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GPAC Great Pacific Gold Corp

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  • 0.355
  • +0.055+18.33%
15min DelayMarket Closed May 2 16:00 ET
39.93MMarket Cap-1.87P/E (TTM)

Great Pacific Gold Corp 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
-50.90%5.51M
-50.90%5.51M
-71.69%3.65M
-57.56%5.86M
-38.52%9.07M
-28.28%11.22M
-28.28%11.22M
-20.93%12.89M
-23.16%13.81M
-26.02%14.76M
-Cash and cash equivalents
-51.66%5.42M
-51.66%5.42M
-71.69%3.65M
-57.56%5.86M
-38.52%9.07M
-28.28%11.22M
-28.28%11.22M
-20.93%12.89M
-23.16%13.81M
-26.02%14.76M
-Short term investments
--85.32K
--85.32K
----
----
----
--0
--0
----
----
----
Receivables
730.83%458.99K
730.83%458.99K
97.41%151.18K
262.82%177.67K
284.04%104.8K
56.15%55.25K
56.15%55.25K
111.99%76.58K
-46.18%48.97K
-59.27%27.29K
-Accounts receivable
115.39%118.99K
115.39%118.99K
97.41%151.18K
262.82%177.67K
284.04%104.8K
56.15%55.25K
56.15%55.25K
111.99%76.58K
-46.18%48.97K
-59.27%27.29K
-Other receivables
--340K
--340K
----
----
----
----
----
----
----
----
Prepaid assets
-67.56%52.93K
-67.56%52.93K
319.02%444.61K
585.01%873.56K
162.55%302.11K
78.63%163.13K
78.63%163.13K
-64.62%106.11K
-56.07%127.53K
-52.70%115.07K
Total current assets
-47.36%6.02M
-47.36%6.02M
-67.53%4.24M
-50.58%6.91M
-36.38%9.48M
-27.48%11.43M
-27.48%11.43M
-21.43%13.07M
-23.80%13.99M
-26.45%14.9M
Non current assets
Net PPE
165.51%18.99M
165.51%18.99M
128.14%19.16M
1,905.53%19.06M
645.74%7.34M
604.58%7.15M
604.58%7.15M
674.72%8.4M
-12.22%950.36K
-12.25%984.38K
-Gross PPE
158.84%19.35M
158.84%19.35M
124.47%19.55M
1,464.86%19.42M
509.87%7.67M
489.73%7.48M
489.73%7.48M
568.64%8.71M
-2.39%1.24M
-2.73%1.26M
-Accumulated depreciation
-10.50%-355.68K
-10.50%-355.68K
-24.66%-384.72K
-24.01%-360.45K
-21.33%-332.15K
-27.57%-321.89K
-27.57%-321.89K
-41.47%-308.61K
-53.95%-290.66K
-59.56%-273.76K
Investments and advances
-16.44%1.77M
-16.44%1.77M
--1.91M
--2.07M
--2.1M
--2.11M
--2.11M
----
----
----
Non current accounts receivable
----
----
--891.53K
--228.01K
--76.09K
----
----
----
----
----
Due from related parties non current
----
----
--891.53K
--228.01K
--76.09K
----
----
----
----
----
Other non current assets
-7.53%62.65K
-7.53%62.65K
-11.83%65.59K
3.60%68.74K
-2.57%66.45K
-2.12%67.76K
-2.12%67.76K
28.30%74.39K
14.31%66.35K
11.57%68.2K
Total non current assets
123.08%20.82M
123.08%20.82M
159.92%22.02M
2,007.07%21.42M
810.00%9.58M
760.63%9.33M
760.63%9.33M
641.90%8.47M
-10.87%1.02M
-11.02%1.05M
Total assets
29.24%26.84M
29.24%26.84M
21.92%26.27M
88.82%28.34M
19.46%19.06M
23.25%20.77M
23.25%20.77M
21.18%21.55M
-23.04%15.01M
-25.60%15.95M
Liabilities
Current liabilities
Payables
292.44%1.54M
292.44%1.54M
164.99%799.25K
--513.21K
3.95%239.31K
66.66%391.7K
66.66%391.7K
--301.62K
----
--230.2K
-accounts payable
904.48%1.29M
904.48%1.29M
351.94%687.05K
--402.64K
34.59%223.81K
31.29%128.91K
31.29%128.91K
--152.02K
----
--166.29K
-Due to related parties current
-7.80%242.29K
-7.80%242.29K
-25.00%112.2K
--110.58K
-75.76%15.5K
92.05%262.79K
92.05%262.79K
--149.6K
----
--63.92K
Current deferred liabilities
13.87%89.15K
