CA Stock MarketDetailed Quotes

TLG Troilus Gold Corp

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  • 0.360
  • +0.015+4.35%
15min DelayMarket Closed Jan 24 16:00 ET
131.39MMarket Cap-4.50P/E (TTM)

Troilus Gold Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Oct 31, 2024
(FY)Jul 31, 2024
(Q4)Jul 31, 2024
(Q3)Apr 30, 2024
(Q1)Oct 31, 2023
(FY)Jul 31, 2023
(Q4)Jul 31, 2023
(Q3)Apr 30, 2023
(Q2)Jan 31, 2023
(Q1)Oct 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
448.23%29.17M
-58.09%7.5M
-58.09%7.5M
-33.71%17.12M
-3.77%5.32M
79.27%17.9M
79.27%17.9M
25.97%25.82M
39.28%42.6M
-87.02%5.53M
-Cash and cash equivalents
2,191.37%27.86M
75.94%6.86M
75.94%6.86M
3,083.83%14.89M
-76.29%1.22M
-58.93%3.9M
-58.93%3.9M
-97.69%467.73K
-94.78%1.59M
-87.93%5.13M
-Short term investments
-68.25%1.3M
-95.43%639.29K
-95.43%639.29K
-91.23%2.22M
923.95%4.1M
2,767.72%14M
2,767.72%14M
11,654.30%25.35M
21,069.97%41.01M
284.83%400.83K
Receivables
-49.01%6.24M
-25.27%8.9M
-25.27%8.9M
-58.15%8.17M
-5.08%12.24M
-9.42%11.91M
-9.42%11.91M
128.47%19.51M
187.44%16.22M
95.69%12.9M
-Accounts receivable
----
----
----
-50.50%461.7K
--750.4K
----
----
--932.76K
--986.5K
----
-Taxes receivable
-46.38%6.16M
-27.62%8.6M
-27.62%8.6M
-58.53%7.71M
-10.85%11.49M
-3.94%11.88M
-3.94%11.88M
117.79%18.58M
172.16%15.24M
95.65%12.89M
-Other receivables
--79.82K
911.47%301.1K
911.47%301.1K
----
----
--29.77K
--29.77K
----
----
236.51%6.78K
Prepaid assets
18.83%617.95K
0.89%672.13K
0.89%672.13K
2.42%786.76K
5.95%520.03K
-21.83%666.22K
-21.83%666.22K
-12.00%768.17K
19.27%870.5K
-13.51%490.84K
Total current assets
99.25%36.03M
-43.98%17.07M
-43.98%17.07M
-43.45%26.07M
-4.41%18.08M
27.07%30.48M
27.07%30.48M
54.13%46.1M
61.51%59.69M
-61.99%18.91M
Non current assets
Net PPE
12.28%6.28M
0.65%5.54M
0.65%5.54M
-9.84%5.16M
-3.73%5.59M
-6.56%5.51M
-6.56%5.51M
-1.72%5.72M
-3.92%5.65M
-1.49%5.81M
-Gross PPE
11.99%11.66M
2.23%10.52M
2.23%10.52M
3.72%10.5M
9.59%10.41M
8.22%10.29M
8.22%10.29M
12.13%10.13M
11.20%9.71M
13.01%9.5M
-Accumulated depreciation
-11.66%-5.38M
-4.05%-4.97M
-4.05%-4.97M
-21.30%-5.35M
-30.58%-4.82M
-32.34%-4.78M
-32.34%-4.78M
-37.22%-4.41M
-42.30%-4.06M
-47.12%-3.69M
Investments and advances
--1.34M
--1.47M
--1.47M
----
----
--0
--0
----
----
----
-Long term equity investment
--1.34M
--1.47M
--1.47M
----
----
--0
--0
----
----
----
Non current accounts receivable
-49.16%963.5K
----
----
----
--1.9M
----
----
----
----
----
Other non current assets
0.00%844.6K
0.00%844.6K
0.00%844.6K
0.00%844.6K
0.00%844.6K
0.00%844.6K
0.00%844.6K
0.00%844.6K
0.00%844.6K
0.00%844.6K
Total non current assets
13.12%9.43M
23.76%7.86M
23.76%7.86M
-8.57%6M
25.22%8.33M
-5.74%6.35M
-5.74%6.35M
-1.51%6.56M
-3.43%6.49M
-1.31%6.65M
