%4.78M
+82.26%4.07M
+38.68%3.45M
+154.08%4.02M
+141.65%2.59M
-31.24%2.23M
-3.18%2.48M
-38.84%1.58M
-26.51%1.07M
+93.48%3.25M
+263.16%2.57M
+152.60%2.59M
-50.13%1.46M
+88.68%1.68M
+17.68%706.57K
+5.46%1.03M
+36.62%2.92M
+13.15%889.43K
-11.12%600.41K
Total Current Liabilities
+121.90%6.56M
+87.81%3.70M
+94.74%3.08M
+34.83%2.44M
+99.78%2.96M
+110.07%1.97M
-38.78%1.58M
-4.66%1.81M
-21.24%1.48M
-27.15%936.91K
+53.88%2.58M
+168.87%1.90M
+83.33%1.88M
-55.96%1.29M
+88.68%1.68M
+17.68%706.57K
+5.46%1.03M
+36.62%2.92M
+13.15%889.43K
-11.12%600.41K
Short-Term Debt and Capital Lease Obligation
+0.00%197.70K
+61.37%254.63K
+15.79%205.01K
+13.51%224.99K
+97.45%197.70K
+83.05%157.79K
+0.56%177.05K
+39.40%198.22K
-28.25%100.12K
+47.77%86.20K
--176.06K
--142.20K
--139.54K
--58.33K
----
----
----
----
----
----
-Current Capital Lease Obligation
+0.00%197.70K
+61.37%254.63K
+15.79%205.01K
+13.51%224.99K
+97.45%197.70K
+83.05%157.79K
+0.56%177.05K
+39.40%198.22K
-28.25%100.12K
+47.77%86.20K
--176.06K
--142.20K
--139.54K
--58.33K
----
----
--0.00
----
----
----
Other Current Liabilities
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--1.66M
----
----
Total Non-Current Liabilities
+97.34%2.11M
+74.56%1.08M
+52.00%990.78K
+49.05%1.00M
+930.54%1.07M
+363.50%618.24K
-1.92%651.83K
+1.02%673.08K
-85.42%103.52K
-21.65%133.39K
--664.58K
--666.26K
--710.10K
--170.25K
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
Long Term Debt and Capital Lease Obligation
-48.26%551.95K
+74.56%1.08M
+52.00%990.78K
+49.05%1.00M
+930.54%1.07M
+363.50%618.24K
-1.92%651.83K
+1.02%673.08K
-85.42%103.52K
-21.65%133.39K
--664.58K
--666.26K
--710.10K
--170.25K
----
----
----
----
----
----
-Long Term Capital Lease Obligation
-48.26%551.95K
+74.56%1.08M
+52.00%990.78K
+49.05%1.00M
+930.54%1.07M
+363.50%618.24K
-1.92%651.83K
+1.02%673.08K
-85.42%103.52K
-21.65%133.39K
--664.58K
--666.26K
--710.10K
--170.25K
----
----
--0.00
----
----
----
Non-Current Liabilities
--1.55M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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Total Equity
+10.68%266.90M
+151.04%257.65M
+565.43%246.41M
+515.00%243.53M
+521.09%241.14M
+217.60%102.63M
+11.18%37.03M
-45.02%39.60M
-47.27%38.83M
-57.33%32.32M
-57.50%33.31M
+10.75%72.02M
+12.39%73.63M
+28.60%75.73M
+48.43%78.36M
+20.10%65.03M
+21.35%65.51M
+8.45%58.89M
-3.05%52.79M
-1.81%54.15M
Stockholders' Equity
+10.68%266.90M
+151.04%257.65M
+1122.28%246.41M
+1002.15%243.53M
+1004.28%241.14M
