US Stock MarketDetailed Quotes
VITFF VICTORIA GOLD CORP
Watchlist
4.216
0.0000.00% Trading 09/29 09:30 ET
0.000High0.000Low0Volume
0.000Open4.216Pre Close0.00Turnover0.00%Turnover Ratio19.25P/E (TTM)280.48MMarket Cap8.45052wk High10.57P/E (Static)66.53MShares4.10052wk Low0.65P/B280.48MFloat Cap18.501Historical High--Dividend TTM66.53MShs Float4.100Historical Low--Div YieldTTM0.00%Amplitude--Avg Price1Lot Size
VICTORIA GOLD CORP Key Stats
Quarterly+Annual
YOY

(Q2)2023/06/30 | (Q1)2023/03/31 | (FY)2022/12/31 | (Q4)2022/12/31 | (Q3)2022/09/30 | (Q1)2022/03/31 | (FY)2021/12/31 | (Q4)2021/12/31 | (Q3)2021/09/30 | (Q2)2021/06/30 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | --39.36M | -34.91%36.09M | -20.38%33.38M | -20.38%33.38M | 119.93%49.01M | 122.91%55.45M | -30.72%41.92M | -30.72%41.92M | -49.85%22.29M | -41.70%19.68M |
-Cash and cash equivalents | --27.54M | -41.99%23.61M | -34.17%20.57M | -34.17%20.57M | 142.92%36.02M | 88.76%40.69M | -44.33%31.25M | -44.33%31.25M | -62.90%14.83M | -51.16%14.85M |
-Short-term investments | --11.81M | -15.38%12.49M | 20.01%12.81M | 20.01%12.81M | 74.21%12.99M | 344.96%14.75M | 143.98%10.67M | 143.98%10.67M | 67.10%7.46M | 44.17%4.83M |
Receivables | --5.3M | 9.76%5.2M | 1,021.97%10.73M | 1,021.97%10.73M | -51.45%2.88M | 307.26%4.74M | -69.66%956K | -69.66%956K | 60.16%5.93M | -87.02%1.12M |
-Accounts receivable | --140K | -96.54%129K | 609.64%4.56M | 609.64%4.56M | -97.01%160K | 5,469.88%3.73M | 2,239.71%643K | 2,239.71%643K | 1,433.71%5.36M | -98.68%67.07K |
-Taxes receivable | --5.16M | 401.75%5.07M | 1,869.01%6.16M | 1,869.01%6.16M | 376.90%2.72M | -7.82%1.01M | -89.98%313K | -89.98%313K | -73.10%569.81K | -50.70%1.05M |
Inventory | --228.36M | 33.86%223.57M | 53.69%211.71M | 53.69%211.71M | 55.72%195.19M | 71.10%167.02M | 58.89%137.75M | 58.89%137.75M | 50.88%125.35M | 45.84%120.27M |
Prepaid assets | --2.48M | -62.50%2.55M | -52.53%3.2M | -52.53%3.2M | -53.70%2.84M | 228.27%6.81M | 158.46%6.74M | 158.46%6.74M | 126.22%6.12M | 179.28%1.06M |
Total current assets | --277.47M | 14.22%268.18M | 38.19%259.01M | 38.19%259.01M | 58.63%253.31M | 86.75%234.79M | 22.54%187.44M | 22.54%187.44M | 19.24%159.69M | 13.51%142.12M |
Non current assets | ||||||||||
Net PPE | --729.42M | 5.03%727.76M | 7.74%728.03M | 7.74%728.03M | 10.12%734.21M | 8.26%692.9M | 8.88%675.75M | 8.88%675.75M | 8.78%666.72M | 9.17%655.61M |
-Gross PPE | --957.98M | 13.02%937.64M | 14.91%920.06M | 14.91%920.06M | 17.03%907.16M | 15.71%829.65M | 16.92%800.7M | 16.92%800.7M | 16.96%775.15M | 17.07%745.93M |
-Accumulated depreciation | ---228.56M | -53.47%-209.88M | -53.69%-192.03M | -53.69%-192.03M | -59.51%-172.95M | -77.58%-136.76M | -94.72%-124.95M | -94.72%-124.95M | -117.65%-108.42M | -146.46%-90.31M |
