marketcaparena

NUCL

Eagle Nuclear Energy Corp.

Company overview

Market capitalization
$182.21M
Employees
—
Latest publication
2026-09-29
About Eagle Nuclear Energy Corp.

Eagle Nuclear Energy Corp. operates as a mining and exploration company focused on mineral exploration and development in North America. The company is a nuclear energy company that combines domestic uranium exploration with proprietary Small Modular Reactor (SMR) technology. It also develops modular nuclear reactors to provide power for industrial and grid applications. The company was founded in 2023 and is headquartered in Reno, Nevada.

Company website

Financial statements

Income Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-02-28 · USDQ4 20252025-11-30 · USDQ3 20252025-08-31 · USDQ2 20252025-05-31 · USDQ1 20252025-02-28 · USD
Total Revenue0USD0USD0USD0USD0USD
Selling General Administrative994,279USD1,775,359USD984,698USD792,287USD560,103USD
Total Operating Expenses1,459,583USD2,281,436USD1,275,969USD1,019,671USD666,254USD
Operating Income-1,459,583USD-2,281,436USD-1,275,969USD-1,019,671USD-666,254USD
Net Interest Income-2,520USD-1,261USD-1,337USD-1,275USD-311USD
Income Before Tax-1,471,882USD-2,286,200USD-1,282,331USD-1,025,106USD-666,995USD
Net Income-1,471,882USD-2,286,200USD-1,282,331USD-1,025,106USD-666,995USD
Net Income From Continuing Ops-1,471,882USD-2,286,200USD-1,282,331USD-1,025,106USD-666,995USD
Reconciled Depreciation2,424USD841USD674USD—0USD
Total Other Income Expense Net-9,779USD-3,503USD-5,025USD-4,160USD-430USD
Cost Of Revenue—102,733USD147,297USD56,678USD—
Gross Profit—-102,733USD-147,297USD-56,678USD—
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Income Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-11-30 · USDFY 20242024-11-30 · USD
Total Revenue0USD0USD
Cost Of Revenue314,013USD0USD
Gross Profit-314,013USD0USD
Research Development116,742USD0USD
Selling General Administrative4,112,447USD826,759USD
Unclassified Operating Expenses1,014,141USD—
Total Operating Expenses5,243,330USD950,242USD
Operating Income-5,243,330USD-950,242USD
Net Interest Income-4,184USD-389USD
Income Before Tax-5,260,632USD-1,020,057USD
Net Income-5,260,632USD-1,020,057USD
Net Income From Continuing Ops-5,260,632USD-1,020,057USD
Reconciled Depreciation1,515USD0USD
Total Other Income Expense Net-13,118USD-69,426USD
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Balance sheet Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-05-31 · USDQ1 20262026-02-28 · USDQ4 20252025-11-30 · USDQ3 20252025-08-31 · USDQ2 20252025-05-31 · USDQ4 20242024-11-30 · USD
Total Assets43,089,741USD45,565,756USD2,887,962USD4,642,343USD5,734,507USD1,144USD
Total Current Assets28,989,912USD31,502,013USD1,464,825USD3,789,808USD5,134,507USD1,144USD
Total Liabilities24,340,157USD—————
Total Current Liabilities1,825,222USD798,774USD843,519USD366,786USD474,626USD624,713USD
Other Current Liabilities120,130USD—————
Total Stockholder Equity-6,980,216USD39,961,662USD1,989,357USD4,275,557USD5,259,881USD-623,569USD
Total Equity Including Noncontrolling Interest18,749,584USD—————
Property Plant Equipment Net985,188USD13,775,609USD1,285,716USD785,779USD600,000USD0USD
Accounts Payable783,866USD564,481USD530,339USD177,398USD157,156USD106,245USD
Short Term Debt140,075USD—————
Common Stock2,958USD—————
Retained Earnings-33,595,669USD-7,785,119USD-6,280,689USD-3,994,489USD-2,712,158USD-1,020,057USD
Intangible Assets—75,668USD65,915USD66,756USD——
Total Liab—5,604,094USD898,605USD366,786USD474,626USD624,713USD
Capital Stock—25,537,162USD311,020USD311,020USD11,020USD9,600USD
Cash—31,292,822USD1,301,928USD3,430,017USD4,894,765USD717USD
