US Stock MarketDetailed Quotes

GBMIF GREEN BATTERY MINERALS INC

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  • 0.023900
  • 0.0000000.00%
15min DelayClose Apr 12 16:00 ET
2.12MMarket Cap-1086P/E (TTM)

GREEN BATTERY MINERALS INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Nov 30, 2023
(Q2)Aug 31, 2023
(Q1)May 31, 2023
(FY)Feb 28, 2023
(Q4)Feb 28, 2023
(Q3)Nov 30, 2022
(Q2)Aug 31, 2022
(Q1)May 31, 2022
(FY)Feb 28, 2022
(Q4)Feb 28, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-64.48%287.82K
-58.41%597.3K
-81.21%460.3K
-75.38%787.95K
-75.38%787.95K
-80.49%810.23K
-44.39%1.44M
-15.11%2.45M
266.10%3.2M
266.10%3.2M
-Cash and cash equivalents
-64.48%287.82K
-58.41%597.3K
-81.21%460.3K
-75.38%787.95K
-75.38%787.95K
-80.49%810.23K
-44.39%1.44M
-15.11%2.45M
266.10%3.2M
266.10%3.2M
Receivables
-66.31%20.02K
27.71%26.2K
-71.62%12.5K
-57.75%9.44K
-57.75%9.44K
133.12%59.43K
142.88%20.51K
127.44%44.05K
-9.58%22.34K
-9.58%22.34K
-Accounts receivable
-66.31%20.02K
27.71%26.2K
-71.62%12.5K
-57.75%9.44K
-57.75%9.44K
133.12%59.43K
142.88%20.51K
127.44%44.05K
-9.58%22.34K
-9.58%22.34K
Prepaid assets
-8.50%27.84K
-87.10%68.43K
38.13%48.83K
-90.70%43.72K
-90.70%43.72K
-68.62%30.43K
430.94%530.38K
-79.86%35.35K
183.41%470.19K
183.41%470.19K
Total current assets
-62.71%335.68K
-65.18%691.93K
-79.38%521.63K
-77.22%841.11K
-77.22%841.11K
-78.95%900.09K
-26.16%1.99M
-17.90%2.53M
246.82%3.69M
246.82%3.69M
Non current assets
Net PPE
6.44%1.86M
10.02%1.86M
5.82%1.79M
3.74%1.76M
3.74%1.76M
3.18%1.75M
-0.21%1.69M
-0.05%1.69M
0.59%1.7M
0.59%1.7M
-Gross PPE
6.45%1.9M
9.98%1.9M
5.87%1.83M
3.85%1.79M
3.85%1.79M
3.31%1.78M
0.00%1.73M
0.17%1.73M
0.82%1.73M
0.82%1.73M
-Accumulated depreciation
-7.24%-35.33K
-8.02%-34.78K
-8.83%-34.23K
-9.68%-33.69K
-9.68%-33.69K
-10.92%-32.94K
-12.24%-32.2K
-13.66%-31.46K
-15.20%-30.72K
-15.20%-30.72K
Total non current assets
6.44%1.86M
10.02%1.86M
5.82%1.79M
3.74%1.76M
3.74%1.76M
3.18%1.75M
-0.21%1.69M
-0.05%1.69M
0.59%1.7M
0.59%1.7M
Total assets
-17.05%2.2M
-30.58%2.56M
-45.20%2.31M
-51.75%2.6M
-51.75%2.6M
-55.62%2.65M
-16.12%3.68M
-11.56%4.22M
95.93%5.39M
95.93%5.39M
Liabilities
Current liabilities
Payables
229.17%308.04K
875.56%271.33K
247.97%225.51K
116.96%168.88K
116.96%168.88K
-15.88%93.58K
-21.45%27.81K
-57.30%64.81K
-30.96%77.84K
-30.96%77.84K
-accounts payable
315.26%116.3K
805.99%114.02K
111.43%95.38K
0.11%58.14K
0.11%58.14K
-27.71%28.01K
-26.11%12.59K
-67.47%45.11K
-19.76%58.08K
-19.76%58.08K
-Due to related parties current
192.40%191.74K
933.06%157.31K
560.76%130.13K
