Masivo Silver Corp.
Balance Sheet

Last updated:

The balance sheet is a financial statement presenting the value of assets, liabilities and equity of a company. How has Masivo Silver Corp.'s balance sheet done over the years? Its assets were worth $54,915 last year, which is less than in the previous period. 814% of Masivo Silver Corp.’s total assets is currently financed by debt. Its liabilities reached the amount of $447,150, which means an increase by 204% compared compared to last year.

Debt to Assets

Masivo Silver Corp. (TSX:MASS.V): Debt to assets
2013 909909 39.29K 4.32%
2015 9326477 106.06K 1.14%
2016 8769273 66.22K 0.76%
2018 2862189 83.32K 2.91%
2019 3320109 149.61K 4.51%
2020 2952723 226.36K 7.67%
2021 818408 274.57K 33.55%
2022 174297 147.11K 84.41%
2024 54915 447.15K 814.26%

MASS.V Balance Sheet (2013 – 2023)

2023 2021 2020 2019 2018 2017 2015 2014 2013
Assets
Current assets:
Cash and cash equivalents
4.89K70.01K541.56K75.45K992.84K583.25K773.66K1.83M875.44K
Short term investments
046K46K46K46K0000
Net receivables
5.39K18.14K13.18K106.96K6.88K0004.46K
Inventory
046K46K45.99K46.00K-33.58K-40.41K00
Other current assets
24.63K20.14K14.07K6.89K10.66K139.34K160.43K170.93K0
Total current assets
34.91K154.29K614.82K235.32K1.05M722.6K934.09K2.00M909.90K
Non-current assets:
Property, Plant and Equipment
20K20K203.58K2.71M2.26M2.13M7.72M7.10M0
Goodwill
000000000
Intangible assets
000000000
Long term investments
0052.4K52.4K52.4K0000
Other non-current assets
00-52.4K-52.4K-52.4K0107.89K221.72K0
Total non-current assets
20K20K203.58K2.71M2.26M2.13M7.83M7.32M0
Total assets
54.91K174.29K818.40K2.95M3.32M2.86M8.76M9.32M909.90K
Liabilities
Current liabilities:
Accounts payable
Deferred revenue
000000000
Short term debt
000000000
Total current liabilities
447.15K147.11K274.57K226.36K149.61K83.32K66.22K106.06K39.29K
Non-current liabilities:
Long term debt
000000000
Deferred tax
000000000
Other non-current liabilities
000000000
Total non-current liabilities
000000000
Total liabilities
447.15K147.11K274.57K226.36K149.61K83.32K66.22K106.06K39.29K