CA Stock MarketDetailed Quotes

LAM Laramide Resources Ltd

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  • 0.640
  • +0.040+6.67%
15min DelayMarket Closed Apr 24 16:00 ET
159.62MMarket Cap-21.33P/E (TTM)

Laramide Resources Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-44.07%5.49M
-44.07%5.49M
27.73%2.61M
34.17%4.74M
55.71%7.93M
69.91%9.81M
69.91%9.81M
-74.89%2.04M
-60.74%3.53M
-47.50%5.09M
-Cash and cash equivalents
-86.67%1.21M
-86.67%1.21M
-29.64%1.16M
-57.69%1.26M
-55.65%991.7K
473.41%9.1M
473.41%9.1M
-78.12%1.65M
-65.26%2.98M
-75.20%2.24M
-Short term investments
503.86%4.27M
503.86%4.27M
267.70%1.45M
527.41%3.48M
142.88%6.94M
-83.10%707.54K
-83.10%707.54K
-34.09%394.18K
30.09%554.86K
318.02%2.86M
Receivables
133.94%341.55K
133.94%341.55K
28.98%308.23K
192.07%277.7K
30.84%144.15K
8.74%146K
8.74%146K
249.49%238.97K
-8.66%95.08K
-1.36%110.17K
-Taxes receivable
94.59%203.55K
94.59%203.55K
78.76%235.72K
9.33%79.16K
28.39%55.42K
93.98%104.61K
93.98%104.61K
579.32%131.87K
105.64%72.4K
56.49%43.17K
-Other receivables
233.36%138K
233.36%138K
-32.30%72.51K
775.41%198.54K
32.42%88.73K
-48.47%41.4K
-48.47%41.4K
118.73%107.1K
-67.08%22.68K
-20.34%67K
Prepaid assets
1.42%269.81K
1.42%269.81K
-1.69%285.81K
235.98%1.54M
-29.97%365.89K
-25.62%266.03K
-25.62%266.03K
-1.01%290.73K
60.26%457.85K
95.41%522.48K
Restricted cash
----
----
33.25%53.3K
0.00%40K
0.00%40K
----
----
--40K
--40K
--40K
Total current assets
-40.34%6.1M
-40.34%6.1M
24.66%3.26M
59.87%6.6M
47.08%8.48M
63.14%10.22M
63.14%10.22M
-69.25%2.61M
-56.05%4.13M
-42.80%5.77M
Non current assets
Net PPE
12.39%111.15M
12.39%111.15M
12.28%108.19M
9.26%102.93M
6.22%101.03M
6.19%98.9M
6.19%98.9M
10.45%96.36M
9.22%94.21M
8.44%95.11M
-Gross PPE
12.24%114.56M
12.24%114.56M
12.23%111.6M
9.26%106.25M
5.71%104.27M
5.58%102.07M
5.58%102.07M
10.47%99.43M
8.48%97.25M
8.95%98.64M
-Accumulated depreciation
-7.55%-3.41M
-7.55%-3.41M
-10.89%-3.41M
-9.17%-3.31M
8.16%-3.24M
10.50%-3.17M
10.50%-3.17M
-11.32%-3.07M
10.38%-3.04M
-24.85%-3.53M
Investments and advances
----
----
--0
--0
--0
----
----
--160.11K
1.04%265.18K
-36.63%301.73K
-Financial asset investment
----
----
--0
--0
--0
----
----
--160.11K
1.04%265.18K
-36.63%301.73K
-Including:Available-for-sale securities
----
----
----
----
----
----
----
--160.11K
1.04%265.18K
-36.63%301.73K
Non current prepaid assets
8.79%526.16K
8.79%526.16K
-0.16%493.61K
3.38%500.49K
0.13%495.48K
-2.35%483.63K
-2.35%483.63K
-1.36%494.38K
2.75%484.14K
8.30%494.86K
Total non current assets
12.37%111.68M
12.37%111.68M
12.03%108.68M
8.92%103.43M
5.86%101.52M
6.14%99.38M
6.14%99.38M
10.56%97.01M
9.16%94.96M
8.19%95.91M
Total assets
7.45%117.77M
7.45%117.77M
12.36%111.94M
11.05%110.03M
8.19%110M
9.72%109.6M
9.72%109.6M
3.52%99.63M
2.81%99.09M
2.99%101.67M
Liabilities
Current liabilities
Current debt and capital lease obligation
2.86%4.36M
2.86%4.36M
3,137.61%4.7M
