Recharge Resources Ltd. (CSE: RR)
Canada flag Canada · Delayed Price · Currency is CAD
0.0350
0.00 (0.00%)
Dec 19, 2024, 9:30 AM EST

Recharge Resources Balance Sheet

Millions CAD. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2023 FY 2022 FY 2021 FY 2020 FY 2019 2018 - 2014
Period Ending
Sep '24 Dec '23 Dec '22 Dec '21 Dec '20 Dec '19 2018 - 2014
Cash & Equivalents
0.130.362.281.3900.11
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Short-Term Investments
00.01----
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Cash & Short-Term Investments
0.130.372.281.3900.11
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Cash Growth
-77.92%-83.60%64.24%238451.89%-99.46%129.91%
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Other Receivables
0.010.230.180.0700.01
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Receivables
0.010.230.180.0700.01
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Prepaid Expenses
0.010.151.080.010.080.01
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Total Current Assets
0.150.753.541.470.080.12
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Property, Plant & Equipment
2.066.83.971.6--
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Other Long-Term Assets
0.010.010.01--0.01
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Total Assets
2.957.567.533.070.080.14
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Accounts Payable
0.040.160.450.020.080.07
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Accrued Expenses
0.360.150.060.010.130.03
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Short-Term Debt
0.05---0.230.05
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Current Unearned Revenue
0.040.040.030.1--
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Other Current Liabilities
---0.010.010
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Total Current Liabilities
0.490.340.550.140.460.15
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Total Liabilities
0.50.340.550.140.460.15
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Common Stock
29.3227.8619.5611.567.587.58
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Retained Earnings
-33.22-28.39-18.44-12.03-10.24-9.86
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Comprehensive Income & Other
6.367.765.863.42.282.26
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Shareholders' Equity
2.467.226.982.93-0.38-0.01
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Total Liabilities & Equity
2.957.567.533.070.080.14
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Total Debt
0.06---0.230.05
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Net Cash (Debt)
0.070.372.281.39-0.230.06
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Net Cash Growth
-88.30%-83.60%64.24%---
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Net Cash Per Share
0.000.010.200.33-0.150.06
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Filing Date Shares Outstanding
50.8650.8633.46.765.071.48
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Total Common Shares Outstanding
50.8647.2626.035.711.481.48
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Working Capital
-0.330.4131.33-0.38-0.02
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Book Value Per Share
0.050.150.270.51-0.26-0.01
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Tangible Book Value
2.467.226.982.93-0.38-0.01
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Tangible Book Value Per Share
0.050.150.270.51-0.26-0.01
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Source: S&P Capital IQ. Standard template. Financial Sources.