Recharge Resources Ltd.

Recharge Resources Ltd.

RR.CN
Recharge Resources Ltd.CA flagCanadian Securities Exchange
0.18
CAD
+0.00
- -
4.58MMarket Cap

Total Valuation

Recharge Resources Ltd. carries a market capitalization of 4.58M, placing it among publicly traded companies globally. Its enterprise value stands at 5.02M, reflecting the total theoretical takeover cost after accounting for cash holdings and debt obligations.

Market Cap4.58M
Enterprise Value5.02M

Share Statistics

Recharge Resources Ltd. currently has 50.86M shares outstanding.

Shares Outstanding50.86M
Owned by Insiders (%)N/A
Owned by Institutions (%)N/A

Valuation Ratios

PE RatioN/A
PS RatioN/A
PB Ratio-1.30
P/TBV Ratio2.07
P/FCF Ratio-7.31
P/OCF Ratio-7.31

Financial Position

Recharge Resources Ltd. maintains a current ratio of 0.31, meaning it holds 0.3x the short-term assets needed to cover near-term liabilities. The debt-to-equity ratio is 2.49, indicating elevated leverage, while an interest coverage ratio of -2,196.37 demonstrates limited ability to service its debt obligations.

Current Ratio0.31
Quick Ratio0.29
Debt / Equity2.49
Debt / EBITDA-0.02
Interest Coverage-2,196.37

Financial Efficiency

Return on Equity (ROE)-5,190.95
Return on Assets (ROA)-142.67
Return on Invested Capital (ROIC)N/A
Return on Capital Employed (ROCE)N/A
Revenue Per EmployeeN/A
Employee CountN/A
Inventory TurnoverN/A

Stock Price Statistics

Recharge Resources Ltd.'s stock has declined approximately -35.71429% over the past 52 weeks. The 50-day moving average sits at 0.14, while the 200-day moving average is 0.12.

Beta (5Y)N/A
52-Week Price Change-35.71429%
50-Day Moving Average0.14
200-Day Moving Average0.12
Average Volume (20 Days)N/A

Income Statement

EBITDA reached -3.45M, while operating income came in at -3.45M.

RevenueN/A
Gross ProfitN/A
Operating Income-3.45M
Pretax Income-7.26M
Net Income-7.26M
EBITDA-3.45M
EBIT-3.45M
Earnings Per Share (EPS)-0.14

Balance Sheet

Recharge Resources Ltd. holds 127,767.00 in cash and equivalents against 61,092.00 in total debt, resulting in a net debt position of -66,675.00. Total book value stands at -3.90M, with working capital of -334,032.00 providing operational flexibility.

Cash & Cash Equivalents127,767.00
Total Debt61,092.00
Net Debt-66,675.00
Equity (Book Value)-3.90M
Book Value Per Share-0.08
Working Capital-334,032.00

Cash Flow

Recharge Resources Ltd. produced -695,644.00 in operating cash flow over the past twelve months.

Operating Cash Flow-695,644.00
Capital ExpendituresN/A
Free Cash Flow-695,644.00
FCF Per Share-0.01

Dividends & Yields

Dividend Per ShareN/A
Dividend YieldN/A
Payout RatioN/A
Shareholder Yield-8.77
FCF Yield-13.69

Stock Splits

Recharge Resources Ltd.'s most recent stock split took place on February 4, 2025 with a 2:1 split ratio.

Last Split Date2/4/2025
Split Ratio2:1

Scores

Recharge Resources Ltd. posts an Altman Z-Score of -13.61, below the 3.0 threshold that indicates strong financial health and minimal bankruptcy risk.

Altman Z-Score-13.61