Property Plant Equipment Gross—13,777,092USD1,285,716USD——0USD
Common Stock Shares Outstanding—29,579,313shares29,580,033shares29,580,033shares29,580,033shares29,580,033shares
Non Current Assets Total—14,063,743USD1,423,137USD852,535USD600,000USD0USD
Non Current Liabilities Total—4,805,320USD55,086USD0USD0USD0USD
Non Currrent Assets Other—140,960USD————
Net Working Capital—30,703,239USD621,306USD3,423,022USD4,659,881USD-623,569USD
Unclassified Non Current Liabilities—4,805,320USD————
Unclassified Equity—22,209,619USD7,959,026USD7,959,026USD7,961,019USD—
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Balance sheet Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-11-30 · USDFY 20242024-11-30 · USD
Total Assets2,887,962USD1,144USD
Intangible Assets65,915USD—
Total Liab898,605USD624,713USD
Total Stockholder Equity1,989,357USD-623,569USD
Capital Stock311,020USD9,600USD
Retained Earnings-6,280,689USD-1,020,057USD
Cash1,301,928USD717USD
Total Current Assets1,464,825USD1,144USD
Total Current Liabilities843,519USD624,713USD
Accounts Payable530,339USD106,245USD
Property Plant Equipment Net1,285,716USD0USD
Property Plant Equipment Gross1,285,716USD0USD
Common Stock Shares Outstanding29,580,033shares29,580,033shares
Non Current Assets Total1,423,137USD0USD
Non Current Liabilities Total55,086USD0USD
Net Working Capital621,306USD-623,569USD
Unclassified Equity7,959,026USD—
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Cash flow Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-02-28 · USDQ4 20252025-11-30 · USDQ3 20252025-08-31 · USDQ2 20252025-05-31 · USDQ1 20252025-02-28 · USD
Net Income-1,471,882USD-2,286,200USD-1,282,331USD-1,025,106USD-666,995USD
Depreciation2,424USD841USD——0USD
Other Non Cash Items24,638USD125,662USD-2,624USD2,624USD15,250USD
Change In Working Capital-134,262USD452,875USD-239,175USD-135,874USD-134,152USD
Total Cash From Operating Activities-1,569,303USD-1,703,319USD-1,513,841USD-1,158,356USD-785,897USD
Capital Expenditures-71,914USD-419,764USD-241,081USD-300,000USD-300,000USD
Free Cash Flow-1,641,217USD-2,123,083USD-1,754,922USD-1,458,356USD-1,085,897USD
Total Cash From Financing Activities31,639,457USD-170USD298,177USD5,014,744USD2,423,557USD
Issuance Of Capital Stock31,639,457USD-170USD298,177USD5,014,744USD2,423,557USD
Change In Cash30,131,854USD-2,128,089USD-1,464,748USD3,556,388USD1,337,660USD
Begin Period Cash Flow1,301,928USD3,430,017USD4,894,765USD1,338,377USD717USD
End Period Cash Flow31,433,782USD1,301,928USD3,430,017USD4,894,765USD1,338,377USD
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Cash flow Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-11-30 · USDFY 20242024-11-30 · USD
Net Income-5,260,632USD-1,020,057USD
Depreciation1,515USD0USD
Other Non Cash Items140,912USD167,750USD
Change In Working Capital-56,326USD619,357USD
Total Cash From Operating Activities-5,161,413USD-163,524USD
Capital Expenditures-1,260,845USD-70,000USD
Free Cash Flow-6,422,258USD-233,524USD
Total Cash From Financing Activities7,736,308USD233,667USD
Issuance Of Capital Stock7,736,308USD233,667USD
Change In Cash1,301,211USD717USD
Begin Period Cash Flow717USD0USD
End Period Cash Flow1,301,928USD717USD
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Operating metrics

No operating metrics are currently published for this company.

Revenue breakdown

No revenue breakdown is currently published for this company.

Periods follow company fiscal calendars. Quarterly, annual and year-to-date amounts are shown separately. Missing values are not zero. Data may be delayed, incomplete or corrected; follow the disclosure links to verify figures.