Investments and advances | --2.36M | --2.66M | --2.81M | --2.81M | ---- | ---- | --0 | --0 | ---- | ---- |
Financial assets | --713K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Non current deferred assets | --0 | --0 | -3.28%26.77M | -3.28%26.77M | --24.15M | --30.25M | --27.68M | --27.68M | ---- | ---- |
Other non current assets | --185K | -53.41%185K | -64.42%185K | -64.42%185K | 32.42%620.25K | -87.39%397.11K | -83.51%520K | -83.51%520K | -95.08%468.4K | -96.41%458.34K |
Total non current assets | --732.68M | 0.98%730.61M | 7.65%757.79M | 7.65%757.79M | 13.76%758.98M | 12.50%723.55M | 12.85%703.95M | 12.85%703.95M | 7.19%667.19M | 6.97%656.07M |
Total assets | --1.01B | 4.22%998.79M | 14.07%1.02B | 14.07%1.02B | 22.42%1.01B | 24.64%958.33M | 14.76%891.39M | 14.76%891.39M | 9.32%826.88M | 8.08%798.19M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | --20.47M | 28.33%35.53M | 60.59%51.99M | 60.59%51.99M | 28.44%31.99M | 82.09%27.69M | 53.81%32.38M | 53.81%32.38M | -7.19%24.91M | -11.89%15.86M |
-accounts payable | --18.64M | 79.07%35.15M | 112.22%51.61M | 112.22%51.61M | 52.24%31.43M | 29.11%19.63M | 15.54%24.32M | 15.54%24.32M | -23.06%20.65M | -7.49%15.86M |
-Total tax payable | --1.83M | -95.31%378K | -95.31%378K | -95.31%378K | -86.92%557.05K | --8.06M | --8.06M | --8.06M | --4.26M | ---- |
Current accrued expenses | --36.22M | 2.95%31.99M | 4.91%37.94M | 4.91%37.94M | 51.56%46.49M | 16.48%31.07M | 16.64%36.17M | 16.64%36.17M | -9.68%30.67M | 54.53%28.47M |
Current debt and capital lease obligation | --61.07M | 8.44%57.65M | 12.67%63.19M | 12.67%63.19M | 10.72%62.46M | -3.07%53.17M | 0.51%56.09M | 0.51%56.09M | 6.43%56.41M | 0.07%50.68M |
-Current debt | ---- | ---- | 12.16%62.48M | 12.16%62.48M | ---- | ---- | 1.19%55.7M | 1.19%55.7M | ---- | ---- |
-Current capital lease obligation | --793K | -10.67%692K | 87.43%716K | 87.43%716K | 48.47%739.43K | 6.64%774.66K | -49.19%382K | -49.19%382K | -32.78%498.04K | -16.46%615.44K |
Current deferred liabilities | ---- | ---- | ---- | ---- | --1.99M | --4.65M | ---- | ---- | ---- | ---- |
Other current liabilities | --2.96M | --21.6M | --11.2M | --11.2M | 127.89%7.72M | ---- | ---- | ---- | -87.28%3.39M | -73.32%7.31M |
Current liabilities | --120.73M | 25.91%146.77M | 31.85%164.33M | 31.85%164.33M | 30.57%150.64M | 11.42%116.57M | -2.32%124.63M | -2.32%124.63M | -17.84%115.38M | -10.62%102.33M |
Non current liabilities | ||||||||||
Long term provisions | --35.87M | -8.06%34.3M | -12.52%34.98M | -12.52%34.98M | 10.29%42.1M | 31.87%37.31M | 41.73%39.99M | 41.73%39.99M | 35.64%38.17M | 6.37%29.85M |
Long term debt and capital lease obligation | --203.24M | 16.94%211.61M | 23.11%187.44M | 23.11%187.44M | 11.87%193.1M | -7.60%180.95M | -27.85%152.26M | -27.85%152.26M | -25.44%172.62M | -21.11%203.01M |
