US Stock MarketDetailed Quotes

FDVXF FENIXORO GOLD CORP

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  • 0.080000
  • 0.0000000.00%
15min DelayClose Apr 12 16:00 ET
8.66MMarket Cap-1818P/E (TTM)

FENIXORO GOLD CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Nov 30, 2022
(Q2)Aug 31, 2022
(Q1)May 31, 2022
(FY)Feb 28, 2022
(Q4)Feb 28, 2022
(Q3)Nov 30, 2021
(Q2)Aug 31, 2021
(Q1)May 31, 2021
(FY)Feb 28, 2021
(Q4)Feb 28, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
67.60%1.17M
-93.15%64.15K
-91.40%68.27K
-89.11%76.95K
-89.11%76.95K
-33.89%698.51K
-47.11%936.09K
-29.52%794.18K
-50.66%706.33K
-50.66%706.33K
-Cash and cash equivalents
67.60%1.17M
-93.15%64.15K
-91.40%68.27K
-89.11%76.95K
-89.11%76.95K
-33.89%698.51K
-47.11%936.09K
-29.52%794.18K
-50.66%706.33K
-50.66%706.33K
Receivables
-9.98%20.06K
1,990.53%408.43K
746.24%216.57K
944.51%229.53K
944.51%229.53K
-88.81%22.28K
-85.05%19.54K
-80.65%25.59K
-70.03%21.98K
-70.03%21.98K
-Taxes receivable
-9.98%20.06K
-7.97%17.98K
-54.79%11.57K
11.63%24.53K
11.63%24.53K
18.03%22.28K
-69.28%19.54K
-55.61%25.59K
-54.28%21.98K
-54.28%21.98K
-Other receivables
----
--390.45K
--205K
--205K
--205K
----
----
----
----
----
Prepaid assets
-3.44%258.4K
-39.65%145.38K
-45.30%156.16K
-42.45%157.4K
-42.45%157.4K
1,745.35%267.61K
672.52%240.92K
305.66%285.46K
126.76%273.5K
126.76%273.5K
Total current assets
46.62%1.45M
-48.35%617.96K
-60.10%441K
-53.70%463.88K
-53.70%463.88K
-22.18%988.4K
-38.06%1.2M
-16.87%1.11M
-38.37%1M
-38.37%1M
Non current assets
Net PPE
-0.23%8.19M
-0.49%8.2M
-1.42%8.22M
-1.45%8.21M
-1.45%8.21M
3.70%8.21M
5.66%8.24M
7.28%8.34M
--8.33M
--8.33M
-Gross PPE
-0.19%8.21M
-0.44%8.22M
-1.35%8.23M
-1.39%8.22M
-1.39%8.22M
3.74%8.22M
5.76%8.25M
--8.34M
--8.34M
--8.34M
-Accumulated depreciation
-33.43%-12.65K
-40.56%-12.42K
-75.83%-12.51K
-74.09%-10.92K
-74.09%-10.92K
-47.82%-9.48K
-566.21%-8.83K
---7.12K
---6.28K
---6.28K
Total non current assets
-0.23%8.19M
-0.49%8.2M
-1.42%8.22M
-1.45%8.21M
-1.45%8.21M
3.70%8.21M
5.66%8.24M
7.28%8.34M
--8.33M
--8.33M
Total assets
4.81%9.64M
-6.56%8.82M
-8.29%8.66M
-7.06%8.68M
-7.06%8.68M
0.13%9.2M
-3.01%9.44M
3.75%9.44M
474.30%9.33M
474.30%9.33M
Liabilities
Current liabilities
Payables
-59.82%847.09K
-18.31%1.45M
-5.17%1.31M
-16.58%890.13K
-16.58%890.13K
217.52%2.11M
228.44%1.78M
41.47%1.38M
1,366.81%1.07M
1,366.81%1.07M
-accounts payable
-59.82%847.09K
-18.31%1.45M
-5.17%1.31M
-16.58%890.13K
-16.58%890.13K
217.52%2.11M
228.44%1.78M
41.47%1.38M
1,366.81%1.07M
1,366.81%1.07M
Current accrued expenses
-45.08%53.21K
-45.79%47.24K
-77.05%26.71K
-21.23%56.96K
-21.23%56.96K
538.31%96.88K
721.31%87.13K
675.89%116.38K
502.60%72.31K
502.60%72.31K
Current debt and capital lease obligation
6.54%408.85K
44.30%546.2K
--546.2K
----
----
--383.76K
--378.51K
