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Cassiar Gold Corp. (CGLCF)

0.3430 -0.0220 (-6.03%)
At close: June 17 at 4:00:00 PM EDT
Chart Range Bar
Loading chart for CGLCF
  • Previous Close 0.3650
  • Open 0.3395
  • Bid 0.3180 x 6500000
  • Ask 0.3300 x 1000000
  • Day's Range 0.3303 - 0.3395
  • 52 Week Range 0.1310 - 0.5320
  • Volume 6,050
  • Avg. Volume 177,492
  • Market Cap (intraday) 55.395M
  • Beta (5Y Monthly) 2.28
  • PE Ratio (TTM) --
  • EPS (TTM) -0.0400
  • Earnings Date (est.) Aug 28, 2026
  • Forward Dividend & Yield --
  • Ex-Dividend Date --
  • 1y Target Est --

Cassiar Gold Corp. operates as a mineral acquisition and exploration company in Canada. The company explores for gold and silver. Its flagship project is the 100% owned Cassiar Gold project covering an area of 590 square kilometers located in British Columbia, Canada. The company was formerly known as Margaux Resources Ltd. and changed its name to Cassiar Gold Corp. in September 2020. Cassiar Gold Corp. was incorporated in 2009 and is based in Calgary, Canada.

cassiargold.com

--

Full Time Employees

September 30

Fiscal Year Ends

Gold

Industry

Performance Overview

Trailing total returns as of 6/18/2026, which may include dividends or other distributions. Benchmark is S&P/TSX Composite index (^GSPTSE) .

YTD Return

CGLCF
34.51%
S&P/TSX Composite index (^GSPTSE)
9.74%

1-Year Return

CGLCF
88.46%
S&P/TSX Composite index (^GSPTSE)
31.66%

3-Year Return

CGLCF
6.19%
S&P/TSX Composite index (^GSPTSE)
75.06%

5-Year Return

CGLCF
17.15%
S&P/TSX Composite index (^GSPTSE)
74.85%

Earnings Trends

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Earnings Per Share

Revenue vs. Earnings

Annual
Quarterly
Annual
Quarterly
Q1 FY26
Revenue --
Earnings --

Q4

FY25

Q1

FY26

0

Statistics

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Valuation Measures

Annual
As of 6/17/2026
  • Market Cap

    54.81M

  • Enterprise Value

    52.95M

  • Trailing P/E

    --

  • Forward P/E

    --

  • PEG Ratio (5yr expected)

    --

  • Price/Sales (ttm)

    --

  • Price/Book (mrq)

    8.78

  • Enterprise Value/Revenue

    --

  • Enterprise Value/EBITDA

    --

Financial Highlights

Profitability and Income Statement

  • Profit Margin

    0.00%

  • Return on Assets (ttm)

    -36.83%

  • Return on Equity (ttm)

    -72.09%

  • Revenue (ttm)

    --

  • Net Income Avi to Common (ttm)

    -6.84M

  • Diluted EPS (ttm)

    -0.0400

Balance Sheet and Cash Flow

  • Total Cash (mrq)

    1.37M

  • Total Debt/Equity (mrq)

    --

  • Levered Free Cash Flow (ttm)

    -3.85M

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