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PAN AMERICAN GOLDFIELDS LTD: 10-Q filed 2014-01-21

What PAN AMERICAN GOLDFIELDS LTD reported in its quarterly report filed 2014-01-21 (fiscal Q3 2013): 23 published measures, 72 facts as tagged in accession 0001062993-14-000283.

This filing

Form
10-Q (quarterly report)
Filed
2014-01-21
Fiscal period
fiscal Q3 2013
Accession
0001062993-14-000283 on SEC EDGAR

Values are as tagged in this filing. A later filing can restate them; each measure links to its history page, which shows the latest-filed value per period. All PAN AMERICAN GOLDFIELDS LTD filings.

Reported measures

Total assets

Resources recognized on the balance sheet. Book assets are not the market value of the business.

PeriodValueUnitDays
At 2013-11-301,372,837USD
At 2013-02-281,056,383USD

Total liabilities

Recognized obligations at the reporting date. The definition and scope differ from interest-bearing debt.

PeriodValueUnitDays
At 2013-11-301,824,933USD
At 2013-02-28987,801USD

Stockholders equity

The reported residual interest after liabilities. It is an accounting amount, not market capitalization.

PeriodValueUnitDays
At 2013-11-30-452,096USD
At 2013-02-2868,582USD

Cash and cash equivalents

Cash and qualifying short-term liquid investments under the filer’s accounting policy. Restricted cash and longer-term investments may be reported separately.

PeriodValueUnitDays
At 2013-11-3062,471USD
At 2013-02-28176,538USD
At 2012-11-30263,978USD
At 2012-02-29117,892USD
At 2004-02-2922,077USD

Net income or loss

Reported profit or loss for the period. Check the filing for attribution, exceptional items and discontinued operations before comparing companies.

PeriodValueUnitDays
2013-09-01 to 2013-11-30-502,434USD91
2013-03-01 to 2013-11-30-955,675USD275
2004-03-01 to 2013-11-30-52,918,471USD3562
2012-09-01 to 2012-11-30-236,770USD91
2012-03-01 to 2012-11-30-1,069,782USD275

Operating cash flow

Cash generated or used by operating activities. Working-capital timing can make this differ substantially from reported income.

PeriodValueUnitDays
2013-03-01 to 2013-11-30-348,873USD275
2004-03-01 to 2013-11-30-17,364,185USD3562
2012-03-01 to 2012-11-30-905,469USD275

Capital expenditure payments

Cash payments to acquire property, plant and equipment. This taxonomy concept does not capture every form of investment or acquisition.

PeriodValueUnitDays
2013-03-01 to 2013-11-300USD275
2004-03-01 to 2013-11-30604,201USD3562
2012-03-01 to 2012-11-30584USD275

Financing cash flow

Net cash from financing activities, including borrowing, repayments and transactions with owners. A positive amount does not establish operating profitability.

PeriodValueUnitDays
2013-03-01 to 2013-11-30229,133USD275
2004-03-01 to 2013-11-3017,870,143USD3562
2012-03-01 to 2012-11-301,020,960USD275

Investing cash flow

Net cash from investing activities, including asset purchases, disposals and investment transactions. This differs from capital expenditure payments alone.

PeriodValueUnitDays
2013-03-01 to 2013-11-300USD275
2004-03-01 to 2013-11-30-521,235USD3562
2012-03-01 to 2012-11-3049,066USD275

Retained earnings or deficit

Accumulated undistributed earnings or deficit at the reporting date. This balance is not cash available for distribution.

PeriodValueUnitDays
At 2013-11-30-52,918,471USD
At 2013-02-28-51,962,796USD

Net property, plant and equipment

Carrying amount of property, plant and equipment after accumulated depreciation, depletion and amortization. It is not replacement cost or market value.

PeriodValueUnitDays
At 2013-11-3019,046USD
At 2013-02-2825,033USD

Share-based compensation expense

Reported noncash expense for share-based payment arrangements. Noncash treatment does not mean the awards have no economic cost to shareholders.

PeriodValueUnitDays
2013-03-01 to 2013-11-30143,860USD275
2004-03-01 to 2013-11-3013,080,446USD3562
2012-03-01 to 2012-11-30540,000USD275

Operating income or loss

Operating revenue less operating expenses for the reporting period. It excludes items outside the reported operating result and is not free cash flow.