13.87%89.15K
--93.05K
--86.96K
--80.34K
--78.29K
--78.29K
----
----
----
Other current liabilities
--500K
--500K
----
----
----
----
----
----
----
----
Current liabilities
352.42%2.13M
352.42%2.13M
195.84%892.3K
151.91%600.17K
38.85%319.65K
99.97%470K
99.97%470K
43.17%301.62K
-42.80%238.25K
-58.26%230.2K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
352.42%2.13M
352.42%2.13M
195.84%892.3K
151.91%600.17K
38.85%319.65K
99.97%470K
99.97%470K
43.17%301.62K
-42.80%238.25K
-58.26%230.2K
Shareholders'equity
Share capital
33.17%64.49M
33.17%64.49M
25.94%59.7M
47.47%59.57M
19.88%48.43M
19.88%48.43M
19.88%48.43M
17.33%47.4M
0.00%40.4M
0.56%40.4M
-common stock
33.17%64.49M
33.17%64.49M
25.94%59.7M
47.47%59.57M
19.88%48.43M
19.88%48.43M
19.88%48.43M
17.33%47.4M
0.00%40.4M
0.56%40.4M
Additional paid-in capital
118.75%12.03M
118.75%12.03M
109.25%12.1M
83.98%9.97M
54.74%8.38M
1.52%5.5M
1.52%5.5M
6.76%5.78M
0.00%5.42M
-1.68%5.42M
Retained earnings
-53.55%-51.5M
-53.55%-51.5M
-45.54%-46.31M
-34.82%-41.71M
-26.60%-37.96M
-15.15%-33.54M
-15.15%-33.54M
-12.74%-31.82M
-15.80%-30.94M
-20.82%-29.99M
Gains losses not affecting retained earnings
-15.45%-108.21K
-15.45%-108.21K
18.66%-96.9K
16.78%-93.06K
-2.28%-107.34K
-25.62%-93.73K
-25.62%-93.73K
-467.59%-119.14K
-534.34%-111.83K
-511.55%-104.95K
Total stockholders'equity
22.77%24.92M
22.77%24.92M
19.51%25.39M
87.84%27.74M
19.19%18.74M
22.16%20.3M
22.16%20.3M
20.92%21.24M
-22.61%14.77M
-24.73%15.72M
Noncontrolling interests
---207K
---207K
---13.27K
---6.05K
---2.13K
--0
--0
----
----
----
Total equity
21.75%24.71M
21.75%24.71M
19.45%25.38M
87.80%27.74M
19.18%18.74M
22.16%20.3M
22.16%20.3M
20.92%21.24M
-22.61%14.77M
-24.73%15.72M
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
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
(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 -50.90%5.51M-50.90%5.51M-71.69%3.65M-57.56%5.86M-38.52%9.07M-28.28%11.22M-28.28%11.22M-20.93%12.89M-23.16%13.81M-26.02%14.76M
-Cash and cash equivalents -51.66%5.42M-51.66%5.42M-71.69%3.65M-57.56%5.86M-38.52%9.07M-28.28%11.22M-28.28%11.22M-20.93%12.89M-23.16%13.81M-26.02%14.76M
-Short term investments --85.32K--85.32K--------------0--0------------
Receivables 730.83%458.99K730.83%458.99K97.41%151.18K262.82%177.67K284.04%104.8K56.15%55.25K56.15%55.25K111.99%76.58K-46.18%48.97K-59.27%27.29K
-Accounts receivable 115.39%118.99K115.39%118.99K97.41%151.18K262.82%177.67K284.04%104.8K56.15%55.25K56.15%55.25K111.99%76.58K-46.18%48.97K-59.27%27.29K
-Other receivables --340K--340K--------------------------------
Prepaid assets -67.56%52.93K-67.56%52.93K319.02%444.61K585.01%873.56K162.55%302.11K78.63%163.13K78.63%163.13K-64.62%106.11K-56.07%127.53K-52.70%115.07K
Total current assets -47.36%6.02M-47.36%6.02M-67.53%4.24M-50.58%6.91M-36.38%9.48M-27.48%11.43M-27.48%11.43M-21.43%13.07M-23.80%13.99M-26.45%14.9M
Non current assets
Net PPE 165.51%18.99M165.51%18.99M128.14%19.16M1,905.53%19.06M645.74%7.34M604.58%7.15M604.58%7.15M674.72%8.4M-12.22%950.36K-12.25%984.38K
-Gross PPE 158.84%19.35M158.84%19.35M124.47%19.55M1,464.86%19.42M509.87%7.67M489.73%7.48M489.73%7.48M568.64%8.71M-2.39%1.24M-2.73%1.26M