+448.04%102.63M
+6.53%20.16M
-62.19%22.10M
-63.46%21.84M
-68.45%18.73M
-69.28%18.92M
+0.80%58.44M
+2.71%59.76M
+5.01%59.36M
+16.70%61.61M
+7.07%57.97M
+7.77%58.19M
+4.10%56.53M
-3.05%52.79M
-1.81%54.15M
Capital Stock
+1.84%670.28M
+27.79%659.99M
+572.63%659.36M
+572.00%658.75M
+573.79%658.15M
+431.35%516.46M
+3.00%98.03M
+4.27%98.03M
+3.92%97.68M
+3.66%97.20M
+1.55%95.18M
+0.31%94.02M
+0.29%93.99M
+0.13%93.76M
+5.43%93.72M
+5.64%93.72M
+5.64%93.72M
+5.54%93.64M
+0.22%88.90M
+0.37%88.72M
-Common Stock
+1.84%670.28M
+27.79%659.99M
+572.63%659.36M
+572.00%658.75M
+573.79%658.15M
+431.35%516.46M
+3.00%98.03M
+4.27%98.03M
+3.92%97.68M
+3.66%97.20M
+1.55%95.18M
+0.31%94.02M
+0.29%93.99M
+0.13%93.76M
+5.43%93.72M
+5.64%93.72M
+5.64%93.72M
+5.54%93.64M
+0.22%88.90M
+0.37%88.72M
Retained Earnings
-1.28%-434.38M
-2.24%-431.10M
-335.01%-430.51M
-342.51%-429.83M
-344.14%-428.90M
-339.98%-421.67M
-4.62%-98.97M
-80.13%-97.13M
-83.07%-96.57M
-83.30%-95.84M
-94.91%-94.59M
-13.07%-53.92M
-10.36%-52.75M
-12.41%-52.29M
-6.97%-48.53M
-8.85%-47.69M
-8.84%-47.80M
-6.70%-46.51M
-4.56%-45.37M
-3.21%-43.82M
Gains/Losses Not Affecting Retained Earnings
+1085.95%20.57M
+1206.83%15.33M
+568.86%3.81M
+243.27%758.38K
-246.23%-2.09M
-205.16%-1.39M
-266.58%-812.52K
+11.18%-529.33K
-39.53%-602.68K
-303.72%-453.92K
-514.08%-221.65K
-98.86%-595.97K
-2731.89%-431.95K
--222.82K
--53.53K
---299.69K
--16.41K
----
----
----
Other Equity Interests
-25.43%10.42M
+45.56%13.43M
-37.24%13.75M
-36.27%13.85M
-34.49%13.97M
-48.22%9.23M
+18.04%21.91M
+14.70%21.73M
+12.54%21.33M
+0.90%17.82M
+13.44%18.56M
+54.75%18.95M
+54.81%18.95M
+87.83%17.66M
+76.64%16.36M
+32.45%12.24M
+33.32%12.24M
+2.53%9.40M
+1.30%9.26M
+0.43%9.24M
Minority Interests
----
----
----
----
-100.00%0.00
-100.00%0.00
+17.30%16.87M
+28.90%17.50M
+22.48%16.99M
-16.98%13.59M
-14.16%14.38M
+92.49%13.58M
+89.24%13.87M
+593.21%16.37M
--16.75M
--7.05M
--7.33M
--2.36M
----
----
Deadline
May 31, 2026
Feb 28, 2026
Nov 30, 2025
Aug 31, 2025
May 31, 2025
Feb 28, 2025
Nov 30, 2024
Aug 31, 2024
May 31, 2024
Feb 29, 2024
Nov 30, 2023
Aug 31, 2023
May 31, 2023
Feb 28, 2023
Nov 30, 2022
Aug 31, 2022
May 31, 2022
Feb 28, 2022
Nov 30, 2021
Aug 31, 2021
Accounting Standard
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
Audit Opinions
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2026/Q42026/Q32026/Q22026/Q12025/Q42025/Q32025/Q22025/Q12024/Q42024/Q32024/Q22024/Q12023/Q42023/Q32023/Q22023/Q12022/Q42022/Q32022/Q22022/Q1