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BKRRF BLACKROCK SILVER CORP

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  • 0.257600
  • +0.006200+2.47%
15min DelayClose Apr 26 16:00 ET
57.46MMarket Cap-11709P/E (TTM)

BLACKROCK SILVER CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jan 31, 2024
(FY)Oct 31, 2023
(Q4)Oct 31, 2023
(Q3)Jul 31, 2023
(Q2)Apr 30, 2023
(Q1)Jan 31, 2023
(FY)Oct 31, 2022
(Q4)Oct 31, 2022
(Q3)Jul 31, 2022
(Q2)Apr 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
57.34%-1.01M
63.07%-6.45M
70.06%-1.57M
70.43%-1.25M
67.27%-1.26M
42.85%-2.37M
29.13%-17.47M
12.38%-5.24M
35.86%-4.22M
44.30%-3.86M
Net income from continuing operations
27.32%-1.48M
65.74%-6M
77.25%-1.2M
53.66%-1.87M
79.74%-895.1K
46.35%-2.04M
37.51%-17.51M
33.84%-5.26M
36.71%-4.04M
51.68%-4.42M
Operating gains losses
110.18%5.46K
-108.21%-21.06K
-72.36%34.99K
-666.35%-21.18K
243.48%18.79K
-138.57%-53.66K
984.89%256.36K
208.47%126.61K
-97.80%3.74K
-110.74%-13.1K
Depreciation and amortization
-3.39%11.66K
26.81%46.99K
12.20%11.71K
30.18%11.51K
45.79%11.69K
23.80%12.07K
62.19%37.05K
-43.34%10.44K
284.52%8.84K
489.49%8.02K
Other non cash items
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----
----
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---62.33K
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Change In working capital
203.03%427.83K
-55.90%-653.88K
-1,881.14%-426.88K
6,124.09%542.74K
-244.02%-354.52K
36.39%-415.23K
19.49%-419.42K
-103.15%-21.55K
101.47%8.72K
477.20%246.16K
-Change in receivables
-15.80%48.44K
208.79%94.38K
-79.48%9.81K
62.08%-26.61K
238.35%53.64K
324.39%57.53K
-222.77%-86.75K
368.57%47.82K
-262.96%-70.16K
-1.16%-38.77K
-Change in prepaid assets
1,174.29%144K
-45.37%-172.16K
24.93%-53.74K
145.41%130.2K
-1,163.78%-259.91K
114.25%11.3K
-466.38%-118.42K
-119.44%-71.59K
117.73%53.05K
84.54%-20.57K
-Change in payables and accrued expense
148.63%235.39K
-168.90%-576.1K
-17,318.84%-382.95K
1,600.10%439.15K
-148.52%-148.24K
11.63%-484.06K
54.72%-214.24K
-99.33%2.22K
107.66%25.83K
188.04%305.5K
Cash from discontinued investing activities
Operating cash flow
57.34%-1.01M
63.07%-6.45M
70.06%-1.57M
70.43%-1.25M
67.27%-1.26M
42.85%-2.37M
29.13%-17.47M
12.38%-5.24M
35.86%-4.22M
44.30%-3.86M
Investing cash flow
Cash flow from continuing investing activities
-247.39%-100.87K
27.30%-1.05M
108.84%30.23K
4.27%-187.38K
-9.36%-957.74K
364.61%68.44K
-34.04%-1.44M
21.96%-341.98K
-38.88%-195.75K
-82.91%-875.75K
Net PPE purchase and sale
---100.87K
19.49%-1.16M
96.00%-13.68K
-30.69%-255.82K
-1.55%-889.31K
--0
-34.04%-1.44M
21.96%-341.98K
-38.88%-195.75K
-82.91%-875.75K
Net other investing changes
----
--112.34K
--43.91K
----
----
--68.44K
----
----
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----
Cash from discontinued investing activities
Investing cash flow
-247.39%-100.87K
27.30%-1.05M
108.84%30.23K
4.27%-187.38K
-9.36%-957.74K
364.61%68.44K
-34.04%-1.44M
21.96%-341.98K
