US Stock MarketDetailed Quotes

SNWGF SNOWLINE GOLD CORP

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  • 4.110000
  • -0.143079-3.36%
15min DelayClose Jun 4 15:53 ET
646.20MMarket Cap-31136P/E (TTM)

SNOWLINE GOLD CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
11.82%46.33M
63.48%35.79M
63.48%35.79M
51.34%39.85M
490.29%36.35M
425.32%41.43M
150.49%21.9M
458.87%21.9M
401.49%26.33M
-3.94%6.16M
-Cash and cash equivalents
11.82%46.33M
63.48%35.79M
63.48%35.79M
51.34%39.85M
490.29%36.35M
425.32%41.43M
150.49%21.9M
458.87%21.9M
401.49%26.33M
-3.94%6.16M
Receivables
-9.83%70.47K
-82.91%90.77K
-82.91%90.77K
32.85%692.02K
112.85%363.62K
92.85%78.15K
1,917.75%531.19K
270.49%531.19K
1,041.39%520.91K
255.95%170.83K
-Accounts receivable
-9.83%70.47K
-82.91%90.77K
-82.91%90.77K
32.85%692.02K
112.85%363.62K
92.85%78.15K
1,917.75%531.19K
270.49%531.19K
1,041.39%520.91K
255.95%170.83K
Prepaid assets
106.74%1.02M
-14.25%425.4K
-14.25%425.4K
49.19%622.07K
-13.34%405.03K
-2.85%495.28K
235.17%496.09K
88.38%496.09K
41.69%416.98K
6,576.37%467.35K
Total current assets
12.90%47.42M
58.41%36.31M
58.41%36.31M
50.96%41.17M
446.17%37.12M
397.85%42M
157.11%22.92M
430.07%22.92M
387.77%27.27M
5.11%6.8M
Non current assets
Net PPE
41.38%12.93M
43.70%12.93M
43.70%12.93M
82.37%11.9M
61.72%10.46M
51.39%9.15M
49.54%9M
57.61%9M
11.19%6.53M
9.22%6.47M
-Gross PPE
45.61%13.32M
45.54%13.26M
45.54%13.26M
84.12%12.16M
63.90%10.67M
51.39%9.15M
51.37%9.11M
59.54%9.11M
11.05%6.6M
8.51%6.51M
-Accumulated depreciation
---386.94K
-196.11%-326.15K
-196.11%-326.15K
-233.17%-255.79K
-410.53%-207.77K
----
---110.15K
---110.15K
-0.70%-76.77K
46.62%-40.7K
Non current prepaid assets
0.00%60K
0.00%60K
0.00%60K
--60K
--60K
--60K
--60K
--60K
----
----
Total non current assets
41.11%12.99M
43.41%12.99M
43.41%12.99M
83.29%11.96M
62.65%10.52M
52.38%9.21M
50.54%9.06M
58.66%9.06M
11.19%6.53M
9.22%6.47M
Total assets
17.98%60.41M
54.16%49.3M
54.16%49.3M
57.20%53.13M
259.17%47.64M
253.68%51.21M
114.16%31.98M
218.71%31.98M
194.88%33.8M
7.08%13.26M
Liabilities
Current liabilities
Current debt and capital lease obligation
8.54%22.44K
-4.35%21.7K
-4.35%21.7K
37.39%20.96K
--20.22K
--20.67K
--22.68K
--22.68K
--15.25K
----
-Current capital lease obligation
8.54%22.44K
-4.35%21.7K
-4.35%21.7K
37.39%20.96K
--20.22K
--20.67K
--22.68K
--22.68K
--15.25K
----
Current deferred liabilities
15.18%220.4K
14.98%212.59K
14.98%212.59K
14.98%205.24K
14.98%198.13K
14.98%191.35K
15.03%184.9K
20.41%184.9K
20.41%178.5K
19.85%172.33K
Other current liabilities
99.64%7.82M
494.70%8.14M
494.70%8.14M
406.64%8.69M
290.47%5.37M
88.33%3.92M
-37.38%1.37M
--1.37M
--1.72M
--1.38M
Current liabilities
93.92%8.71M
319.36%8.91M
319.36%8.91M
191.46%12.78M
199.11%8.61M
82.80%4.49M
-17.03%2.12M
72.69%2.12M
1,337.78%4.39M
483.67%2.88M
Non current liabilities
Long term provisions
--367.32K
--364.36K
--364.36K
----
----
----
----
----
----
----
Long term debt and capital lease obligation
-33.47%42.29K
-30.03%40.46K
-30.03%40.46K
-42.95%42.93K
--38.74K
--63.57K
--57.82K
--57.82K
--75.24K
----
-Long term capital lease obligation
