Sprott Physical Platinum and Palladium Trust (SPPP)

USD 8.97

(-1.75%)

Annual Balance Sheets

(In USD)
Breakdown 2023 2022 2021 2020 2019 2018
Total Assets 116.5 Million 138.34 Million 132.48 Million 127.05 Million 118.05 Million 101.73 Million
Total Current Assets - 375 Thousand 892 Thousand 1.16 Million 269.32 Thousand 94.84 Thousand
Cash And Short Term Investments 116.5 Million 375 Thousand 892 Thousand 1.16 Million 269.32 Thousand 94.84 Thousand
Cash and Cash Equivalents 594 Thousand 375 Thousand 892 Thousand 1.16 Million 269.32 Thousand 94.84 Thousand
Short Term Investments 115.9 Million 137.97 Million 131.52 Million 125.82 Million 117.64 Million -
Net Receivables - - - - - -
Inventory - - - - - -
Other Current Assets -116.5 Million -138.34 Million -132.41 Million -126.98 Million -117.91 Million -
Total Non-Current Assets - 137.97 Million 131.52 Million 125.82 Million 117.64 Million 101.5 Million
Net PPE - - - - - -
Good Will And Intangible Assets - - - - - -
Good Will - - - - - -
Intangible Assets - - - - - -
Long-Term Investments 115.9 Million 137.97 Million 131.52 Million 125.82 Million 117.64 Million 101.5 Million
Tax Assets 116.5 Million 138.34 Million 132.48 Million 127.05 Million 118.05 Million -
Other Non Current Assets -232.41 Million -138.34 Million -132.48 Million -127.05 Million -118.05 Million -101.5 Million
Other Assets 116.5 Million - 66 Thousand 66 Thousand 139.16 Thousand 139.16 Thousand
Total Liabilities 212 Thousand 59 Thousand 267 Thousand 240 Thousand 346.17 Thousand 219.54 Thousand
Total Current Liabilities 212 Thousand 59 Thousand 267 Thousand 240 Thousand 346.17 Thousand 219.54 Thousand
Account Payables 212 Thousand 59 Thousand 267 Thousand 240 Thousand 346.17 Thousand 219.54 Thousand
Tax Payables - - - - - -
Short Term Debt - - - - - -
Deferred Revenue - - - - - -
Other Current Liabilities -212 Thousand -59 Thousand -267 Thousand -240 Thousand -346.17 Thousand -219.54 Thousand
Total Non Current Liabilities 212 Thousand 59 Thousand 638 Thousand 240 Thousand 346.17 Thousand 219.54 Thousand
Long-Term Debt - - - - - -
Deferred Revenue Non Current 212 Thousand 59 Thousand 638 Thousand 240 Thousand 346.17 Thousand -
Deferred Tax Liabilities Non Current - - - - - -
Other Non Current Liabilities - - - - - 219.54 Thousand
Other Liabilities -212 Thousand -59 Thousand -638 Thousand -240 Thousand -346.17 Thousand -219.54 Thousand
Total Equity -212 Thousand -59 Thousand -572 Thousand -174 Thousand -206.77 Thousand 101.51 Million
Stock Holders Equity 116.29 Million 138.28 Million 131.84 Million 126.81 Million 117.7 Million 101.51 Million
Common Stock 142.02 Million 127.83 Million 111.85 Million 74.85 Million 79.36 Million 98.48 Million
Retained Earnings -9.48 Million 26.56 Million 35.69 Million 67.34 Million 53.5 Million 18.17 Million
Accumulated other comprehensive income -16.24 Million -16.11 Million -15.7 Million -15.38 Million -15.16 Million -
Common Stock Equity 116.29 Million 138.28 Million 131.84 Million 126.81 Million 117.7 Million 101.51 Million
Capital Lease Obligation - - - - - -
Total Investments 115.9 Million 137.97 Million 131.52 Million 125.82 Million 117.64 Million 101.5 Million
Total Debt - - - - - -
Net Debt -594 Thousand -375 Thousand -892 Thousand -1.16 Million -269.32 Thousand -94.84 Thousand

Balance Sheet Charts