--4.6M
12,042.43%4.43M
-29.52%4.24M
-29.52%4.24M
-97.57%145.25K
----
-99.31%36.48K
-Current debt
2.86%4.36M
2.86%4.36M
3,046.37%4.57M
--4.6M
12,042.43%4.43M
-29.52%4.24M
-29.52%4.24M
-97.57%145.25K
----
-99.31%36.48K
-Current capital lease obligation
----
----
--132.53K
----
----
----
----
----
----
----
Payables
97.89%1.9M
97.89%1.9M
46.18%2.05M
-26.50%723.25K
-34.93%845.99K
-19.76%962.38K
-19.76%962.38K
747.69%1.4M
439.52%984.03K
491.84%1.3M
-accounts payable
105.25%1.86M
105.25%1.86M
53.62%2M
-28.05%677.17K
-34.54%826.08K
-22.22%905.45K
-22.22%905.45K
892.46%1.3M
552.77%941.2K
630.70%1.26M
-Other payable
-19.26%45.96K
-19.26%45.96K
-53.03%45.96K
7.60%46.08K
-48.00%19.91K
61.85%56.93K
61.85%56.93K
187.97%97.85K
12.10%42.83K
-18.52%38.29K
Current accrued expenses
19.54%344.88K
19.54%344.88K
11.01%364.51K
19.25%365.46K
80.42%330.56K
84.48%288.51K
84.48%288.51K
63.89%328.35K
128.94%306.46K
79.02%183.22K
Other current liabilities
4.25%3.97M
4.25%3.97M
-5.42%3.99M
106.91%4.18M
28.84%3.46M
148.83%3.8M
148.83%3.8M
57.28%4.22M
-25.40%2.02M
-57.40%2.68M
Current liabilities
13.79%10.57M
13.79%10.57M
82.21%11.11M
198.16%9.87M
115.66%9.06M
4.44%9.29M
4.44%9.29M
-32.39%6.1M
-61.48%3.31M
-64.68%4.2M
Non current liabilities
Long term debt and capital lease obligation
1,557.73%1.5M
1,557.73%1.5M
----
----
-98.40%62.56K
--90.49K
--90.49K
6,914.29%4.21M
--3.9M
10,589.10%3.9M
-Long term debt
1,557.73%1.5M
1,557.73%1.5M
----
----
-98.40%62.56K
--90.49K
--90.49K
6,914.29%4.21M
--3.9M
10,589.10%3.9M
Non current deferred liabilities
-3.96%3.44M
-3.96%3.44M
-6.87%3.58M
-6.86%3.58M
-6.86%3.58M
-6.85%3.58M
-6.85%3.58M
4.89%3.84M
4.89%3.84M
4.90%3.84M
Total non current liabilities
34.56%4.94M
34.56%4.94M
-55.56%3.58M
-53.79%3.58M
-52.97%3.64M
-4.50%3.67M
-4.50%3.67M
116.26%8.05M
111.41%7.74M
109.29%7.74M
Total liabilities
19.67%15.51M
19.67%15.51M
3.81%14.69M
21.69%13.45M
6.36%12.7M
1.74%12.96M
1.74%12.96M
11.05%14.15M
-9.84%11.05M
-23.42%11.94M
Shareholders'equity
Share capital
0.25%184.93M
0.25%184.93M
5.77%184.6M
6.48%184.6M
6.49%184.49M
9.79%184.47M
9.79%184.47M
4.49%174.53M
3.87%173.37M
4.66%173.24M
-common stock
0.25%184.93M
0.25%184.93M
5.77%184.6M
6.48%184.6M
6.49%184.49M
9.79%184.47M
9.79%184.47M
4.49%174.53M
3.87%173.37M
4.66%173.24M
Additional paid-in capital
12.50%34.38M
12.50%34.38M
8.25%32.74M
5.61%32.35M
4.00%31.9M
-0.61%30.56M
-0.61%30.56M
1.10%30.24M
2.50%30.63M
1.30%30.67M
Retained earnings
-5.51%-126.48M
-5.51%-126.48M
-4.39%-124.64M
-6.13%-123.49M
-4.45%-121.5M
-4.06%-119.87M
-4.06%-119.87M
-3.11%-119.4M
-2.13%-116.35M
0.12%-116.33M
Gains losses not affecting retained earnings
516.45%9.16M
516.45%9.16M
4,136.44%4.55M
701.98%3.12M
12.60%2.41M
-48.57%1.49M
-48.57%1.49M
-92.87%107.48K
2.68%388.68K
-26.22%2.14M
Other equity interest
--270.67K
--270.67K
----
----
----
----
----
----
----
----
Total stockholders'equity
5.82%102.26M
