US Stock MarketDetailed Quotes

CHKKF CHAKANA COPPER CORP

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  • 0.080800
  • -0.007500-8.49%
15min DelayTrading May 2 09:30 ET
20.34MMarket Cap-5386P/E (TTM)

CHAKANA COPPER CORP 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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
40.84%-416.38K
76.68%-400.51K
55.79%-3.05M
39.09%-410.51K
84.28%-218.7K
61.02%-703.88K
43.30%-1.72M
-19.90%-6.9M
58.71%-673.93K
35.63%-1.39M
Net income from continuing operations
40.55%-450.13K
60.71%-590.62K
54.70%-3.48M
63.76%-492.21K
31.02%-729.64K
58.78%-757.1K
56.22%-1.5M
9.71%-7.69M
57.05%-1.36M
49.01%-1.06M
Operating gains losses
-124.52%-7.64K
133.87%15.85K
-83.93%32.89K
-74.16%15.25K
126.49%33.28K
-88.43%31.17K
-2,648.01%-46.81K
-63.10%204.68K
-89.99%59.02K
-35.75%-125.64K
Depreciation and amortization
-18.96%22.6K
-9.34%26.68K
-14.98%108.71K
-20.21%26.05K
-19.79%25.35K
-5.53%27.89K
-13.68%29.43K
25.71%127.86K
16.29%32.66K
31.03%31.6K
Change In working capital
105.94%7.11K
154.45%128.52K
108.61%53.72K
-97.26%14.71K
214.38%394.7K
74.61%-119.63K
31.50%-236.06K
-198.82%-624.21K
15.24%536.62K
-49.25%-345.08K
-Change in receivables
87.77%-4.85K
94.21%-6.67K
4,033.62%311.78K
-103.79%-12.73K
506.26%479.31K
82.01%-39.62K
-1,817.06%-115.18K
95.64%-7.93K
260.06%336.26K
43.82%-117.98K
-Change in prepaid assets
164.95%21.02K
-70.26%9.26K
103.74%457
55.77%-22.49K
286.12%24.16K
-116.48%-32.36K
121.53%31.15K
87.01%-12.2K
-123.19%-50.86K
93.69%-12.98K
-Change in payables and accrued expense
80.98%-9.07K
182.83%125.93K
57.21%-258.51K
-80.12%49.93K
49.21%-108.76K
89.34%-47.66K
21.60%-152.03K
-166.57%-604.08K
-44.96%251.22K
-215.99%-214.12K
Cash from discontinued investing activities
Operating cash flow
40.84%-416.38K
76.68%-400.51K
55.79%-3.05M
39.09%-410.51K
84.28%-218.7K
61.02%-703.88K
43.30%-1.72M
-19.90%-6.9M
58.71%-673.93K
35.63%-1.39M
Investing cash flow
Cash flow from continuing investing activities
0
-29.46%-1.47M
-19.20%-1.27M
101.04%2.7K
59.11%-109.76K
83.41%-25.33K
-197.10%-1.13M
-54.64%-1.06M
41.08%-259.98K
-10,376.91%-268.43K
Net PPE purchase and sale
--0
-29.46%-1.47M
-19.20%-1.27M
101.04%2.7K
59.11%-109.76K
83.41%-25.33K
-197.10%-1.13M
-54.64%-1.06M
41.08%-259.98K
-10,376.91%-268.43K
Cash from discontinued investing activities
Investing cash flow
--0
-29.46%-1.47M
-19.20%-1.27M
101.04%2.7K
59.11%-109.76K
83.41%-25.33K
-197.10%-1.13M
-54.64%-1.06M
41.08%-259.98K
-10,376.91%-268.43K
Financing cash flow
Cash flow from continuing financing activities
6,836.08%799.71K
-101.35%-13.86K
-79.71%983.15K
-100.36%-17.31K
-102.27%-12.85K
-10.87%-11.87K
9,875.74%1.03M
-44.37%4.85M
178.39%4.87M
-100.09%-6.35K
Net issuance payments of debt
31.49%-8.13K
-41.77%-13.86K
-22.36%-48.16K
-15.65%-13.66K
-102.27%-12.85K
-10.87%-11.87K
6.77%-9.78K
-369.86%-39.36K
-40.99%-11.81K
---6.35K
Net common stock issuance
--807.84K
--0
-78.89%1.03M
-100.07%-3.65K
--0
--0
--1.03M
-43.78%4.88M
177.73%4.88M
--0
Cash from discontinued financing activities
Financing cash flow
6,836.08%799.71K
-101.35%-13.86K
-79.71%983.15K
-100.36%-17.31K
-102.27%-12.85K
-10.87%-11.87K
9,875.74%1.03M
-44.37%4.85M
178.39%4.87M
-100.09%-6.35K
Net cash flow
Beginning cash position
-90.30%368.11K
-59.54%2.25M
-35.87%5.56M
63.21%2.7M
-8.38%3.06M
-29.23%3.79M
-35.87%5.56M
29.87%8.68M
-82.04%1.65M
-25.39%3.34M
Current changes in cash
151.73%383.33K
-3.07%-1.88M
-6.93%-3.33M
-110.79%-425.13K
79.52%-341.31K
62.36%-741.08K
46.61%-1.83M
-237.59%-3.12M
1,319.74%3.94M
-134.93%-1.67M
Effect of exchange rate changes
-97.39%153
-99.84%90
217.61%21.94K
27.05%-19.38K
-5.36%-21.26K
110.93%5.85K
-47.08%56.74K
102.55%6.91K
86.44%-26.57K
59.40%-20.18K
End cash Position
-75.43%751.59K
-90.30%368.11K
-59.54%2.25M
-59.54%2.25M
63.21%2.7M
-8.38%3.06M
-29.23%3.79M
-35.87%5.56M
-35.87%5.56M
-82.04%1.65M