-38.88%-195.75K
-82.91%-875.75K
Financing cash flow
Cash flow from continuing financing activities
46,256.41%5.22M
-68.53%4.49M
-99.48%31.3K
68.76%385.51K
-30.66%4.06M
-99.49%11.25K
-48.03%14.27M
12.75%6M
-98.13%228.44K
-38.81%5.86M
Net common stock issuance
51,872.89%5.85M
-66.82%5.12M
-98.41%105.54K
69.44%385.6K
-21.54%4.62M
-99.58%11.25K
-36.29%15.43M
218.78%6.64M
-98.00%227.57K
-43.64%5.88M
Proceeds from stock option exercised by employees
---35K
22.56%-210.76K
40.45%-74.04K
--0
---136.72K
--0
-153.28%-272.15K
---124.33K
--0
--0
Net other financing activities
---596.85K
52.91%-417.96K
99.96%-202
-109.61%-84
----
----
-126.55%-887.62K
---519.38K
--874
---24.99K
Cash from discontinued financing activities
Financing cash flow
46,256.41%5.22M
-68.53%4.49M
-99.48%31.3K
68.76%385.51K
-30.66%4.06M
-99.49%11.25K
-48.03%14.27M
12.75%6M
-98.13%228.44K
-38.81%5.86M
Net cash flow
Beginning cash position
-82.02%656.18K
-57.25%3.65M
-34.69%2.2M
-57.50%3.23M
-78.38%1.39M
-57.25%3.65M
29.53%8.54M
-64.59%3.37M
82.21%7.59M
246.51%6.45M
Current changes in cash
279.02%4.1M
35.20%-3.01M
-464.07%-1.51M
74.92%-1.05M
63.78%1.84M
-15.14%-2.29M
-368.69%-4.64M
137.62%414.09K
-176.24%-4.19M
-48.16%1.12M
Effect of exchange rate changes
-73.36%9.69K
106.25%15.26K
72.11%-37.91K
202.71%27.23K
-162.18%-10.44K
136.90%36.38K
-211.89%-244.22K
-218.06%-135.91K
80.94%-26.51K
-87.51%16.79K
End cash Position
242.11%4.77M
-82.02%656.18K
-82.02%656.18K
-34.69%2.2M
-57.50%3.23M
-78.38%1.39M
-57.25%3.65M
-57.25%3.65M
-64.59%3.37M
82.21%7.59M
Free cash flow
53.09%-1.11M
59.75%-7.61M
71.65%-1.58M
65.95%-1.5M
54.54%-2.15M
43.20%-2.37M
26.49%-18.91M
13.03%-5.58M
34.30%-4.42M
36.08%-4.73M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
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Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
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(Q1)Jan 31, 2024(FY)Oct 31, 2023(Q4)Oct 31, 2023(Q3)Jul 31, 2023(Q2)Apr 30, 2023(Q1)Jan 31, 2023(FY)Oct 31, 2022(Q4)Oct 31, 2022(Q3)Jul 31, 2022(Q2)Apr 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 57.34%-1.01M63.07%-6.45M70.06%-1.57M70.43%-1.25M67.27%-1.26M42.85%-2.37M29.13%-17.47M12.38%-5.24M35.86%-4.22M44.30%-3.86M
Net income from continuing operations 27.32%-1.48M65.74%-6M77.25%-1.2M53.66%-1.87M79.74%-895.1K46.35%-2.04M37.51%-17.51M33.84%-5.26M36.71%-4.04M51.68%-4.42M
Operating gains losses 110.18%5.46K-108.21%-21.06K-72.36%34.99K-666.35%-21.18K243.48%18.79K-138.57%-53.66K984.89%256.36K208.47%126.61K-97.80%3.74K-110.74%-13.1K
Depreciation and amortization -3.39%11.66K26.81%46.99K12.20%11.71K30.18%11.51K45.79%11.69K23.80%12.07K62.19%37.05K-43.34%10.44K284.52%8.84K489.49%8.02K
Other non cash items ---------------------------62.33K------------
Change In working capital 203.03%427.83K-55.90%-653.88K-1,881.14%-426.88K6,124.09%542.74K-244.02%-354.52K36.39%-415.23K19.49%-419.42K-103.15%-21.55K101.47%8.72K477.20%246.16K