----
----
----
-Current debt
6.54%408.85K
44.30%546.2K
--546.2K
----
----
--383.76K
--378.51K
----
----
----
Current liabilities
-49.43%1.31M
-8.83%2.05M
25.74%1.88M
-16.88%947.09K
-16.88%947.09K
281.20%2.59M
306.37%2.25M
51.08%1.5M
1,244.44%1.14M
1,244.44%1.14M
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
-49.43%1.31M
-8.83%2.05M
25.74%1.88M
-16.88%947.09K
-16.88%947.09K
281.20%2.59M
306.37%2.25M
51.08%1.5M
1,244.44%1.14M
1,244.44%1.14M
Shareholders'equity
Share capital
36.76%19.15M
21.51%17.07M
24.70%16.68M
25.35%16.68M
25.35%16.68M
13.78%14M
17.69%14.05M
29.80%13.38M
236.02%13.31M
236.02%13.31M
-common stock
36.76%19.15M
21.51%17.07M
24.70%16.68M
25.35%16.68M
25.35%16.68M
13.78%14M
17.69%14.05M
29.80%13.38M
236.02%13.31M
236.02%13.31M
Retained earnings
-49.31%-14.83M
-46.17%-13.16M
-61.03%-12.58M
-58.96%-11.48M
-58.96%-11.48M
-101.17%-9.93M
-136.10%-9M
-162.18%-7.81M
-165.79%-7.22M
-165.79%-7.22M
Gains losses not affecting retained earnings
733.62%1.7M
2,010.09%545.82K
423.66%356.99K
76.52%188.79K
76.52%188.79K
295.00%203.51K
-65.67%25.87K
333.91%68.17K
--106.95K
--106.95K
Other equity interest
-0.86%2.32M
9.20%2.32M
0.33%2.32M
16.79%2.34M
16.79%2.34M
114.82%2.34M
116.32%2.12M
184.52%2.31M
573.39%2M
573.39%2M
Total stockholders'equity
26.04%8.33M
-5.85%6.77M
-14.70%6.78M
-5.69%7.73M
-5.69%7.73M
-22.31%6.61M
-21.64%7.19M
-2.03%7.95M
431.93%8.2M
431.93%8.2M
Total equity
26.04%8.33M
-5.85%6.77M
-14.70%6.78M
-5.69%7.73M
-5.69%7.73M
-22.31%6.61M
-21.64%7.19M
-2.03%7.95M
431.93%8.2M
431.93%8.2M
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)Nov 30, 2022(Q2)Aug 31, 2022(Q1)May 31, 2022(FY)Feb 28, 2022(Q4)Feb 28, 2022(Q3)Nov 30, 2021(Q2)Aug 31, 2021(Q1)May 31, 2021(FY)Feb 28, 2021(Q4)Feb 28, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 67.60%1.17M-93.15%64.15K-91.40%68.27K-89.11%76.95K-89.11%76.95K-33.89%698.51K-47.11%936.09K-29.52%794.18K-50.66%706.33K-50.66%706.33K
-Cash and cash equivalents 67.60%1.17M-93.15%64.15K-91.40%68.27K-89.11%76.95K-89.11%76.95K-33.89%698.51K-47.11%936.09K-29.52%794.18K-50.66%706.33K-50.66%706.33K
Receivables -9.98%20.06K1,990.53%408.43K746.24%216.57K944.51%229.53K944.51%229.53K-88.81%22.28K-85.05%19.54K-80.65%25.59K-70.03%21.98K-70.03%21.98K
-Taxes receivable -9.98%20.06K-7.97%17.98K-54.79%11.57K11.63%24.53K11.63%24.53K18.03%22.28K-69.28%19.54K-55.61%25.59K-54.28%21.98K-54.28%21.98K
-Other receivables ------390.45K--205K--205K--205K--------------------
Prepaid assets -3.44%258.4K-39.65%145.38K-45.30%156.16K-42.45%157.4K-42.45%157.4K1,745.35%267.61K672.52%240.92K305.66%285.46K126.76%273.5K126.76%273.5K
Total current assets 46.62%1.45M-48.35%617.96K-60.10%441K-53.70%463.88K-53.70%463.88K-22.18%988.4K-38.06%1.2M-16.87%1.11M-38.37%1M-38.37%1M
Non current assets