Free cash flow
42.90%-416.38K
34.46%-1.87M
45.97%-4.32M
57.60%-407.81K
80.21%-328.46K
62.76%-729.21K
16.39%-2.85M
-24.03%-7.99M
53.61%-961.77K
23.11%-1.66M
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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 40.84%-416.38K76.68%-400.51K55.79%-3.05M39.09%-410.51K84.28%-218.7K61.02%-703.88K43.30%-1.72M-19.90%-6.9M58.71%-673.93K35.63%-1.39M
Net income from continuing operations 40.55%-450.13K60.71%-590.62K54.70%-3.48M63.76%-492.21K31.02%-729.64K58.78%-757.1K56.22%-1.5M9.71%-7.69M57.05%-1.36M49.01%-1.06M
Operating gains losses -124.52%-7.64K133.87%15.85K-83.93%32.89K-74.16%15.25K126.49%33.28K-88.43%31.17K-2,648.01%-46.81K-63.10%204.68K-89.99%59.02K-35.75%-125.64K
Depreciation and amortization -18.96%22.6K-9.34%26.68K-14.98%108.71K-20.21%26.05K-19.79%25.35K-5.53%27.89K-13.68%29.43K25.71%127.86K16.29%32.66K31.03%31.6K
Change In working capital 105.94%7.11K154.45%128.52K108.61%53.72K-97.26%14.71K214.38%394.7K74.61%-119.63K31.50%-236.06K-198.82%-624.21K15.24%536.62K-49.25%-345.08K
-Change in receivables 87.77%-4.85K94.21%-6.67K4,033.62%311.78K-103.79%-12.73K506.26%479.31K82.01%-39.62K-1,817.06%-115.18K95.64%-7.93K260.06%336.26K43.82%-117.98K
-Change in prepaid assets 164.95%21.02K-70.26%9.26K103.74%45755.77%-22.49K286.12%24.16K-116.48%-32.36K121.53%31.15K87.01%-12.2K-123.19%-50.86K93.69%-12.98K
-Change in payables and accrued expense 80.98%-9.07K182.83%125.93K57.21%-258.51K-80.12%49.93K49.21%-108.76K89.34%-47.66K21.60%-152.03K-166.57%-604.08K-44.96%251.22K-215.99%-214.12K
Cash from discontinued investing activities
Operating cash flow 40.84%-416.38K76.68%-400.51K55.79%-3.05M39.09%-410.51K84.28%-218.7K61.02%-703.88K43.30%-1.72M-19.90%-6.9M58.71%-673.93K35.63%-1.39M
Investing cash flow
Cash flow from continuing investing activities 0-29.46%-1.47M-19.20%-1.27M101.04%2.7K59.11%-109.76K83.41%-25.33K-197.10%-1.13M-54.64%-1.06M41.08%-259.98K-10,376.91%-268.43K
Net PPE purchase and sale --0-29.46%-1.47M-19.20%-1.27M101.04%2.7K59.11%-109.76K83.41%-25.33K-197.10%-1.13M-54.64%-1.06M41.08%-259.98K-10,376.91%-268.43K
Cash from discontinued investing activities
Investing cash flow --0-29.46%-1.47M-19.20%-1.27M101.04%2.7K59.11%-109.76K83.41%-25.33K-197.10%-1.13M-54.64%-1.06M41.08%-259.98K-10,376.91%-268.43K
Financing cash flow
Cash flow from continuing financing activities 6,836.08%799.71K-101.35%-13.86K-79.71%983.15K-100.36%-17.31K-102.27%-12.85K-10.87%-11.87K9,875.74%1.03M-44.37%4.85M178.39%4.87M-100.09%-6.35K
Net issuance payments of debt 31.49%-8.13K-41.77%-13.86K-22.36%-48.16K-15.65%-13.66K-102.27%-12.85K-10.87%-11.87K6.77%-9.78K-369.86%-39.36K-40.99%-11.81K---6.35K
Net common stock issuance --807.84K--0-78.89%1.03M-100.07%-3.65K--0--0--1.03M-43.78%4.88M177.73%4.88M--0
Cash from discontinued financing activities
Financing cash flow 6,836.08%799.71K-101.35%-13.86K-79.71%983.15K-100.36%-17.31K-102.27%-12.85K-10.87%-11.87K9,875.74%1.03M-44.37%4.85M178.39%4.87M-100.09%-6.35K
Net cash flow
Beginning cash position -90.30%368.11K-59.54%2.25M-35.87%5.56M63.21%2.7M-8.38%3.06M-29.23%3.79M-35.87%5.56M29.87%8.68M-82.04%1.65M-25.39%3.34M
Current changes in cash 151.73%383.33K-3.07%-1.88M-6.93%-3.33M-110.79%-425.13K79.52%-341.31K62.36%-741.08K46.61%-1.83M-237.59%-3.12M1,319.74%3.94M-134.93%-1.67M
Effect of exchange rate changes -97.39%153-99.84%90217.61%21.94K27.05%-19.38K-5.36%-21.26K110.93%5.85K-47.08%56.74K102.55%6.91K86.44%-26.57K59.40%-20.18K
End cash Position -75.43%751.59K-90.30%368.11K-59.54%2.25M-59.54%2.25M63.21%2.7M-8.38%3.06M-29.23%3.79M-35.87%5.56M-35.87%5.56M-82.04%1.65M
Free cash flow 42.90%-416.38K34.46%-1.87M45.97%-4.32M57.60%-407.81K80.21%-328.46K62.76%-729.21K16.39%-2.85M-24.03%-7.99M53.61%-961.77K23.11%-1.66M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

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