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Bitterroot Resources Ltd.

TSXV:BTT.V

$0.035 CAD

$0 (0.0%)

Volume
16K
Average Volume
88.65K
Market Capitalization
$3.71M
P/E Ratio
-13.46
Dividend Yield
0.00%
Price Target
$
Year High
$0.13
Year Low
$0.04
Day High
Day Low
Payout Ratio
$0.00
Current Ratio
$0.11

BTT.V Financial

date 2025-10-31 2024-10-31 2023-10-31 2022-10-31 2021-10-31 2020-10-31 2019-10-31 2018-10-31 2017-10-31 2016-10-31
revenue - - - - - - - - - -
costOfRevenue - - 16913 18395 18477 18478 - 5505 3030 865
grossProfit - - -16913 -18395 -18477 -18478 - -5505 -3030 -865
researchAndDevelopmentExpenses - - - - - - - - - -
generalAndAdministrativeExpenses 139.63K 190.6K 251.73K 434.95K 637.27K 139.28K 282.29K 361.27K 462.82K 268.77K
sellingAndMarketingExpenses - 6700 65600 - - - - - - -
sellingGeneralAndAdministrativeExpenses 139.63K 197.3K 343.01K 434.95K 637.27K 139.28K 282.29K 361.27K 462.82K 268.77K
otherExpenses 166.55K 153.26K 188.94K 209.25K 6409 97958 - 19990 - -
operatingExpenses 306.18K 197.3K 343.01K 434.95K 870.74K 225.24K 283.78K 366.78K 472.88K 278.69K
costAndExpenses 306.18K 197.3K 356.56K 453.35K 889.22K 243.72K 283.78K 366.78K 472.88K 278.69K
netInterestIncome -14268 -9044 -5356 -9254 -4858 - - - - -
interestIncome - - - - - - - - - -
interestExpense 14268 9044 5356 9254 4858 9952 20520 15298 25853 1105
depreciationAndAmortization - 16913 1.39M 18395 18477 18478 206.56K 2.25M 3030 865
ebitda -306.18K -180K 1.06M -1.76M -861K -127.28K -269K -347K -697K -277.82K
ebit -306.18K -197K -357K -1.78M -879K 80578 -477K -2.6M -700K -280.54K
nonOperatingIncomeExcludingInterest 89303 -550 22319 1.33M -10150 -324.3K 206.56K 2.25M 226.85K 1850
operatingIncome -306.18K -197K -360K -453K -889K -190.54K -284K -340K -473K -278.69K
totalOtherIncomeExpensesNet -103.57K -28347 -27670 -1.34M 3742 216.39K -247K -2.27M -253K -2959
incomeBeforeTax -409.75K -226K -362K -1.79M -884K 70629 -498K -2.61M -726K -281.65K
incomeTaxExpense - - - 9254 - 107.91K 34884 - - 1105
netIncomeFromContinuingOperations -409.75K -226K -362K -1.79M -884K 70629 -498K -2.61M -726K -281.65K
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - - - - - - - - - -
netIncome -409.75K -226K -362K -1.79M -884K 70629 -498K -2.61M -726K -281.65K
netIncomeDeductions - - - - - - - - - -
bottomLineNetIncome -409.75K -226K -362K -1.79M -884K 70629 -498K -2.61M -726K -281.65K
eps -0.0 -0.0 -0.0 -0.02 -0.01 0.0 -0.01 -0.07 -0.03 -0.01
date 2025-10-31 2024-10-31 2023-10-31 2022-10-31 2021-10-31 2020-10-31 2019-10-31 2018-10-31 2017-10-31 2016-10-31
cashAndCashEquivalents 798.08K 16101 5845 105.32K 736.39K 17036 391 5473 1.15M 232
shortTermInvestments - - - - - - - - - -
cashAndShortTermInvestments 798.08K 16101 5845 105.32K 736.39K 17036 391 5473 1.15M 232
netReceivables 6932 2441 1733 - 7385 4945 3986 13343 5102 4856
