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TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$25.93M-42.6%$39.49M+883%$13.83M-20.3%$9.18M-67.3%$45.18M+382%
$2.1M+327%$64.41K-88.1%$1.04M-19.1%$1.47M+134%$491.27K-15.4%
$30.47M-34.8%$46.48M+510%$16.5M-20.2%$29.37M$46.7M
$9.22M+14.4%$9.31M+1,198%$9.06M+16.7%$8.89M$8.06M
$5.03M+56.7%$4.57M$4.06M$3.57M$3.21M
$50.62M+196%$52.04M+200%$17.53M+5.5%$17.68M$17.08M
$81.09M+27.1%$98.52M+295%$34.04M-8.7%$47.05M$63.78M
$1.92M-44.3%$7.15M+187%$3.64M+1.3%$3.28M$3.46M
$540.44K$11.5K$37.04K$47.3K
$3.95M-45.6%$9.96M+137%$6.53M+17.1%$5.5M$7.26M
$5.44M+10.3%$5.61M-76.8%$5.87M-75.5%$5M$4.93M
$9.39M-23.0%$15.57M-45.2%$12.4M-58.1%$10.5M$12.2M
$31.52K0.0%$31.52K0.0%$31.52K0.0%$31.52K$31.52K
$292.74M+36.3%$291.86M+101%$216.43M+49.5%$215.74M$214.81M
-$216.7M-33.6%-$206.07M-40.2%-$193.31M-42.4%-$177.3M-$162.22M
-$4.38M-322%-$2.87M-89.0%-$1.52M-9.3%-$1.91M-$1.04M
$71.7M+39.0%$82.95M+2,506%$21.64M+180%$36.56M+95.8%$51.59M+7,826%
$81.09M+27.1%$98.52M+295%$34.04M-8.7%$47.05M$63.78M
$979.5K+32.7%$5.66M+482%$1.35M+62.9%$1.44M$738.37K
$979.5K+32.7%$5.66M+482%$1.35M+62.9%$1.44M$738.37K
$662.34K+133%$5.25M$894.91K$592.85K$284.78K
$9.22M+14.4%$9.31M+9.7%$9.06M+16.7%$8.89M$8.06M
$14.24M+26.4%$13.88M$13.12M$12.46M$11.26M
$1.37M+27.5%$1.37M+36.3%$1.33M+38.8%$1.18M$1.08M
$960.59K-44.9%$751.51K$963.93K$1.79M$1.74M
$3.58M-47.2%$9.46M+143%$5.8M+18.3%$4.81M$6.78M
$960.59K-44.9%$751.51K$963.93K$1.79M$1.74M
$104.72K$339.96K
$540.44K$11.5K$37.04K$47.3K
$126.36K
$287.5K$287.5K$287.5K
$214.88K-37.4%$104.72K-41.0%$339.96K-73.7%$502.93K$343.27K
$214.88K-63.4%$268.67K-64.8%$337.47K-73.9%$617.22K$587.57K
$3.58M$9.46M$5.95M
$2.75M
$106.72K
35.6M-91.7%35.5M21.5M21.4M429M
20M0.0%20M20M20M20M
$31.52K0.0%$31.52K0.0%$31.52K0.0%$31.52K$31.52K
23.5M23.5M9.4M9.4M
$14.24M+26.4%$13.88M$13.12M$12.46M$11.26M
00000
$35.62M-91.7%$35.5M$21.46M$21.45M$428.99M
$35.62M-91.7%$35.5M$21.46M$21.45M$428.99M
$214.88K-63.4%$268.67K-64.8%$337.47K-73.9%$617.22K$587.57K
$257.7K
$41.4M+359%$42.73M+383%$8.47M-4.3%$8.79M$9.03M
$20M0.0%$20M$20M$20M$20M
$3.27M+565%$1.04M+92.3%$1.04M-19.1%$1.47M$491.27K
$23.46M$23.46M$9.43M$9.43M

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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.