US Stock MarketDetailed Quotes

AAGFF AFTERMATH SILVER LTD

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  • 0.206500
  • -0.007200-3.37%
15min DelayClose Apr 30 15:54 ET
46.42MMarket Cap-7120P/E (TTM)

AFTERMATH SILVER LTD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Nov 30, 2023
(Q1)Aug 31, 2023
(FY)May 31, 2023
(Q4)May 31, 2023
(Q3)Feb 28, 2023
(Q2)Nov 30, 2022
(Q1)Aug 31, 2022
(FY)May 31, 2022
(Q4)May 31, 2022
(Q3)Feb 28, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-48.76%1.39M
590.88%2.64M
44.66%4.09M
44.66%4.09M
-80.88%1M
-63.70%2.72M
-96.59%382.73K
-75.91%2.83M
-75.91%2.83M
-64.04%5.24M
-Cash and cash equivalents
-48.76%1.39M
590.88%2.64M
44.66%4.09M
44.66%4.09M
-80.88%1M
-63.70%2.72M
-96.59%382.73K
-75.91%2.83M
-75.91%2.83M
-64.04%5.24M
Receivables
-0.88%17.92K
177.63%39.7K
-0.54%28.75K
-0.54%28.75K
-92.94%16.51K
54.81%18.07K
-65.82%14.3K
24.68%28.9K
24.68%28.9K
1,050.29%233.74K
-Accounts receivable
-0.88%17.92K
177.63%39.7K
-0.54%28.75K
-0.54%28.75K
-92.94%16.51K
54.81%18.07K
-65.82%14.3K
24.68%28.9K
24.68%28.9K
1,050.29%233.74K
Prepaid assets
-14.13%90.68K
-0.01%184.34K
90.48%275.12K
90.48%275.12K
73.18%143.59K
33.19%105.6K
76.01%184.36K
1.04%144.44K
1.04%144.44K
-34.90%82.91K
Total current assets
-47.17%1.5M
393.34%2.87M
114.64%6.44M
114.64%6.44M
-79.09%1.16M
-62.51%2.85M
-94.88%581.39K
-74.79%3M
-74.79%3M
-62.25%5.55M
Non current assets
Net PPE
-5.92%10.35M
-6.10%10.36M
233.45%8.5M
233.45%8.5M
330.57%11M
341.22%11M
342.23%11.03M
2.26%2.55M
2.26%2.55M
2.46%2.56M
-Gross PPE
-5.77%10.38M
-5.95%10.38M
233.52%8.53M
233.52%8.53M
331.23%11.02M
--11.02M
--11.04M
2.52%2.56M
2.52%2.56M
--2.56M
-Accumulated depreciation
-103.02%-29.38K
-155.13%-26.3K
-260.43%-23.26K
-260.43%-23.26K
-4,350.95%-18.78K
---14.47K
---10.31K
---6.45K
---6.45K
---422
Non current deferred assets
0.00%17.26M
0.00%17.26M
-23.39%17.26M
-23.39%17.26M
-22.69%17.42M
-23.39%17.26M
-23.39%17.26M
0.00%22.53M
0.00%22.53M
145.31%22.53M
Other non current assets
--57.97K
--102.54K
--60.06K
--60.06K
----
----
----
----
----
----
Total non current assets
-2.10%27.67M
-2.02%27.72M
2.96%25.83M
2.96%25.83M
13.29%28.42M
12.94%28.27M
13.04%28.29M
0.23%25.08M
0.23%25.08M
114.81%25.09M
Total assets
-6.22%29.18M
5.94%30.59M
14.89%32.27M
14.89%32.27M
-3.45%29.58M
-4.61%31.11M
-20.66%28.87M
-23.96%28.08M
-23.96%28.08M
16.11%30.64M
Liabilities
Current liabilities
Payables
-88.23%472.08K
-90.90%383.25K
-82.38%650.45K
-82.38%650.45K
11.80%3.83M
14.34%4.01M
42.24%4.21M
30.80%3.69M
30.80%3.69M
980.10%3.42M
-accounts payable
-11.31%447.4K
-55.25%357.42K
-13.16%453.93K
-13.16%453.93K
52.75%509.08K
65.62%504.43K
516.11%798.7K
357.73%522.7K
357.73%522.7K
7.98%333.26K
-Due to related parties current
-58.00%24.68K
-61.03%25.83K
11.05%35.85K
11.05%35.85K
29.93%36.04K
99.62%58.76K
378.21%66.29K
136.03%32.28K
136.03%32.28K
236.30%27.74K
-Other payable
----
----
-94.88%160.67K
-94.88%160.67K
7.17%3.28M
8.63%3.45M
18.78%3.35M
16.41%3.14M
16.41%3.14M
--3.06M
Current debt and capital lease obligation
----
----
----
----
0.16%292.09K
0.20%284.04K
182.91%779.58K
0.19%268.36K
0.19%268.36K
500.73%291.62K
-Current debt
----