460.54%110.73K
460.54%110.73K
-9.56%65.57K
-17.13%15.23K
50.05%19.69K
-51.06%19.76K
-51.06%19.76K
Current liabilities
229.17%308.04K
875.56%271.33K
247.97%225.51K
116.96%168.88K
116.96%168.88K
-15.88%93.58K
-21.45%27.81K
-57.30%64.81K
-30.96%77.84K
-30.96%77.84K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
229.17%308.04K
875.56%271.33K
247.97%225.51K
116.96%168.88K
116.96%168.88K
-15.88%93.58K
-21.45%27.81K
-57.30%64.81K
-30.96%77.84K
-30.96%77.84K
Shareholders'equity
Share capital
2.34%39.57M
1.93%39.41M
0.70%38.94M
0.70%38.94M
0.70%38.94M
-0.79%38.67M
5.01%38.67M
5.12%38.67M
12.74%38.67M
12.74%38.67M
-common stock
2.34%39.57M
1.93%39.41M
0.70%38.94M
0.70%38.94M
0.70%38.94M
-0.79%38.67M
5.01%38.67M
5.12%38.67M
12.74%38.67M
12.74%38.67M
Retained earnings
-4.27%-42.87M
-6.51%-42.46M
-6.61%-41.96M
-8.49%-41.41M
-8.49%-41.41M
-9.81%-41.11M
-8.41%-39.86M
-7.89%-39.36M
-6.85%-38.17M
-6.85%-38.17M
Paid-in capital
5.70%5.19M
6.28%5.15M
5.42%5.11M
1.91%4.91M
1.91%4.91M
13.45%4.91M
12.76%4.85M
12.25%4.85M
18.45%4.81M
18.45%4.81M
Other equity interest
----
--174.65K
----
----
----
--95K
----
----
----
----
Total stockholders'equity
-26.06%1.89M
-37.48%2.28M
-49.77%2.09M
-54.22%2.43M
-54.22%2.43M
-56.38%2.56M
-16.08%3.65M
-10.06%4.16M
101.35%5.31M
101.35%5.31M
Total equity
-26.06%1.89M
-37.48%2.28M
-49.77%2.09M
-54.22%2.43M
-54.22%2.43M
-56.38%2.56M
-16.08%3.65M
-10.06%4.16M
101.35%5.31M
101.35%5.31M
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, 2023(Q2)Aug 31, 2023(Q1)May 31, 2023(FY)Feb 28, 2023(Q4)Feb 28, 2023(Q3)Nov 30, 2022(Q2)Aug 31, 2022(Q1)May 31, 2022(FY)Feb 28, 2022(Q4)Feb 28, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -64.48%287.82K-58.41%597.3K-81.21%460.3K-75.38%787.95K-75.38%787.95K-80.49%810.23K-44.39%1.44M-15.11%2.45M266.10%3.2M266.10%3.2M
-Cash and cash equivalents -64.48%287.82K-58.41%597.3K-81.21%460.3K-75.38%787.95K-75.38%787.95K-80.49%810.23K-44.39%1.44M-15.11%2.45M266.10%3.2M266.10%3.2M
Receivables -66.31%20.02K27.71%26.2K-71.62%12.5K-57.75%9.44K-57.75%9.44K133.12%59.43K142.88%20.51K127.44%44.05K-9.58%22.34K-9.58%22.34K
-Accounts receivable -66.31%20.02K27.71%26.2K-71.62%12.5K-57.75%9.44K-57.75%9.44K133.12%59.43K142.88%20.51K127.44%44.05K-9.58%22.34K-9.58%22.34K
Prepaid assets -8.50%27.84K-87.10%68.43K38.13%48.83K-90.70%43.72K-90.70%43.72K-68.62%30.43K430.94%530.38K-79.86%35.35K183.41%470.19K183.41%470.19K
Total current assets -62.71%335.68K-65.18%691.93K-79.38%521.63K-77.22%841.11K-77.22%841.11K-78.95%900.09K-26.16%1.99M-17.90%2.53M246.82%3.69M246.82%3.69M
Non current assets