Total assets
72.08%45.45M
-32.30%24.93M
-32.30%24.93M
-39.10%32.07M
3.30%26.41M
19.88%36.83M
19.88%36.83M
43.99%52.66M
51.52%66.18M
-54.75%25.57M
Liabilities
Current liabilities
Current debt and capital lease obligation
14.20%705.3K
-49.19%349.74K
-49.19%349.74K
-60.99%267.23K
-15.01%617.61K
-2.02%688.37K
-2.02%688.37K
6.85%685.07K
4.35%668.22K
16.45%726.68K
-Current capital lease obligation
14.20%705.3K
-49.19%349.74K
-49.19%349.74K
-60.99%267.23K
-15.01%617.61K
-2.02%688.37K
-2.02%688.37K
6.85%685.07K
4.35%668.22K
16.45%726.68K
Current provisions
14.50%199.14K
24.66%174.19K
24.66%174.19K
3.56%174.43K
16.41%173.93K
-3.54%139.74K
-3.54%139.74K
9.33%168.43K
50.57%210.39K
35.12%149.4K
Current liabilities
-40.38%4.73M
50.75%6.01M
50.75%6.01M
-6.14%7.01M
10.36%7.93M
-55.91%3.99M
-55.91%3.99M
-12.51%7.46M
11.96%5.32M
8.64%7.18M
Non current liabilities
Long term debt and capital lease obligation
187.91%951.81K
73.82%667.95K
73.82%667.95K
-43.47%253.08K
-43.01%330.6K
-30.66%384.29K
-30.66%384.29K
-17.31%447.7K
-14.83%521.92K
-13.42%580.12K
-Long term capital lease obligation
187.91%951.81K
73.82%667.95K
73.82%667.95K
-43.47%253.08K
-43.01%330.6K
-30.66%384.29K
-30.66%384.29K
-17.31%447.7K
-14.83%521.92K
-13.42%580.12K
Long term provisions
4.12%2.58M
3.51%2.66M
3.51%2.66M
-11.34%2.56M
-14.53%2.48M
-19.41%2.57M
-19.41%2.57M
-9.07%2.88M
-11.87%2.94M
-13.17%2.9M
Other non current liabilities
--1.51M
----
----
----
----
----
----
----
----
----
Total non current liabilities
79.30%5.04M
12.65%3.33M
12.65%3.33M
-15.66%2.81M
-19.27%2.81M
-21.07%2.95M
-21.07%2.95M
-10.27%3.33M
-56.07%3.47M
-65.07%3.48M
Total liabilities
-9.05%9.76M
34.54%9.34M
34.54%9.34M
-9.08%9.81M
0.68%10.74M
-45.71%6.94M
-45.71%6.94M
-11.83%10.79M
-30.52%8.78M
-35.67%10.66M
Shareholders'equity
Share capital
19.98%233.3M
14.60%210.89M
14.60%210.89M
14.16%210.08M
11.39%194.45M
8.58%184.02M
8.58%184.02M
8.58%184.01M
8.30%183.43M
4.76%174.57M
-common stock
19.98%233.3M
14.60%210.89M
14.60%210.89M
14.16%210.08M
11.39%194.45M
8.58%184.02M
8.58%184.02M
8.58%184.01M
8.30%183.43M
4.76%174.57M
Retained earnings
-12.72%-205.19M
-20.23%-200.46M
-20.23%-200.46M
-21.49%-193.16M
-2.66%-182.04M
0.24%-166.73M
0.24%-166.73M
1.43%-159M
7.62%-141.69M
-24.58%-177.32M
Other equity interest
132.16%7.58M
-59.00%5.16M
-59.00%5.16M
-68.29%5.34M
-81.51%3.26M
-19.23%12.59M
-19.23%12.59M
4.32%16.85M
4.11%15.66M
12.98%17.66M
Total stockholders'equity
127.64%35.69M
-47.83%15.59M
-47.83%15.59M
-46.85%22.26M
5.18%15.68M
66.67%29.88M
66.67%29.88M
72.08%41.87M
84.91%57.4M
-62.67%14.91M
Total equity
127.64%35.69M
-47.83%15.59M
-47.83%15.59M
-46.85%22.26M
5.18%15.68M
66.67%29.88M
66.67%29.88M
72.08%41.87M
84.91%57.4M
-62.67%14.91M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