accountsReceivables - 2441 - - - - 3986 13343 - 3294
otherReceivables 6932 - 1733 - 7385 4945 - - 5102 -
inventory - - - - - - - - - -
prepaids - - - 3214 3214 7310 4402 15835 11502 4830
otherCurrentAssets - - - 0.0 - - - - - -
totalCurrentAssets 805.01K 18542 7578 108.53K 746.98K 29291 8779 34651 1.16M 9918
propertyPlantEquipmentNet 4.43M 4.97M 4.76M 5.27M 5.52M 4.4M 4.17M 4.3M 5.59M 4.42M
goodwill - - - - - - - - - -
intangibleAssets - - - - - - - - - -
goodwillAndIntangibleAssets - - - - - - - - - -
longTermInvestments 1.04M 861.07K 765.39K 36589 45789 11600 11500 65005 26500 21500
taxAssets - - - - - - - - - -
otherNonCurrentAssets 4.43M 5567 36589 - - - - - - -
totalNonCurrentAssets 5.47M 5.84M 5.56M 5.31M 5.56M 4.42M 4.18M 4.36M 5.62M 4.44M
otherAssets - - - - - - - - - -
totalAssets 6.27M 5.86M 5.57M 5.41M 6.31M 4.45M 4.19M 4.4M 6.78M 4.45M
totalPayables 381.97K 32353 251.6K 52461 110.03K 188.48K 259.77K 162.15K 51560 179.82K
accountPayables 35473 32353 123.94K 52461 110.03K 158.34K 39271 67654 34190 53815
otherPayables 346.5K - 127.65K - - 30136 -39271 94500 -34190 -53815
accruedExpenses - - - - - - - - - -
shortTermDebt 245.6K 216.04K 96832 - - 160K 50578 45178 - 15289
capitalLeaseObligationsCurrent - - - 20961 16528 22407 - - - -
taxPayables - - - - - - - - - -
deferredRevenue - - - -52461 -110.03K - - - -17370 -
otherCurrentLiabilities 14268 258.7K - - - - - - 19990 -
totalCurrentLiabilities 641.84K 507.1K 348.43K 73422 126.56K 370.88K 310.35K 207.33K 71550 195.1K
longTermDebt - - - - - - 126K 126K 126K -
capitalLeaseObligationsNonCurrent - - - 21990 22407 34077 - - - -
deferredRevenueNonCurrent - - - - - - - - - -
deferredTaxLiabilitiesNonCurrent - - - - - - - - - -
otherNonCurrentLiabilities 303.19K - - - - - 52326 37206 22086 -
totalNonCurrentLiabilities 303.19K - - 21990 22407 34077 178.33K 163.21K 148.09K -
otherLiabilities - - - - - - - - - -
capitalLeaseObligations - - - 42951 38935 56484 - - - -
totalLiabilities 945.03K 507.1K 348.43K 95412 148.97K 404.96K 488.68K 370.54K 219.64K 195.1K
treasuryStock - - - - - - - - - -
preferredStock - - - - - - - - - -
commonStock 31.54M 30.69M 30.44M 30.24M 29.42M 26.94M 26.69M 26.55M 26.54M 23.81M
retainedEarnings -30.79M -30.38M -30.16M -29.8M -28M -27.12M -27.19M -26.69M -24.08M -23.36M
additionalPaidInCapital - - - - - - - 26.55M 26.54M 23.81M
date 2025-10-31 2024-10-31 2023-10-31 2022-10-31 2021-10-31 2020-10-31 2019-10-31 2018-10-31 2017-10-31 2016-10-31
netIncome -409.75K -225.65K -361.91K -1.79M -883.92K 70629 -497.96K -2.61M -725.58K -281.65K
depreciationAndAmortization - - 16913 18395 18477 18478 206.56 2246.5 3030 865
deferredIncomeTax - - - 1.39M - 74312 - - 210.8K -
stockBasedCompensation - 6700 65600 128.61K 520.8K 46301 - 75276 174.16K 32651
changeInWorkingCapital 91217 41946 214.65K 21336 -130.32K 126.51K 132.27K 94635 -18260 144.68K