-Long term debt | --200.17M | 17.66%208.85M | 21.99%184.51M | 21.99%184.51M | 10.77%190M | -8.79%177.5M | -27.86%151.25M | -27.86%151.25M | -25.40%171.53M | -21.02%201.85M |
-Long term capital lease obligation | --3.07M | -20.06%2.76M | 191.15%2.93M | 191.15%2.93M | 186.24%3.1M | 181.32%3.45M | -27.19%1.01M | -27.19%1.01M | -31.26%1.08M | -33.74%1.16M |
Non current deferred liabilities | --69.47M | -16.00%59.79M | 37.38%85.87M | 37.38%85.87M | 111.85%80.75M | 307.88%71.17M | 568.53%62.51M | 568.53%62.51M | 679.42%38.11M | 458.14%27.29M |
Derivative product liabilities | ---- | ---- | --0 | --0 | -95.75%837.38K | 43.81%25.47M | -33.76%18.87M | -33.76%18.87M | -54.68%19.72M | -45.16%25.49M |
Total non current liabilities | --308.58M | -2.92%305.7M | 12.67%308.29M | 12.67%308.29M | 17.93%316.78M | 21.45%314.9M | -1.25%273.63M | -1.25%273.63M | -12.80%268.62M | -15.18%285.64M |
Total liabilities | --429.31M | 4.87%452.47M | 18.67%472.62M | 18.67%472.62M | 21.73%467.43M | 18.56%431.47M | -1.59%398.26M | -1.59%398.26M | -14.38%383.99M | -14.02%387.97M |
Shareholders'equity | ||||||||||
Share capital | --449.99M | 2.53%426.26M | 6.24%426.26M | 6.24%426.26M | 6.13%424.95M | 4.98%415.73M | 1.38%401.22M | 1.38%401.22M | 1.44%400.41M | 1.44%399.75M |
-common stock | --449.99M | 2.53%426.26M | 6.24%426.26M | 6.24%426.26M | 6.13%424.95M | 4.98%415.73M | 1.38%401.22M | 1.38%401.22M | 1.44%400.41M | 1.44%399.75M |
Retained earnings | --113.65M | 28.51%97.69M | 61.84%96.71M | 61.84%96.71M | 513.17%85.76M | 496.73%76.02M | 217.25%59.75M | 217.25%59.75M | 113.15%13.99M | 86.03%-17.69M |
Paid-in capital | --19.72M | 0.58%24.89M | -3.00%23.74M | -3.00%23.74M | -1.26%23.92M | 4.28%24.74M | 6.99%24.47M | 6.99%24.47M | 9.51%24.22M | 6.53%23.84M |
Gains losses not affecting retained earnings | ---2.52M | -26.74%-2.52M | -26.04%-2.52M | -26.04%-2.52M | -3.27%-2.03M | 2.62%-1.99M | 1.03%-2M | 1.03%-2M | 25.27%-1.97M | 24.61%-1.96M |
Total stockholders'equity | --580.84M | 6.18%546.32M | 12.56%544.19M | 12.56%544.19M | 21.97%532.59M | 29.09%514.51M | 32.22%483.45M | 32.22%483.45M | 41.83%436.65M | 40.62%403.94M |
Noncontrolling interests | ---- | ---- | --0 | --0 | 96.80%12.27M | 92.48%12.36M | 50.57%9.69M | 50.57%9.69M | --6.23M | --6.29M |
Total equity | --580.84M | 3.69%546.32M | 10.35%544.19M | 10.35%544.19M | 23.02%544.86M | 30.10%526.87M | 32.54%493.13M | 32.54%493.13M | 43.85%442.89M | 42.81%410.22M |
Currency Unit | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD |
Audit Opinions | -- | -- | Unqualified Opinion | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- |
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