5.82%102.26M
13.77%97.25M
9.71%96.58M
8.44%97.3M
10.88%96.64M
10.88%96.64M
2.37%85.48M
4.65%88.03M
7.94%89.73M
Total equity
5.82%102.26M
5.82%102.26M
13.77%97.25M
9.71%96.58M
8.44%97.3M
10.88%96.64M
10.88%96.64M
2.37%85.48M
4.65%88.03M
7.94%89.73M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -44.07%5.49M-44.07%5.49M27.73%2.61M34.17%4.74M55.71%7.93M69.91%9.81M69.91%9.81M-74.89%2.04M-60.74%3.53M-47.50%5.09M
-Cash and cash equivalents -86.67%1.21M-86.67%1.21M-29.64%1.16M-57.69%1.26M-55.65%991.7K473.41%9.1M473.41%9.1M-78.12%1.65M-65.26%2.98M-75.20%2.24M
-Short term investments 503.86%4.27M503.86%4.27M267.70%1.45M527.41%3.48M142.88%6.94M-83.10%707.54K-83.10%707.54K-34.09%394.18K30.09%554.86K318.02%2.86M
Receivables 133.94%341.55K133.94%341.55K28.98%308.23K192.07%277.7K30.84%144.15K8.74%146K8.74%146K249.49%238.97K-8.66%95.08K-1.36%110.17K
-Taxes receivable 94.59%203.55K94.59%203.55K78.76%235.72K9.33%79.16K28.39%55.42K93.98%104.61K93.98%104.61K579.32%131.87K105.64%72.4K56.49%43.17K
-Other receivables 233.36%138K233.36%138K-32.30%72.51K775.41%198.54K32.42%88.73K-48.47%41.4K-48.47%41.4K118.73%107.1K-67.08%22.68K-20.34%67K
Prepaid assets 1.42%269.81K1.42%269.81K-1.69%285.81K235.98%1.54M-29.97%365.89K-25.62%266.03K-25.62%266.03K-1.01%290.73K60.26%457.85K95.41%522.48K
Restricted cash --------33.25%53.3K0.00%40K0.00%40K----------40K--40K--40K
Total current assets -40.34%6.1M-40.34%6.1M24.66%3.26M59.87%6.6M47.08%8.48M63.14%10.22M63.14%10.22M-69.25%2.61M-56.05%4.13M-42.80%5.77M
Non current assets
Net PPE 12.39%111.15M12.39%111.15M12.28%108.19M9.26%102.93M6.22%101.03M6.19%98.9M6.19%98.9M10.45%96.36M9.22%94.21M8.44%95.11M
-Gross PPE 12.24%114.56M12.24%114.56M12.23%111.6M9.26%106.25M5.71%104.27M5.58%102.07M5.58%102.07M10.47%99.43M8.48%97.25M8.95%98.64M
-Accumulated depreciation -7.55%-3.41M-7.55%-3.41M-10.89%-3.41M-9.17%-3.31M8.16%-3.24M10.50%-3.17M10.50%-3.17M-11.32%-3.07M10.38%-3.04M-24.85%-3.53M
Investments and advances ----------0--0--0----------160.11K1.04%265.18K-36.63%301.73K
-Financial asset investment ----------0--0--0----------160.11K1.04%265.18K-36.63%301.73K
-Including:Available-for-sale securities ------------------------------160.11K1.04%265.18K-36.63%301.73K
Non current prepaid assets 8.79%526.16K8.79%526.16K-0.16%493.61K3.38%500.49K0.13%495.48K-2.35%483.63K-2.35%483.63K-1.36%494.38K2.75%484.14K8.30%494.86K
Total non current assets 12.37%111.68M12.37%111.68M12.03%108.68M8.92%103.43M5.86%101.52M6.14%99.38M6.14%99.38M10.56%97.01M9.16%94.96M8.19%95.91M
Total assets 7.45%117.77M7.45%117.77M12.36%111.94M11.05%110.03M8.19%110M9.72%109.6M9.72%109.6M3.52%99.63M2.81%99.09M2.99%101.67M
Liabilities
Current liabilities
Current debt and capital lease obligation 2.86%4.36M2.86%4.36M3,137.61%4.7M--4.6M12,042.43%4.43M-29.52%4.24M-29.52%4.24M-97.57%145.25K-----99.31%36.48K
-Current debt 2.86%4.36M2.86%4.36M3,046.37%4.57M--4.6M12,042.43%4.43M-29.52%4.24M-29.52%4.24M-97.57%145.25K-----99.31%36.48K