-Accumulated depreciation -10.50%-355.68K-10.50%-355.68K-24.66%-384.72K-24.01%-360.45K-21.33%-332.15K-27.57%-321.89K-27.57%-321.89K-41.47%-308.61K-53.95%-290.66K-59.56%-273.76K
Investments and advances -16.44%1.77M-16.44%1.77M--1.91M--2.07M--2.1M--2.11M--2.11M------------
Non current accounts receivable ----------891.53K--228.01K--76.09K--------------------
Due from related parties non current ----------891.53K--228.01K--76.09K--------------------
Other non current assets -7.53%62.65K-7.53%62.65K-11.83%65.59K3.60%68.74K-2.57%66.45K-2.12%67.76K-2.12%67.76K28.30%74.39K14.31%66.35K11.57%68.2K
Total non current assets 123.08%20.82M123.08%20.82M159.92%22.02M2,007.07%21.42M810.00%9.58M760.63%9.33M760.63%9.33M641.90%8.47M-10.87%1.02M-11.02%1.05M
Total assets 29.24%26.84M29.24%26.84M21.92%26.27M88.82%28.34M19.46%19.06M23.25%20.77M23.25%20.77M21.18%21.55M-23.04%15.01M-25.60%15.95M
Liabilities
Current liabilities
Payables 292.44%1.54M292.44%1.54M164.99%799.25K--513.21K3.95%239.31K66.66%391.7K66.66%391.7K--301.62K------230.2K
-accounts payable 904.48%1.29M904.48%1.29M351.94%687.05K--402.64K34.59%223.81K31.29%128.91K31.29%128.91K--152.02K------166.29K
-Due to related parties current -7.80%242.29K-7.80%242.29K-25.00%112.2K--110.58K-75.76%15.5K92.05%262.79K92.05%262.79K--149.6K------63.92K
Current deferred liabilities 13.87%89.15K13.87%89.15K--93.05K--86.96K--80.34K--78.29K--78.29K------------
Other current liabilities --500K--500K--------------------------------
Current liabilities 352.42%2.13M352.42%2.13M195.84%892.3K151.91%600.17K38.85%319.65K99.97%470K99.97%470K43.17%301.62K-42.80%238.25K-58.26%230.2K
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities 352.42%2.13M352.42%2.13M195.84%892.3K151.91%600.17K38.85%319.65K99.97%470K99.97%470K43.17%301.62K-42.80%238.25K-58.26%230.2K
Shareholders'equity
Share capital 33.17%64.49M33.17%64.49M25.94%59.7M47.47%59.57M19.88%48.43M19.88%48.43M19.88%48.43M17.33%47.4M0.00%40.4M0.56%40.4M
-common stock 33.17%64.49M33.17%64.49M25.94%59.7M47.47%59.57M19.88%48.43M19.88%48.43M19.88%48.43M17.33%47.4M0.00%40.4M0.56%40.4M
Additional paid-in capital 118.75%12.03M118.75%12.03M109.25%12.1M83.98%9.97M54.74%8.38M1.52%5.5M1.52%5.5M6.76%5.78M0.00%5.42M-1.68%5.42M
Retained earnings -53.55%-51.5M-53.55%-51.5M-45.54%-46.31M-34.82%-41.71M-26.60%-37.96M-15.15%-33.54M-15.15%-33.54M-12.74%-31.82M-15.80%-30.94M-20.82%-29.99M
Gains losses not affecting retained earnings -15.45%-108.21K-15.45%-108.21K18.66%-96.9K16.78%-93.06K-2.28%-107.34K-25.62%-93.73K-25.62%-93.73K-467.59%-119.14K-534.34%-111.83K-511.55%-104.95K
Total stockholders'equity 22.77%24.92M22.77%24.92M19.51%25.39M87.84%27.74M19.19%18.74M22.16%20.3M22.16%20.3M20.92%21.24M-22.61%14.77M-24.73%15.72M
Noncontrolling interests ---207K---207K---13.27K---6.05K---2.13K--0--0------------
Total equity 21.75%24.71M21.75%24.71M19.45%25.38M87.80%27.74M19.18%18.74M22.16%20.3M22.16%20.3M20.92%21.24M-22.61%14.77M-24.73%15.72M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion with Explanatory Notes--------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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