-Change in receivables -15.80%48.44K208.79%94.38K-79.48%9.81K62.08%-26.61K238.35%53.64K324.39%57.53K-222.77%-86.75K368.57%47.82K-262.96%-70.16K-1.16%-38.77K
-Change in prepaid assets 1,174.29%144K-45.37%-172.16K24.93%-53.74K145.41%130.2K-1,163.78%-259.91K114.25%11.3K-466.38%-118.42K-119.44%-71.59K117.73%53.05K84.54%-20.57K
-Change in payables and accrued expense 148.63%235.39K-168.90%-576.1K-17,318.84%-382.95K1,600.10%439.15K-148.52%-148.24K11.63%-484.06K54.72%-214.24K-99.33%2.22K107.66%25.83K188.04%305.5K
Cash from discontinued investing activities
Operating cash flow 57.34%-1.01M63.07%-6.45M70.06%-1.57M70.43%-1.25M67.27%-1.26M42.85%-2.37M29.13%-17.47M12.38%-5.24M35.86%-4.22M44.30%-3.86M
Investing cash flow
Cash flow from continuing investing activities -247.39%-100.87K27.30%-1.05M108.84%30.23K4.27%-187.38K-9.36%-957.74K364.61%68.44K-34.04%-1.44M21.96%-341.98K-38.88%-195.75K-82.91%-875.75K
Net PPE purchase and sale ---100.87K19.49%-1.16M96.00%-13.68K-30.69%-255.82K-1.55%-889.31K--0-34.04%-1.44M21.96%-341.98K-38.88%-195.75K-82.91%-875.75K
Net other investing changes ------112.34K--43.91K----------68.44K----------------
Cash from discontinued investing activities
Investing cash flow -247.39%-100.87K27.30%-1.05M108.84%30.23K4.27%-187.38K-9.36%-957.74K364.61%68.44K-34.04%-1.44M21.96%-341.98K-38.88%-195.75K-82.91%-875.75K
Financing cash flow
Cash flow from continuing financing activities 46,256.41%5.22M-68.53%4.49M-99.48%31.3K68.76%385.51K-30.66%4.06M-99.49%11.25K-48.03%14.27M12.75%6M-98.13%228.44K-38.81%5.86M
Net common stock issuance 51,872.89%5.85M-66.82%5.12M-98.41%105.54K69.44%385.6K-21.54%4.62M-99.58%11.25K-36.29%15.43M218.78%6.64M-98.00%227.57K-43.64%5.88M
Proceeds from stock option exercised by employees ---35K22.56%-210.76K40.45%-74.04K--0---136.72K--0-153.28%-272.15K---124.33K--0--0
Net other financing activities ---596.85K52.91%-417.96K99.96%-202-109.61%-84---------126.55%-887.62K---519.38K--874---24.99K
Cash from discontinued financing activities
Financing cash flow 46,256.41%5.22M-68.53%4.49M-99.48%31.3K68.76%385.51K-30.66%4.06M-99.49%11.25K-48.03%14.27M12.75%6M-98.13%228.44K-38.81%5.86M
Net cash flow
Beginning cash position -82.02%656.18K-57.25%3.65M-34.69%2.2M-57.50%3.23M-78.38%1.39M-57.25%3.65M29.53%8.54M-64.59%3.37M82.21%7.59M246.51%6.45M
Current changes in cash 279.02%4.1M35.20%-3.01M-464.07%-1.51M74.92%-1.05M63.78%1.84M-15.14%-2.29M-368.69%-4.64M137.62%414.09K-176.24%-4.19M-48.16%1.12M
Effect of exchange rate changes -73.36%9.69K106.25%15.26K72.11%-37.91K202.71%27.23K-162.18%-10.44K136.90%36.38K-211.89%-244.22K-218.06%-135.91K80.94%-26.51K-87.51%16.79K
End cash Position 242.11%4.77M-82.02%656.18K-82.02%656.18K-34.69%2.2M-57.50%3.23M-78.38%1.39M-57.25%3.65M-57.25%3.65M-64.59%3.37M82.21%7.59M
Free cash flow 53.09%-1.11M59.75%-7.61M71.65%-1.58M65.95%-1.5M54.54%-2.15M43.20%-2.37M26.49%-18.91M13.03%-5.58M34.30%-4.42M36.08%-4.73M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------

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