-Current capital lease obligation ----------132.53K----------------------------
Payables 97.89%1.9M97.89%1.9M46.18%2.05M-26.50%723.25K-34.93%845.99K-19.76%962.38K-19.76%962.38K747.69%1.4M439.52%984.03K491.84%1.3M
-accounts payable 105.25%1.86M105.25%1.86M53.62%2M-28.05%677.17K-34.54%826.08K-22.22%905.45K-22.22%905.45K892.46%1.3M552.77%941.2K630.70%1.26M
-Other payable -19.26%45.96K-19.26%45.96K-53.03%45.96K7.60%46.08K-48.00%19.91K61.85%56.93K61.85%56.93K187.97%97.85K12.10%42.83K-18.52%38.29K
Current accrued expenses 19.54%344.88K19.54%344.88K11.01%364.51K19.25%365.46K80.42%330.56K84.48%288.51K84.48%288.51K63.89%328.35K128.94%306.46K79.02%183.22K
Other current liabilities 4.25%3.97M4.25%3.97M-5.42%3.99M106.91%4.18M28.84%3.46M148.83%3.8M148.83%3.8M57.28%4.22M-25.40%2.02M-57.40%2.68M
Current liabilities 13.79%10.57M13.79%10.57M82.21%11.11M198.16%9.87M115.66%9.06M4.44%9.29M4.44%9.29M-32.39%6.1M-61.48%3.31M-64.68%4.2M
Non current liabilities
Long term debt and capital lease obligation 1,557.73%1.5M1,557.73%1.5M---------98.40%62.56K--90.49K--90.49K6,914.29%4.21M--3.9M10,589.10%3.9M
-Long term debt 1,557.73%1.5M1,557.73%1.5M---------98.40%62.56K--90.49K--90.49K6,914.29%4.21M--3.9M10,589.10%3.9M
Non current deferred liabilities -3.96%3.44M-3.96%3.44M-6.87%3.58M-6.86%3.58M-6.86%3.58M-6.85%3.58M-6.85%3.58M4.89%3.84M4.89%3.84M4.90%3.84M
Total non current liabilities 34.56%4.94M34.56%4.94M-55.56%3.58M-53.79%3.58M-52.97%3.64M-4.50%3.67M-4.50%3.67M116.26%8.05M111.41%7.74M109.29%7.74M
Total liabilities 19.67%15.51M19.67%15.51M3.81%14.69M21.69%13.45M6.36%12.7M1.74%12.96M1.74%12.96M11.05%14.15M-9.84%11.05M-23.42%11.94M
Shareholders'equity
Share capital 0.25%184.93M0.25%184.93M5.77%184.6M6.48%184.6M6.49%184.49M9.79%184.47M9.79%184.47M4.49%174.53M3.87%173.37M4.66%173.24M
-common stock 0.25%184.93M0.25%184.93M5.77%184.6M6.48%184.6M6.49%184.49M9.79%184.47M9.79%184.47M4.49%174.53M3.87%173.37M4.66%173.24M
Additional paid-in capital 12.50%34.38M12.50%34.38M8.25%32.74M5.61%32.35M4.00%31.9M-0.61%30.56M-0.61%30.56M1.10%30.24M2.50%30.63M1.30%30.67M
Retained earnings -5.51%-126.48M-5.51%-126.48M-4.39%-124.64M-6.13%-123.49M-4.45%-121.5M-4.06%-119.87M-4.06%-119.87M-3.11%-119.4M-2.13%-116.35M0.12%-116.33M
Gains losses not affecting retained earnings 516.45%9.16M516.45%9.16M4,136.44%4.55M701.98%3.12M12.60%2.41M-48.57%1.49M-48.57%1.49M-92.87%107.48K2.68%388.68K-26.22%2.14M
Other equity interest --270.67K--270.67K--------------------------------
Total stockholders'equity 5.82%102.26M5.82%102.26M13.77%97.25M9.71%96.58M8.44%97.3M10.88%96.64M10.88%96.64M2.37%85.48M4.65%88.03M7.94%89.73M
Total equity 5.82%102.26M5.82%102.26M13.77%97.25M9.71%96.58M8.44%97.3M10.88%96.64M10.88%96.64M2.37%85.48M4.65%88.03M7.94%89.73M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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