accountsReceivables -3580 -708 -1733 7385 -2440 -959 9357 -8241 -246.0 3328
inventory - - 1733 -7385 2440 959 -9357 - - -
accountsPayables 7002 -88397 85515 13951 -101.84K 94992 -14518 30079 - -
otherWorkingCapital 94797 131.05K 129.14K 7385 -28480 31518 146.79K 64556 -18014 141.36K
otherNonCashItems 192.47K 6296 1141 9254 4858 -371.97K 213.18K 2.24M 235.24K 289
netCashProvidedByOperatingActivities -126.06K -170.71K -63610 -223.67K -470.11K -35742 -152.3K -200.76K -331.42K -103.16K
investmentsInPropertyPlantAndEquipment -196.9K -254.87K -332.99K -1.75M -1.56M -598.63K -179.95K -949.53K -936.92K -72295
acquisitionsNet - - - - - - - - - -
purchasesOfInvestments - - - - -34189 - - -37362 -5000 -
salesMaturitiesOfInvestments - - - 9200 - - 52631 - - -
otherInvestingActivities 28116 74286 29564 546.71K 514.98K 370.76K 87814 -37362 -5000 103.62K
netCashProvidedByInvestingActivities -168.79K -180.59K -303.43K -1.19M -1.08M -227.87K -39501 -986.89K -941.92K 31326
netDebtIssuance 10000 110K 71189 -23581 -182.41K 137.59K - 45000 -17068 15000
longTermNetDebtIssuance - - -22216 -23581 -182.41K 137.59K - - -138.84K 15000
shortTermNetDebtIssuance 10000 110K 93405 - - 160K - 45000 121.77K -
netStockIssuance 1.07M 270K 200K 808.5K 2.16M 145.62K 167.4K - 2.44M -
netCommonStockIssuance 1.07M 270K 200K 808.5K 2.16M 145.62K 167.4K - 2.58M -
commonStockIssuance 1.07M 270K 200K 808.5K 2.16M 145.62K 167.4K - 2.58M -
commonStockRepurchased - - - - - - - - - -
netPreferredStockIssuance - - - - - - - - -136.71K -
netDividendsPaid - - - - - - - - - -
commonDividendsPaid - - - - - - - - - -
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities -48646 -18447 -3625 -621 290.5K -2961 19322 - - -
netCashProvidedByFinancingActivities 1.08M 361.55K 267.56K 784.3K 2.27M 280.26K 186.72K 45000 2.42M 15000
date 2026-04-30 2026-01-31 2025-10-31 2025-07-31 2025-04-30 2025-01-31 2024-10-31 2024-07-31 2024-04-30 2024-01-31
revenue - - - - - - - - - -
costOfRevenue - - - - - - - - - -
grossProfit - - - - - - - - - -
researchAndDevelopmentExpenses - - - - - - - - - -
generalAndAdministrativeExpenses 16459 163.65K 49998 51578 13608 39949 22167 3540 65327 31328
sellingAndMarketingExpenses - - - 46400 - 7100 - - 6700 -
sellingGeneralAndAdministrativeExpenses 16459 163.65K 49998 97978 13608 47049 22167 3540 72027 31328
otherExpenses 45096 40654 41930 6338 41204 8075 39488 36157 44296 33320
operatingExpenses 61555 204.3K 91928 104.32K 54812 55124 61655 39697 83182 32627
costAndExpenses 61555 204.3K 91928 104.32K 54812 55124 61655 39697 83182 31328
netInterestIncome -3412 -3537 -3538 -3530 -3987 -3213 -2503 -2484 -2376 -1681
interestIncome - - - - - - - - - -
interestExpense 3412 3537 3538 3530 3987 3213 2503 2484 2376 1681
depreciationAndAmortization - - - 97978 44811 - - - 72027 4228
ebitda 241.07K -254.69K -91928 -108.7K -53254 -56800 -62437 -42075 -82522 -29571