Net PPE -0.23%8.19M-0.49%8.2M-1.42%8.22M-1.45%8.21M-1.45%8.21M3.70%8.21M5.66%8.24M7.28%8.34M--8.33M--8.33M
-Gross PPE -0.19%8.21M-0.44%8.22M-1.35%8.23M-1.39%8.22M-1.39%8.22M3.74%8.22M5.76%8.25M--8.34M--8.34M--8.34M
-Accumulated depreciation -33.43%-12.65K-40.56%-12.42K-75.83%-12.51K-74.09%-10.92K-74.09%-10.92K-47.82%-9.48K-566.21%-8.83K---7.12K---6.28K---6.28K
Total non current assets -0.23%8.19M-0.49%8.2M-1.42%8.22M-1.45%8.21M-1.45%8.21M3.70%8.21M5.66%8.24M7.28%8.34M--8.33M--8.33M
Total assets 4.81%9.64M-6.56%8.82M-8.29%8.66M-7.06%8.68M-7.06%8.68M0.13%9.2M-3.01%9.44M3.75%9.44M474.30%9.33M474.30%9.33M
Liabilities
Current liabilities
Payables -59.82%847.09K-18.31%1.45M-5.17%1.31M-16.58%890.13K-16.58%890.13K217.52%2.11M228.44%1.78M41.47%1.38M1,366.81%1.07M1,366.81%1.07M
-accounts payable -59.82%847.09K-18.31%1.45M-5.17%1.31M-16.58%890.13K-16.58%890.13K217.52%2.11M228.44%1.78M41.47%1.38M1,366.81%1.07M1,366.81%1.07M
Current accrued expenses -45.08%53.21K-45.79%47.24K-77.05%26.71K-21.23%56.96K-21.23%56.96K538.31%96.88K721.31%87.13K675.89%116.38K502.60%72.31K502.60%72.31K
Current debt and capital lease obligation 6.54%408.85K44.30%546.2K--546.2K----------383.76K--378.51K------------
-Current debt 6.54%408.85K44.30%546.2K--546.2K----------383.76K--378.51K------------
Current liabilities -49.43%1.31M-8.83%2.05M25.74%1.88M-16.88%947.09K-16.88%947.09K281.20%2.59M306.37%2.25M51.08%1.5M1,244.44%1.14M1,244.44%1.14M
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities -49.43%1.31M-8.83%2.05M25.74%1.88M-16.88%947.09K-16.88%947.09K281.20%2.59M306.37%2.25M51.08%1.5M1,244.44%1.14M1,244.44%1.14M
Shareholders'equity
Share capital 36.76%19.15M21.51%17.07M24.70%16.68M25.35%16.68M25.35%16.68M13.78%14M17.69%14.05M29.80%13.38M236.02%13.31M236.02%13.31M
-common stock 36.76%19.15M21.51%17.07M24.70%16.68M25.35%16.68M25.35%16.68M13.78%14M17.69%14.05M29.80%13.38M236.02%13.31M236.02%13.31M
Retained earnings -49.31%-14.83M-46.17%-13.16M-61.03%-12.58M-58.96%-11.48M-58.96%-11.48M-101.17%-9.93M-136.10%-9M-162.18%-7.81M-165.79%-7.22M-165.79%-7.22M
Gains losses not affecting retained earnings 733.62%1.7M2,010.09%545.82K423.66%356.99K76.52%188.79K76.52%188.79K295.00%203.51K-65.67%25.87K333.91%68.17K--106.95K--106.95K
Other equity interest -0.86%2.32M9.20%2.32M0.33%2.32M16.79%2.34M16.79%2.34M114.82%2.34M116.32%2.12M184.52%2.31M573.39%2M573.39%2M
Total stockholders'equity 26.04%8.33M-5.85%6.77M-14.70%6.78M-5.69%7.73M-5.69%7.73M-22.31%6.61M-21.64%7.19M-2.03%7.95M431.93%8.2M431.93%8.2M
Total equity 26.04%8.33M-5.85%6.77M-14.70%6.78M-5.69%7.73M-5.69%7.73M-22.31%6.61M-21.64%7.19M-2.03%7.95M431.93%8.2M431.93%8.2M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

Analyst Rating

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Price Target

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