PeriodValueUnitDays
2013-09-01 to 2013-11-30-651,921USD91
2013-03-01 to 2013-11-30-1,366,322USD275
2004-03-01 to 2013-11-30-53,518,564USD3562
2012-09-01 to 2012-11-30-559,478USD91
2012-03-01 to 2012-11-30-1,473,155USD275

Current assets

Assets classified as current under the normal operating cycle or one-year boundary. Not all current assets can be converted immediately into cash.

PeriodValueUnitDays
At 2013-11-301,353,791USD
At 2013-02-281,031,350USD

Net current accounts receivable

Current customer receivables after the allowance for credit loss. The balance is not cash collected or a guarantee of collection.

PeriodValueUnitDays
At 2013-11-30646,520USD
At 2013-02-28189,149USD

Gross profit

Revenue less the costs directly attributed to the goods or services sold. It precedes other operating expenses and is not net income.

PeriodValueUnitDays
2013-09-01 to 2013-11-30529,822USD91
2013-03-01 to 2013-11-302,055,263USD275
2004-03-01 to 2013-11-307,132,968USD3562
2012-09-01 to 2012-11-30543,845USD91
2012-03-01 to 2012-11-302,630,337USD275

Additional paid-in capital

Capital contributed above par value under this concept. It records historical contributions, not the current value of the equity or cash on hand.

PeriodValueUnitDays
At 2013-11-3052,953,180USD
At 2013-02-2852,567,111USD

Accumulated other comprehensive income or loss

Cumulative other comprehensive items after tax, such as translation and unrealized hedging or securities effects. These amounts have not passed through net income.

PeriodValueUnitDays
At 2013-11-30213,318USD
At 2013-02-28222,712USD

Comprehensive income or loss

Net income plus other comprehensive income after tax. It includes unrealized items that net income excludes and is not a cash measure.

PeriodValueUnitDays
2013-09-01 to 2013-11-30-496,942USD91
2013-03-01 to 2013-11-30-965,069USD275
2004-03-01 to 2013-11-30-52,705,153USD3562
2012-09-01 to 2012-11-30-219,220USD91
2012-03-01 to 2012-11-30-1,076,748USD275

General and administrative expense

General and administrative costs reported under this concept, separate from selling expense. Filers group overhead differently, so compare presentation before comparing companies.

PeriodValueUnitDays
2013-09-01 to 2013-11-301,029,312USD91
2013-03-01 to 2013-11-302,584,278USD275
2004-03-01 to 2013-11-3029,313,915USD3562
2012-09-01 to 2012-11-30696,795USD91
2012-03-01 to 2012-11-302,377,089USD275

Proceeds from issuing common stock

Cash received from issuing common stock during the period. It is gross of costs only where the filer reports it so, and it does not include noncash issuances.

PeriodValueUnitDays
2013-03-01 to 2013-11-300USD275
2004-03-01 to 2013-11-302,756,994USD3562
2012-03-01 to 2012-11-300USD275

Change in accounts receivable

The cash flow adjustment for the change in receivables during the period. A positive value under this concept means receivables grew and reduced operating cash flow.

PeriodValueUnitDays
2013-03-01 to 2013-11-30473,389USD275
2004-03-01 to 2013-11-30458,048USD3562
2012-03-01 to 2012-11-30587,939USD275

Change in inventories

The cash flow adjustment for the change in inventories during the period. A positive value under this concept means inventory grew and reduced operating cash flow.

PeriodValueUnitDays
2013-03-01 to 2013-11-300USD275
2004-03-01 to 2013-11-30-64,202USD3562
2012-03-01 to 2012-11-30-64,202USD275

Inspect the source

Entity
PAN AMERICAN GOLDFIELDS LTD / CIK 0001046672
Captured
SEC response SHA-256
eeac5b0e9bc3681841b44c510f8972843e49d1ed3329272da4a29edbd22dd2ff

Current SEC company facts · Download the original response snapshot (gzip) · Download the selected JSON

Every published concept a filing tagged, with the periods it covered, as reported in that filing at capture time. Forms 10-K, 10-K/A, 10-Q, 10-Q/A, 20-F, 20-F/A, 40-F, 40-F/A. A filing page needs at least 8 published concepts. Later filings can restate these values; the company history pages show the latest-filed value per period.

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Read the published dataset with Python
import json
from urllib.request import urlopen

with urlopen("https://canlicapital.com/company-data/0001046672.json") as response:
    record = json.load(response)
print(record["fetched_at"])
print(record["policy"])
for concept in record["concepts"]:
    print(concept["tag"], next(iter(concept["observations"])))