-33.47%42.29K
-30.03%40.46K
-30.03%40.46K
-42.95%42.93K
--38.74K
--63.57K
--57.82K
--57.82K
--75.24K
----
Non current deferred liabilities
--0
-46.47%244.86K
-46.47%244.86K
-46.47%236.39K
-46.47%228.21K
-46.47%220.4K
-28.78%457.46K
-25.39%457.46K
-25.39%441.63K
-25.30%426.35K
Other non current liabilities
----
----
----
----
----
--6.26M
----
----
----
----
Total non current liabilities
-93.74%409.61K
26.08%649.69K
26.08%649.69K
-45.96%279.32K
-37.39%266.95K
1,489.02%6.54M
-19.78%515.28K
-15.96%515.28K
-12.68%516.87K
-25.30%426.35K
Total liabilities
-17.34%9.12M
262.12%9.56M
262.12%9.56M
166.43%13.06M
168.59%8.87M
284.58%11.04M
-17.58%2.64M
43.21%2.64M
446.57%4.9M
210.59%3.3M
Shareholders'equity
Share capital
57.60%88.6M
68.00%73.32M
68.00%73.32M
72.79%71.11M
229.14%59.76M
223.96%56.22M
162.58%43.64M
249.72%43.64M
253.53%41.15M
56.81%18.16M
-common stock
57.60%88.6M
68.00%73.32M
68.00%73.32M
72.79%71.11M
229.14%59.76M
223.96%56.22M
162.58%43.64M
249.72%43.64M
253.53%41.15M
56.81%18.16M
Retained earnings
-110.00%-48.07M
-119.69%-43.95M
-119.69%-43.95M
-131.58%-40.63M
-179.20%-29.74M
-184.07%-22.89M
-178.30%-20.01M
-261.13%-20.01M
-763.69%-17.54M
-891.09%-10.65M
Paid-in capital
57.23%10.76M
81.83%10.38M
81.83%10.38M
81.42%9.59M
256.18%8.74M
195.78%6.85M
148.20%5.71M
355.55%5.71M
461.58%5.29M
204.71%2.45M
Gains losses not affecting retained earnings
----
----
----
----
----
----
----
----
----
--0
Total stockholders'equity
27.68%51.29M
35.45%39.75M
35.45%39.75M
38.67%40.07M
289.21%38.77M
246.04%40.17M
150.13%29.34M
258.20%29.34M
173.51%28.89M
-12.04%9.96M
Total equity
27.68%51.29M
35.45%39.75M
35.45%39.75M
38.67%40.07M
289.21%38.77M
246.04%40.17M
150.13%29.34M
258.20%29.34M
173.51%28.89M
-12.04%9.96M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 11.82%46.33M63.48%35.79M63.48%35.79M51.34%39.85M490.29%36.35M425.32%41.43M150.49%21.9M458.87%21.9M401.49%26.33M-3.94%6.16M
-Cash and cash equivalents 11.82%46.33M63.48%35.79M63.48%35.79M51.34%39.85M490.29%36.35M425.32%41.43M150.49%21.9M458.87%21.9M401.49%26.33M-3.94%6.16M
Receivables -9.83%70.47K-82.91%90.77K-82.91%90.77K32.85%692.02K112.85%363.62K92.85%78.15K1,917.75%531.19K270.49%531.19K1,041.39%520.91K255.95%170.83K
-Accounts receivable -9.83%70.47K-82.91%90.77K-82.91%90.77K32.85%692.02K112.85%363.62K92.85%78.15K1,917.75%531.19K270.49%531.19K1,041.39%520.91K255.95%170.83K
Prepaid assets 106.74%1.02M-14.25%425.4K-14.25%425.4K49.19%622.07K-13.34%405.03K-2.85%495.28K235.17%496.09K88.38%496.09K41.69%416.98K6,576.37%467.35K
Total current assets 12.90%47.42M58.41%36.31M58.41%36.31M50.96%41.17M446.17%37.12M397.85%42M157.11%22.92M430.07%22.92M387.77%27.27M5.11%6.8M
Non current assets
Net PPE 41.38%12.93M43.70%12.93M43.70%12.93M82.37%11.9M61.72%10.46M51.39%9.15M49.54%9M57.61%9M11.19%6.53M9.22%6.47M
-Gross PPE 45.61%13.32M45.54%13.26M45.54%13.26M84.12%12.16M63.90%10.67M51.39%9.15M51.37%9.11M59.54%9.11M11.05%6.6M8.51%6.51M
-Accumulated depreciation ---386.94K-196.11%-326.15K-196.11%-326.15K-233.17%-255.79K-410.53%-207.77K-------110.15K---110.15K-0.70%-76.77K46.62%-40.7K