----
----
----
0.16%292.09K
0.20%284.04K
182.91%779.58K
0.19%268.36K
0.19%268.36K
500.73%291.62K
Current liabilities
-89.01%472.08K
-92.32%383.25K
-83.58%650.45K
-83.58%650.45K
10.88%4.12M
13.29%4.29M
54.22%4.99M
28.15%3.96M
28.15%3.96M
916.42%3.71M
Non current liabilities
Long term debt and capital lease obligation
----
----
----
----
----
----
----
----
----
-47.09%261.28K
-Long term debt
----
----
----
----
----
----
----
----
----
-47.09%261.28K
Total non current liabilities
7.85%6.92M
12.45%6.71M
17.15%6.55M
17.15%6.55M
14.45%6.55M
25.72%6.42M
-28.38%5.96M
-27.17%5.59M
-27.17%5.59M
1,058.28%5.72M
Total liabilities
-30.96%7.4M
-35.28%7.09M
-24.60%7.2M
-24.60%7.2M
13.05%10.66M
20.42%10.71M
-5.26%10.95M
-11.30%9.55M
-11.30%9.55M
997.95%9.43M
Shareholders'equity
Share capital
18.91%53.59M
32.08%53.59M
36.97%53.59M
36.97%53.59M
16.35%45.07M
16.66%45.07M
5.05%40.57M
1.42%39.13M
1.42%39.13M
4.46%38.73M
-common stock
18.91%53.59M
32.08%53.59M
36.97%53.59M
36.97%53.59M
16.35%45.07M
16.66%45.07M
5.05%40.57M
1.42%39.13M
1.42%39.13M
4.46%38.73M
Retained earnings
-25.68%-38.5M
-28.02%-36.73M
-32.03%-35.04M
-32.03%-35.04M
-37.44%-32.42M
-46.51%-30.64M
-46.37%-28.69M
-49.37%-26.54M
-49.37%-26.54M
-45.70%-23.59M
Gains losses not affecting retained earnings
12.19%6.69M
11.33%6.64M
9.55%6.51M
9.55%6.51M
3.44%6.27M
-0.53%5.97M
2.74%5.96M
11.06%5.94M
11.06%5.94M
30.63%6.06M
Other equity interest
----
----
----
----
----
----
--71.94K
----
----
----
Total stockholders'equity
6.78%21.78M
31.15%23.5M
35.25%25.06M
35.25%25.06M
-10.79%18.92M
-14.01%20.4M
-27.83%17.92M
-29.17%18.53M
-29.17%18.53M
-16.93%21.21M
Total equity
6.78%21.78M
31.15%23.5M
35.25%25.06M
35.25%25.06M
-10.79%18.92M
-14.01%20.4M
-27.83%17.92M
-29.17%18.53M
-29.17%18.53M
-16.93%21.21M
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)Nov 30, 2023(Q1)Aug 31, 2023(FY)May 31, 2023(Q4)May 31, 2023(Q3)Feb 28, 2023(Q2)Nov 30, 2022(Q1)Aug 31, 2022(FY)May 31, 2022(Q4)May 31, 2022(Q3)Feb 28, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -48.76%1.39M590.88%2.64M44.66%4.09M44.66%4.09M-80.88%1M-63.70%2.72M-96.59%382.73K-75.91%2.83M-75.91%2.83M-64.04%5.24M
-Cash and cash equivalents -48.76%1.39M590.88%2.64M44.66%4.09M44.66%4.09M-80.88%1M-63.70%2.72M-96.59%382.73K-75.91%2.83M-75.91%2.83M-64.04%5.24M
Receivables -0.88%17.92K177.63%39.7K-0.54%28.75K-0.54%28.75K-92.94%16.51K54.81%18.07K-65.82%14.3K24.68%28.9K24.68%28.9K1,050.29%233.74K
-Accounts receivable -0.88%17.92K177.63%39.7K-0.54%28.75K-0.54%28.75K-92.94%16.51K54.81%18.07K-65.82%14.3K24.68%28.9K24.68%28.9K1,050.29%233.74K
Prepaid assets -14.13%90.68K-0.01%184.34K90.48%275.12K90.48%275.12K73.18%143.59K33.19%105.6K76.01%184.36K1.04%144.44K1.04%144.44K-34.90%82.91K
Total current assets -47.17%1.5M393.34%2.87M114.64%6.44M114.64%6.44M-79.09%1.16M-62.51%2.85M-94.88%581.39K-74.79%3M-74.79%3M-62.25%5.55M
Non current assets
Net PPE -5.92%10.35M-6.10%10.36M233.45%8.5M233.45%8.5M330.57%11M341.22%11M342.23%11.03M2.26%2.55M2.26%2.55M2.46%2.56M
-Gross PPE -5.77%10.38M-5.95%10.38M233.52%8.53M233.52%8.53M331.23%11.02M--11.02M--11.04M2.52%2.56M2.52%2.56M--2.56M