Net PPE 6.44%1.86M10.02%1.86M5.82%1.79M3.74%1.76M3.74%1.76M3.18%1.75M-0.21%1.69M-0.05%1.69M0.59%1.7M0.59%1.7M
-Gross PPE 6.45%1.9M9.98%1.9M5.87%1.83M3.85%1.79M3.85%1.79M3.31%1.78M0.00%1.73M0.17%1.73M0.82%1.73M0.82%1.73M
-Accumulated depreciation -7.24%-35.33K-8.02%-34.78K-8.83%-34.23K-9.68%-33.69K-9.68%-33.69K-10.92%-32.94K-12.24%-32.2K-13.66%-31.46K-15.20%-30.72K-15.20%-30.72K
Total non current assets 6.44%1.86M10.02%1.86M5.82%1.79M3.74%1.76M3.74%1.76M3.18%1.75M-0.21%1.69M-0.05%1.69M0.59%1.7M0.59%1.7M
Total assets -17.05%2.2M-30.58%2.56M-45.20%2.31M-51.75%2.6M-51.75%2.6M-55.62%2.65M-16.12%3.68M-11.56%4.22M95.93%5.39M95.93%5.39M
Liabilities
Current liabilities
Payables 229.17%308.04K875.56%271.33K247.97%225.51K116.96%168.88K116.96%168.88K-15.88%93.58K-21.45%27.81K-57.30%64.81K-30.96%77.84K-30.96%77.84K
-accounts payable 315.26%116.3K805.99%114.02K111.43%95.38K0.11%58.14K0.11%58.14K-27.71%28.01K-26.11%12.59K-67.47%45.11K-19.76%58.08K-19.76%58.08K
-Due to related parties current 192.40%191.74K933.06%157.31K560.76%130.13K460.54%110.73K460.54%110.73K-9.56%65.57K-17.13%15.23K50.05%19.69K-51.06%19.76K-51.06%19.76K
Current liabilities 229.17%308.04K875.56%271.33K247.97%225.51K116.96%168.88K116.96%168.88K-15.88%93.58K-21.45%27.81K-57.30%64.81K-30.96%77.84K-30.96%77.84K
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities 229.17%308.04K875.56%271.33K247.97%225.51K116.96%168.88K116.96%168.88K-15.88%93.58K-21.45%27.81K-57.30%64.81K-30.96%77.84K-30.96%77.84K
Shareholders'equity
Share capital 2.34%39.57M1.93%39.41M0.70%38.94M0.70%38.94M0.70%38.94M-0.79%38.67M5.01%38.67M5.12%38.67M12.74%38.67M12.74%38.67M
-common stock 2.34%39.57M1.93%39.41M0.70%38.94M0.70%38.94M0.70%38.94M-0.79%38.67M5.01%38.67M5.12%38.67M12.74%38.67M12.74%38.67M
Retained earnings -4.27%-42.87M-6.51%-42.46M-6.61%-41.96M-8.49%-41.41M-8.49%-41.41M-9.81%-41.11M-8.41%-39.86M-7.89%-39.36M-6.85%-38.17M-6.85%-38.17M
Paid-in capital 5.70%5.19M6.28%5.15M5.42%5.11M1.91%4.91M1.91%4.91M13.45%4.91M12.76%4.85M12.25%4.85M18.45%4.81M18.45%4.81M
Other equity interest ------174.65K--------------95K----------------
Total stockholders'equity -26.06%1.89M-37.48%2.28M-49.77%2.09M-54.22%2.43M-54.22%2.43M-56.38%2.56M-16.08%3.65M-10.06%4.16M101.35%5.31M101.35%5.31M
Total equity -26.06%1.89M-37.48%2.28M-49.77%2.09M-54.22%2.43M-54.22%2.43M-56.38%2.56M-16.08%3.65M-10.06%4.16M101.35%5.31M101.35%5.31M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

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Price Target

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