Non current prepaid assets 0.00%60K0.00%60K0.00%60K--60K--60K--60K--60K--60K--------
Total non current assets 41.11%12.99M43.41%12.99M43.41%12.99M83.29%11.96M62.65%10.52M52.38%9.21M50.54%9.06M58.66%9.06M11.19%6.53M9.22%6.47M
Total assets 17.98%60.41M54.16%49.3M54.16%49.3M57.20%53.13M259.17%47.64M253.68%51.21M114.16%31.98M218.71%31.98M194.88%33.8M7.08%13.26M
Liabilities
Current liabilities
Current debt and capital lease obligation 8.54%22.44K-4.35%21.7K-4.35%21.7K37.39%20.96K--20.22K--20.67K--22.68K--22.68K--15.25K----
-Current capital lease obligation 8.54%22.44K-4.35%21.7K-4.35%21.7K37.39%20.96K--20.22K--20.67K--22.68K--22.68K--15.25K----
Current deferred liabilities 15.18%220.4K14.98%212.59K14.98%212.59K14.98%205.24K14.98%198.13K14.98%191.35K15.03%184.9K20.41%184.9K20.41%178.5K19.85%172.33K
Other current liabilities 99.64%7.82M494.70%8.14M494.70%8.14M406.64%8.69M290.47%5.37M88.33%3.92M-37.38%1.37M--1.37M--1.72M--1.38M
Current liabilities 93.92%8.71M319.36%8.91M319.36%8.91M191.46%12.78M199.11%8.61M82.80%4.49M-17.03%2.12M72.69%2.12M1,337.78%4.39M483.67%2.88M
Non current liabilities
Long term provisions --367.32K--364.36K--364.36K----------------------------
Long term debt and capital lease obligation -33.47%42.29K-30.03%40.46K-30.03%40.46K-42.95%42.93K--38.74K--63.57K--57.82K--57.82K--75.24K----
-Long term capital lease obligation -33.47%42.29K-30.03%40.46K-30.03%40.46K-42.95%42.93K--38.74K--63.57K--57.82K--57.82K--75.24K----
Non current deferred liabilities --0-46.47%244.86K-46.47%244.86K-46.47%236.39K-46.47%228.21K-46.47%220.4K-28.78%457.46K-25.39%457.46K-25.39%441.63K-25.30%426.35K
Other non current liabilities ----------------------6.26M----------------
Total non current liabilities -93.74%409.61K26.08%649.69K26.08%649.69K-45.96%279.32K-37.39%266.95K1,489.02%6.54M-19.78%515.28K-15.96%515.28K-12.68%516.87K-25.30%426.35K
Total liabilities -17.34%9.12M262.12%9.56M262.12%9.56M166.43%13.06M168.59%8.87M284.58%11.04M-17.58%2.64M43.21%2.64M446.57%4.9M210.59%3.3M
Shareholders'equity
Share capital 57.60%88.6M68.00%73.32M68.00%73.32M72.79%71.11M229.14%59.76M223.96%56.22M162.58%43.64M249.72%43.64M253.53%41.15M56.81%18.16M
-common stock 57.60%88.6M68.00%73.32M68.00%73.32M72.79%71.11M229.14%59.76M223.96%56.22M162.58%43.64M249.72%43.64M253.53%41.15M56.81%18.16M
Retained earnings -110.00%-48.07M-119.69%-43.95M-119.69%-43.95M-131.58%-40.63M-179.20%-29.74M-184.07%-22.89M-178.30%-20.01M-261.13%-20.01M-763.69%-17.54M-891.09%-10.65M
Paid-in capital 57.23%10.76M81.83%10.38M81.83%10.38M81.42%9.59M256.18%8.74M195.78%6.85M148.20%5.71M355.55%5.71M461.58%5.29M204.71%2.45M
Gains losses not affecting retained earnings --------------------------------------0
Total stockholders'equity 27.68%51.29M35.45%39.75M35.45%39.75M38.67%40.07M289.21%38.77M246.04%40.17M150.13%29.34M258.20%29.34M173.51%28.89M-12.04%9.96M
Total equity 27.68%51.29M35.45%39.75M35.45%39.75M38.67%40.07M289.21%38.77M246.04%40.17M150.13%29.34M258.20%29.34M173.51%28.89M-12.04%9.96M
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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