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Star Gold Corp.: 10-Q filed 2011-12-15

What Star Gold Corp. reported in its quarterly report filed 2011-12-15 (fiscal Q2 2012): 13 published measures, 38 facts as tagged in accession 0001056520-11-000568.

This filing

Form
10-Q (quarterly report)
Filed
2011-12-15
Fiscal period
fiscal Q2 2012
Accession
0001056520-11-000568 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 Star Gold Corp. filings.

Reported measures

Total assets

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

PeriodValueUnitDays
At 2011-10-31457,808USD
At 2011-04-30217,719USD

Stockholders equity

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

PeriodValueUnitDays
At 2011-10-31-72,970USD
At 2011-04-30144,611USD

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
2011-08-01 to 2011-10-31-161,510USD92
2011-05-01 to 2011-10-31-325,642USD184
2006-12-08 to 2011-10-31-993,030USD1789
2010-08-01 to 2010-10-31-138,064USD92
2010-05-01 to 2010-10-31-209,090USD184

Operating cash flow

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

PeriodValueUnitDays
2011-05-01 to 2011-10-31-289,482USD184
2006-12-08 to 2011-10-31-923,962USD1789
2010-05-01 to 2010-10-31-158,486USD184

Financing cash flow

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

PeriodValueUnitDays
2011-05-01 to 2011-10-31379,451USD184
2006-12-08 to 2011-10-311,151,151USD1789
2010-05-01 to 2010-10-3199,017USD184

Investing cash flow

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

PeriodValueUnitDays
2011-05-01 to 2011-10-31-26,600USD184
2006-12-08 to 2011-10-31-151,600USD1789
2010-05-01 to 2010-10-31-25,000USD184

Retained earnings or deficit

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

PeriodValueUnitDays
At 2011-10-31-993,030USD
At 2011-04-30-667,388USD

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 2011-10-31225,709USD
At 2011-04-3012,220USD

Current liabilities

Obligations classified as current under the operating-cycle or one-year boundary. The balance includes more than short-term borrowing.

PeriodValueUnitDays
At 2011-10-31530,778USD
At 2011-04-3073,108USD

Operating expenses

Recurring operating costs under this accounting concept, generally excluding production costs included in cost of sales. Check filing presentation before combining expense subtotals.

PeriodValueUnitDays
2011-08-01 to 2011-10-31158,731USD92
2011-05-01 to 2011-10-31321,064USD184
2006-12-08 to 2011-10-31978,536USD1789
2010-08-01 to 2010-10-31138,066USD92
2010-05-01 to 2010-10-31209,111USD184

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 2011-10-31856,800USD
At 2011-04-30749,039USD

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
2011-08-01 to 2011-10-3148,581USD92
2011-05-01 to 2011-10-31140,919USD184
2006-12-08 to 2011-10-31455,918USD1789
2010-08-01 to 2010-10-3120,096USD92
2010-05-01 to 2010-10-3145,754USD184

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
2006-12-08 to 2011-10-31601,500USD1789
2010-05-01 to 2010-10-3199,017USD184

Inspect the source

Entity
Star Gold Corp. / CIK 0001401835
Captured
2026-09-20T08:00:42.679Z
SEC response SHA-256
1ccfabb174477f2c35ecee566492d2f8a8678d1a4ef4c9f121702262ee3fb1cf

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.

Public company accounting reference, not market prices, returns, an investment recommendation, or ALPHAC performance. Validate a separately constructed return series with the validation API; accounting values are not returns.

Use this in research

A financial period ends before its results become public. Use the filing date as a minimum availability boundary, inspect amendments, and retain the original filing vintage when testing historical signals. This latest-filed selection can contain information unavailable at the time.

These pages do not supply prices, total-return histories, corporate-action adjustments or a tradable universe. Build those inputs separately before evaluating a strategy. A profitable backtest can still reflect selection bias or costs that were left out.

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Build with the open-source tools

Use these accounting records as inspectable inputs. When you have constructed a return series, the validation tools can help test its statistical evidence and preserve the result with its limitations.

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

with urlopen("https://canlicapital.com/company-data/0001401835.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"])))