ebit 241.07K -254.69K -91928 -108.7K -53254 -56800 -62437 -42075 -82525 -29567
nonOperatingIncomeExcludingInterest -302.63K 50393 84803 4380 -1558 1676 782 2378 -657 -3057
operatingIncome -61555 -204.3K -91928 -104.32K -54812 -55124 -61655 -39697 -83182 -32628
totalOtherIncomeExpensesNet 299.22K -53930 -88341 -7912 -2429 -4889 -3285 -4862 -1719 1378
incomeBeforeTax 237.66K -258.23K -180.27K -112.23K -57241 -60013 -64940 -44559 -84901 -31252
incomeTaxExpense - - - - - - - - - -31.33
netIncomeFromContinuingOperations 237.66K -258.23K -180.27K -112.23K -57241 -60013 -64940 -44559 -84901 -31252
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - - - - - - - - - -
netIncome 237.66K -258.23K -180.27K -112.23K -57241 -60013 -64940 -44559 -84901 -31252
netIncomeDeductions - - - - - - - - - -
bottomLineNetIncome 237.66K -258.23K -180.27K -112.23K -57241 -60013 -64940 -44559 -84901 -31252
eps 0.0 -0.0 -0.0 -0.0 -0.0 -0.0 -0.0 -0.0 -0.0 -0.0
date 2026-04-30 2026-01-31 2025-10-31 2025-07-31 2025-04-30 2025-01-31 2024-10-31 2024-07-31 2024-04-30 2024-01-31
cashAndCashEquivalents 52211 391.81K 798.08K 28627 6462 15099 16101 67539 16862 14754
shortTermInvestments - - - - - - - - - -
cashAndShortTermInvestments 52211 391.81K 798.08K 28627 6462 15099 16101 67539 16862 14754
netReceivables 25151 7511 6932 18203 3765 2058 2441 7317 8147 5730
accountsReceivables 25151 - - 18203 3765 2058 2441 7317 8147 5730
otherReceivables - 7511 6932 - - - - - - -
inventory - - - - - - - - - -
prepaids - - - - - - - - - -
otherCurrentAssets - - - - - - - - - -0.0
totalCurrentAssets 77362 399.32K 805.01K 46830 10227 17157 18542 74856 25009 20484
propertyPlantEquipmentNet 5.15M 4.93M 4.43M 4.33M 4.27M 4.35M 4.97M 4.9M 4.79M 4.77M
goodwill - - - - - - - - - -
intangibleAssets - - - - - - - - - -
goodwillAndIntangibleAssets - - - - - - - - - -
longTermInvestments 1.08M 1.38M 1.04M 1.04M 1.01M 1.63M 861.07K 765.39K 770.88K 770.76K
taxAssets - - - - - - - - - -
otherNonCurrentAssets 24297 - 4.43M - 24614 25801 5567 5530 - -
totalNonCurrentAssets 6.25M 6.31M 5.47M 5.37M 5.3M 6M 5.84M 5.67M 5.56M 5.54M
otherAssets - - - - - - - - - -
totalAssets 6.33M 6.71M 6.27M 5.42M 5.31M 6.02M 5.86M 5.75M 5.58M 5.56M
totalPayables 424.09K 531.26K 381.97K 37402 374.84K 45174 291.06K 253.58K 300.82K 249.81K
accountPayables 56589 184.76K 35473 37402 52997 45174 32353 41160 102.16K 87550
otherPayables 367.5K 346.5K 346.5K - 321.84K - 258.7K 212.42K -102.16K 162.26K
accruedExpenses - - - 379.37K - - - - - -
shortTermDebt 265.41K 258.36K 245.6K 244.96K 252.08K 240.68K 216.04K 173.31K 170.55K 115.73K
capitalLeaseObligationsCurrent - - - - - - - - - -
taxPayables - - - - - - - - - -
deferredRevenue - - - - - - - - -102.16K -87.55
otherCurrentLiabilities - 3537 14268 10730 - 290.52K - - - 164.03K
