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Canstar Resources Inc. CSRNF OTC

Other OTC • Basic Materials • Industrial Materials • CA • USD

SharesGrow Score
33/100
1/4 Pass
SharesGrow Intrinsic Value
N/A
Negative cash flow

Canstar Resources Inc. (CSRNF) reported total assets of $583.5K and total liabilities of $835.88K for fiscal year 2025, resulting in total equity of $-252.37K.

The company held $420.34K in cash and short-term investments. Total debt stood at $428.31K, with net debt of $233.68K. The Debt-to-Equity (D/E) ratio was -1.7 (conservative).

Current ratio is 1.4, suggesting adequate short-term liquidity. Interest coverage is -159.8x (weak).

Criteria supported by this page:

  • HEALTH (25/100, Fail) — the balance sheet shows elevated risk in debt or liquidity metrics
  • MOAT (28/100) — Total assets $583.5K and equity $-252.37K support the company's competitive scale

Overall SharesGrow Score: 30/100 with 1/7 criteria passed.

SharesGrow 7-Criteria Score
33/100
SG Score
View full scorecard →
VALUE
N/A
No coverage
FUTURE
N/A
No coverage
PAST
0/100
→ Income
HEALTH
25/100
Debt-to-Equity & liquidity
Proven by this page
MOAT
28/100
→ Income
GROWTH
80/100
→ Income
INCOME
N/A
No coverage
Canstar Resources Inc. Balance Sheet History
Metric FY2025 FY2024 FY2023 FY2022
Total Assets $583.5K$589.37K$1.05M$13.25M
Total Liabilities $835.88K$117.61K$281.44K$205.03K
Total Debt $428.31K$0.00$0.00$0.00
Cash & Investments $420.34K$494.38K$883.24K$4.99M
Total Stockholders Equity $-252.37K$471.76K$771.12K$13.04M
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