-Accumulated depreciation -103.02%-29.38K-155.13%-26.3K-260.43%-23.26K-260.43%-23.26K-4,350.95%-18.78K---14.47K---10.31K---6.45K---6.45K---422
Non current deferred assets 0.00%17.26M0.00%17.26M-23.39%17.26M-23.39%17.26M-22.69%17.42M-23.39%17.26M-23.39%17.26M0.00%22.53M0.00%22.53M145.31%22.53M
Other non current assets --57.97K--102.54K--60.06K--60.06K------------------------
Total non current assets -2.10%27.67M-2.02%27.72M2.96%25.83M2.96%25.83M13.29%28.42M12.94%28.27M13.04%28.29M0.23%25.08M0.23%25.08M114.81%25.09M
Total assets -6.22%29.18M5.94%30.59M14.89%32.27M14.89%32.27M-3.45%29.58M-4.61%31.11M-20.66%28.87M-23.96%28.08M-23.96%28.08M16.11%30.64M
Liabilities
Current liabilities
Payables -88.23%472.08K-90.90%383.25K-82.38%650.45K-82.38%650.45K11.80%3.83M14.34%4.01M42.24%4.21M30.80%3.69M30.80%3.69M980.10%3.42M
-accounts payable -11.31%447.4K-55.25%357.42K-13.16%453.93K-13.16%453.93K52.75%509.08K65.62%504.43K516.11%798.7K357.73%522.7K357.73%522.7K7.98%333.26K
-Due to related parties current -58.00%24.68K-61.03%25.83K11.05%35.85K11.05%35.85K29.93%36.04K99.62%58.76K378.21%66.29K136.03%32.28K136.03%32.28K236.30%27.74K
-Other payable ---------94.88%160.67K-94.88%160.67K7.17%3.28M8.63%3.45M18.78%3.35M16.41%3.14M16.41%3.14M--3.06M
Current debt and capital lease obligation ----------------0.16%292.09K0.20%284.04K182.91%779.58K0.19%268.36K0.19%268.36K500.73%291.62K
-Current debt ----------------0.16%292.09K0.20%284.04K182.91%779.58K0.19%268.36K0.19%268.36K500.73%291.62K
Current liabilities -89.01%472.08K-92.32%383.25K-83.58%650.45K-83.58%650.45K10.88%4.12M13.29%4.29M54.22%4.99M28.15%3.96M28.15%3.96M916.42%3.71M
Non current liabilities
Long term debt and capital lease obligation -------------------------------------47.09%261.28K
-Long term debt -------------------------------------47.09%261.28K
Total non current liabilities 7.85%6.92M12.45%6.71M17.15%6.55M17.15%6.55M14.45%6.55M25.72%6.42M-28.38%5.96M-27.17%5.59M-27.17%5.59M1,058.28%5.72M
Total liabilities -30.96%7.4M-35.28%7.09M-24.60%7.2M-24.60%7.2M13.05%10.66M20.42%10.71M-5.26%10.95M-11.30%9.55M-11.30%9.55M997.95%9.43M
Shareholders'equity
Share capital 18.91%53.59M32.08%53.59M36.97%53.59M36.97%53.59M16.35%45.07M16.66%45.07M5.05%40.57M1.42%39.13M1.42%39.13M4.46%38.73M
-common stock 18.91%53.59M32.08%53.59M36.97%53.59M36.97%53.59M16.35%45.07M16.66%45.07M5.05%40.57M1.42%39.13M1.42%39.13M4.46%38.73M
Retained earnings -25.68%-38.5M-28.02%-36.73M-32.03%-35.04M-32.03%-35.04M-37.44%-32.42M-46.51%-30.64M-46.37%-28.69M-49.37%-26.54M-49.37%-26.54M-45.70%-23.59M
Gains losses not affecting retained earnings 12.19%6.69M11.33%6.64M9.55%6.51M9.55%6.51M3.44%6.27M-0.53%5.97M2.74%5.96M11.06%5.94M11.06%5.94M30.63%6.06M
Other equity interest --------------------------71.94K------------
Total stockholders'equity 6.78%21.78M31.15%23.5M35.25%25.06M35.25%25.06M-10.79%18.92M-14.01%20.4M-27.83%17.92M-29.17%18.53M-29.17%18.53M-16.93%21.21M
Total equity 6.78%21.78M31.15%23.5M35.25%25.06M35.25%25.06M-10.79%18.92M-14.01%20.4M-27.83%17.92M-29.17%18.53M-29.17%18.53M-16.93%21.21M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

No Data

Price Target

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