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FY'25FY'24FY'23FY'22
$39.49M+883%$4.02M-79.1%$19.25M+273%$5.16M
$64.41K-88.1%$540.29K-40.0%$900.31K+91.3%$470.73K
$373.39K
$46.48M+510%$7.62M-63.2%$20.68M+221%$6.44M
$9.31M+1,198%$717.42K-91.5%$8.49M+150%$3.39M
$4.57M+81.3%$2.52M+199%$842.78K+773%$96.54K
$52.04M+200%$17.34M+0.2%$17.3M+44.5%$11.97M
$98.52M+295%$24.95M-34.3%$37.97M+106%$18.41M
$7.15M+187%$2.49M+4.6%$2.38M-40.8%$4.03M
$540.44K-57.1%$1.26M+1,243%$93.8K
$393.12K$1.61M+18.0%$1.37M
$9.96M+137%$4.21M-28.6%$5.89M-52.7%$12.46M
$1.09M
$5.61M-76.8%$24.19M+8.3%$22.34M+1,013%$2.01M
$15.57M-45.2%$28.4M+0.6%$28.23M+95.1%$14.47M
$31.52K0.0%$31.52K0.0%$31.52K0.0%$31.52K
$291.86M+101%$145.03M+24.9%$116.07M+50.1%$77.3M
-$206.07M-40.2%-$146.99M-40.6%-$104.57M-44.8%-$72.19M
-$2.87M-89.0%-$1.52M+15.2%-$1.79M-49.0%-$1.2M
$82.95M+2,506%-$3.45M-135%$9.75M+147%$3.94M+153%
$98.52M+295%$24.95M-34.3%$37.97M+106%$18.41M
$5.66M+482%$972.02K+82.4%$532.84K-33.8%$804.63K
$5.66M+482%$972.02K+82.4%$532.84K-33.8%$804.63K
$5.25M+1,020%$468.79K+109%$223.78K
$9.31M+9.7%$8.49M-2.4%$8.7M+156%$3.39M
$13.88M+26.1%$11.01M+15.4%$9.54M+173%$3.49M
$1.37M+36.3%$1M+96.4%$510.2K+187%$177.94K
$751.51K+3.7%$724.61K-59.8%$1.8M
$9.46M+143%$3.89M-9.0%$4.28M+6.3%$4.03M
$751.51K+3.7%$724.61K-59.8%$1.8M
$104.72K-41.0%$177.6K
$540.44K-57.1%$1.26M+1,243%$93.8K
$244.26K
$148.86K+8.7%$136.94K
$287.5K-86.2%$2.09M
$104.72K-41.0%$177.6K-79.9%$884.48K+197%$298K
$821.86K
$329.35K
$268.67K-64.8%$764.06K-13.6%$884.48K+197%$298K
$9.46M+111%$4.48M
$2.75M0.0%$2.75M
$137.36K+25.8%$109.2K
$1.48M$4.83M+18.0%$4.1M
$1.62M
35.5M+282%9.3M-93.8%149.3M
$297.57K
20M0.0%20M
$31.52K0.0%$31.52K0.0%$31.52K0.0%$31.52K
23.5M+1,003%2.1M+517%344.6K-68.6%1.1M
$13.88M+26.1%$11.01M+15.4%$9.54M+173%$3.49M
$373.39K
$821.86K
$4.51M
000
$35.5M+282%$9.29M-93.8%$149.3M
$35.5M+282%$9.29M-93.8%$149.3M
$1.62M
$100.18K-59.9%$249.54K
$2.27M
$1.63M+43.0%$1.14M
$3.6M+181%$1.28M
$152.54K-70.3%$512.92K
-$32.8M-82.0%-$18.02M
$373.39K
$268.67K-64.8%$764.06K-13.6%$884.48K+197%$298K
$319.18K-36.6%$503.24K
$361.2K
$329.35K
$312.68K
$393.12K
$42.73M+383%$8.85M+2.9%$8.59M+0.2%$8.58M
$86.79K
$20M0.0%$20M
$1.04M+92.3%$540.29K-40.0%$900.31K+91.3%$470.73K
$1.02M
$23.46M+1,003%$2.13M+517%$344.56K-68.6%$1.1M
$9.84-57.3%$23.02
$4.81M
$4.81M

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Questions, answered.

What are NexMetals Mining Corp. Common Shares's total assets?
NexMetals Mining Corp. Common Shares (NEXM) holds $81.1M in total assets, up 27.1% year over year.
How much debt does NexMetals Mining Corp. Common Shares have?
NexMetals Mining Corp. Common Shares carries $1.3M in total debt against $71.7M of shareholders' equity, a debt-to-equity ratio of 0.02.
How much cash does NexMetals Mining Corp. Common Shares have?
NexMetals Mining Corp. Common Shares holds $25.9M in cash and equivalents.
Can NexMetals Mining Corp. Common Shares cover its short-term obligations?
Its current ratio is 7.72 — current assets exceed current liabilities.
Where does NexMetals Mining Corp. Common Shares's balance sheet data come from?
Every line is extracted from NexMetals Mining Corp. Common Shares's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.