--
--
--
--
(Q1)Oct 31, 2024 (FY)Jul 31, 2024 (Q4)Jul 31, 2024 (Q3)Apr 30, 2024 (Q1)Oct 31, 2023 (FY)Jul 31, 2023 (Q4)Jul 31, 2023 (Q3)Apr 30, 2023 (Q2)Jan 31, 2023 (Q1)Oct 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 448.23%29.17M -58.09%7.5M -58.09%7.5M -33.71%17.12M -3.77%5.32M 79.27%17.9M 79.27%17.9M 25.97%25.82M 39.28%42.6M -87.02%5.53M
-Cash and cash equivalents 2,191.37%27.86M 75.94%6.86M 75.94%6.86M 3,083.83%14.89M -76.29%1.22M -58.93%3.9M -58.93%3.9M -97.69%467.73K -94.78%1.59M -87.93%5.13M
-Short term investments -68.25%1.3M -95.43%639.29K -95.43%639.29K -91.23%2.22M 923.95%4.1M 2,767.72%14M 2,767.72%14M 11,654.30%25.35M 21,069.97%41.01M 284.83%400.83K
Receivables -49.01%6.24M -25.27%8.9M -25.27%8.9M -58.15%8.17M -5.08%12.24M -9.42%11.91M -9.42%11.91M 128.47%19.51M 187.44%16.22M 95.69%12.9M
-Accounts receivable ---- ---- ---- -50.50%461.7K --750.4K ---- ---- --932.76K --986.5K ----
-Taxes receivable -46.38%6.16M -27.62%8.6M -27.62%8.6M -58.53%7.71M -10.85%11.49M -3.94%11.88M -3.94%11.88M 117.79%18.58M 172.16%15.24M 95.65%12.89M
-Other receivables --79.82K 911.47%301.1K 911.47%301.1K ---- ---- --29.77K --29.77K ---- ---- 236.51%6.78K
Prepaid assets 18.83%617.95K 0.89%672.13K 0.89%672.13K 2.42%786.76K 5.95%520.03K -21.83%666.22K -21.83%666.22K -12.00%768.17K 19.27%870.5K -13.51%490.84K
Total current assets 99.25%36.03M -43.98%17.07M -43.98%17.07M -43.45%26.07M -4.41%18.08M 27.07%30.48M 27.07%30.48M 54.13%46.1M 61.51%59.69M -61.99%18.91M
Non current assets
Net PPE 12.28%6.28M 0.65%5.54M 0.65%5.54M -9.84%5.16M -3.73%5.59M -6.56%5.51M -6.56%5.51M -1.72%5.72M -3.92%5.65M -1.49%5.81M
-Gross PPE 11.99%11.66M 2.23%10.52M 2.23%10.52M 3.72%10.5M 9.59%10.41M 8.22%10.29M 8.22%10.29M 12.13%10.13M 11.20%9.71M 13.01%9.5M
-Accumulated depreciation -11.66%-5.38M -4.05%-4.97M -4.05%-4.97M -21.30%-5.35M -30.58%-4.82M -32.34%-4.78M -32.34%-4.78M -37.22%-4.41M -42.30%-4.06M -47.12%-3.69M
Investments and advances --1.34M --1.47M --1.47M ---- ---- --0 --0 ---- ---- ----
-Long term equity investment --1.34M --1.47M --1.47M ---- ---- --0 --0 ---- ---- ----
Non current accounts receivable -49.16%963.5K ---- ---- ---- --1.9M ---- ---- ---- ---- ----
Other non current assets 0.00%844.6K 0.00%844.6K 0.00%844.6K 0.00%844.6K 0.00%844.6K 0.00%844.6K 0.00%844.6K 0.00%844.6K 0.00%844.6K 0.00%844.6K
Total non current assets 13.12%9.43M 23.76%7.86M 23.76%7.86M -8.57%6M 25.22%8.33M -5.74%6.35M -5.74%6.35M -1.51%6.56M -3.43%6.49M -1.31%6.65M
Total assets 72.08%45.45M -32.30%24.93M -32.30%24.93M -39.10%32.07M 3.30%26.41M 19.88%36.83M 19.88%36.83M 43.99%52.66M 51.52%66.18M -54.75%25.57M
Liabilities
Current liabilities