totalCurrentLiabilities 689.5K 793.15K 641.84K 672.46K 626.92K 576.38K 507.1K 426.88K 471.38K 367.22K
longTermDebt - - - - - - - - - -
capitalLeaseObligationsNonCurrent - - - - - - - - - -
deferredRevenueNonCurrent - - - - - - - - - -
deferredTaxLiabilitiesNonCurrent - - - - - - - - - -
otherNonCurrentLiabilities 58375 346.81K 303.19K - - - - - - -
totalNonCurrentLiabilities 58375 346.81K 303.19K - - - - - - -
otherLiabilities - - - - - - - - - -
capitalLeaseObligations - - - - - - - - - -
totalLiabilities 747.87K 1.14M 945.03K 672.46K 626.92K 576.38K 507.1K 426.88K 471.38K 367.22K
treasuryStock - - - - - - - - - -
preferredStock - - - - - - - - - -
commonStock 31.59M 31.54M 31.54M 30.76M 30.69M 30.69M 30.69M 30.69M 30.44M 30.44M
retainedEarnings -30.81M -31.05M -30.79M -30.61M -30.5M -30.44M -30.38M -30.32M -30.27M -30.19M
additionalPaidInCapital - - - - - - - - - -
date 2026-04-30 2026-01-31 2025-10-31 2025-07-31 2025-04-30 2025-01-31 2024-10-31 2024-07-31 2024-04-30 2024-01-31
netIncome 237.66K -258.23K -180.27K -112.23K -57241 -60013 -64940 -44559 -84901 -31252
depreciationAndAmortization - - - - - - - - - -
deferredIncomeTax - - - - - - - - - -
stockBasedCompensation - 157.1K - 46400 - 7100 - - - -
changeInWorkingCapital 32422 -5714 -9455 23528 32121 45023 52964 -21188 15900 -5731
accountsReceivables 3930 332 12182 -14438 -1707 383 4876 830 -2417 -3997.0
inventory - - - - - - - - - -
accountsPayables - -6046 11233 - 2512 12821 1798 -35775 -18079 -36341
otherWorkingCapital 28491 - -21637 37966 31316 31819 46290 13757 18318 -1734
otherNonCashItems -284.97K 46346 128.41K 3572 2589 4403 2698 2709 12136 1867.0
netCashProvidedByOperatingActivities -14889 -60499 -61315 -38728 -22531 -3487 -9278 -63038 -59281 -39113
investmentsInPropertyPlantAndEquipment -374.71K -345.77K -132.66K -64107 3894 -4.03 -85380 -148.16K -15419 -5913
acquisitionsNet - - - - - - - - - -
purchasesOfInvestments - - - - - - - - - -
salesMaturitiesOfInvestments - - - - - - - - - 33935
otherInvestingActivities - - 21599 - 3894 2489 13543 -148.16K 26808 33.94
netCashProvidedByInvestingActivities -374.71K -345.77K -111.06K -64107 3894 2485 -71837 -148.16K 11389 28022
netDebtIssuance - - - - 10000 - 40000 - 50000 20000
longTermNetDebtIssuance - - - - - - - - - 20000
shortTermNetDebtIssuance - - - - 10000 - 40000 - 50000 -
netStockIssuance 50000 - 991.83K 75000 - - -10323 270K - -
netCommonStockIssuance 50000 - 991.83K 75000 - - -10323 270K - -
commonStockIssuance 50000 - 991.83K 75000 - - -10323 270K - -
commonStockRepurchased - - - - - - - - - -
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid - - - - - - - - - -
commonDividendsPaid - - - - - - - - - -
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities - - -50000 50000 - - -10323 -8124 50000 -
netCashProvidedByFinancingActivities 50000 - 941.83K 125K 10000 - 29677 261.88K 50000 20000