Current debt and capital lease obligation 14.20%705.3K -49.19%349.74K -49.19%349.74K -60.99%267.23K -15.01%617.61K -2.02%688.37K -2.02%688.37K 6.85%685.07K 4.35%668.22K 16.45%726.68K
-Current capital lease obligation 14.20%705.3K -49.19%349.74K -49.19%349.74K -60.99%267.23K -15.01%617.61K -2.02%688.37K -2.02%688.37K 6.85%685.07K 4.35%668.22K 16.45%726.68K
Current provisions 14.50%199.14K 24.66%174.19K 24.66%174.19K 3.56%174.43K 16.41%173.93K -3.54%139.74K -3.54%139.74K 9.33%168.43K 50.57%210.39K 35.12%149.4K
Current liabilities -40.38%4.73M 50.75%6.01M 50.75%6.01M -6.14%7.01M 10.36%7.93M -55.91%3.99M -55.91%3.99M -12.51%7.46M 11.96%5.32M 8.64%7.18M
Non current liabilities
Long term debt and capital lease obligation 187.91%951.81K 73.82%667.95K 73.82%667.95K -43.47%253.08K -43.01%330.6K -30.66%384.29K -30.66%384.29K -17.31%447.7K -14.83%521.92K -13.42%580.12K
-Long term capital lease obligation 187.91%951.81K 73.82%667.95K 73.82%667.95K -43.47%253.08K -43.01%330.6K -30.66%384.29K -30.66%384.29K -17.31%447.7K -14.83%521.92K -13.42%580.12K
Long term provisions 4.12%2.58M 3.51%2.66M 3.51%2.66M -11.34%2.56M -14.53%2.48M -19.41%2.57M -19.41%2.57M -9.07%2.88M -11.87%2.94M -13.17%2.9M
Other non current liabilities --1.51M ---- ---- ---- ---- ---- ---- ---- ---- ----
Total non current liabilities 79.30%5.04M 12.65%3.33M 12.65%3.33M -15.66%2.81M -19.27%2.81M -21.07%2.95M -21.07%2.95M -10.27%3.33M -56.07%3.47M -65.07%3.48M
Total liabilities -9.05%9.76M 34.54%9.34M 34.54%9.34M -9.08%9.81M 0.68%10.74M -45.71%6.94M -45.71%6.94M -11.83%10.79M -30.52%8.78M -35.67%10.66M
Shareholders'equity
Share capital 19.98%233.3M 14.60%210.89M 14.60%210.89M 14.16%210.08M 11.39%194.45M 8.58%184.02M 8.58%184.02M 8.58%184.01M 8.30%183.43M 4.76%174.57M
-common stock 19.98%233.3M 14.60%210.89M 14.60%210.89M 14.16%210.08M 11.39%194.45M 8.58%184.02M 8.58%184.02M 8.58%184.01M 8.30%183.43M 4.76%174.57M
Retained earnings -12.72%-205.19M -20.23%-200.46M -20.23%-200.46M -21.49%-193.16M -2.66%-182.04M 0.24%-166.73M 0.24%-166.73M 1.43%-159M 7.62%-141.69M -24.58%-177.32M
Other equity interest 132.16%7.58M -59.00%5.16M -59.00%5.16M -68.29%5.34M -81.51%3.26M -19.23%12.59M -19.23%12.59M 4.32%16.85M 4.11%15.66M 12.98%17.66M
Total stockholders'equity 127.64%35.69M -47.83%15.59M -47.83%15.59M -46.85%22.26M 5.18%15.68M 66.67%29.88M 66.67%29.88M 72.08%41.87M 84.91%57.4M -62.67%14.91M
Total equity 127.64%35.69M -47.83%15.59M -47.83%15.59M -46.85%22.26M 5.18%15.68M 66.67%29.88M 66.67%29.88M 72.08%41.87M 84.91%57.4M -62.67%14.91M
Accounting Standards US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP
Audit Opinions -- Unqualified Opinion with Explanatory Notes -- -- -- -- -- -- -- --

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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