Direction is stated for existing shareholders (▼ more shares / survival or listing risk; ▲ insiders or holders buying). It is a characterization of the filings, not a forecast or a recommendation.
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$164Kcash + short-term investments as of Apr 30, 2026
2.4 moestimated runway (latest fiscal-year operating cash flow (quarter too short to annualize) [companyfacts])
$-6.7Mstockholders' equity as of Apr 30, 2026
$13.3Mpublic float (10-K cover)
14.1Mshares outstanding as of May 29, 2026 · was 13.9M Mar 17, 2026
Runway = liquidity ÷ monthly operating burn at the latest reported period · balance sheet 145 days old. A financing after the balance-sheet date is the main reason a figure can be stale — check the timeline below for offerings since then.
Signal timeline
Last 30 days of filing signals plus current balance-sheet flags, newest first. ▼ pressure · ▲ support · hover a score for its components; every row links to the filing.
Date
Signal
Evidence
Score
Aug 31, 2026
▼Going-concern language
“going concern periodic” language in 10-Q (10-Q) filed 2026-08-31 filing
32
Apr 30, 2026
▼Runway < 6 months
~2.4 months runway: liquidity $164,216 as of 2026-04-30, burn $818,603/yr (latest fiscal-year operating cash flow (quarter too short to annualize) [companyfacts]) filing
34
Apr 30, 2026
▼Negative equity
Stockholders' equity $-6,718,355 as of 2026-04-30 filing
31
Apr 30, 2026
▼Cash < current liabilities
Liquidity $164,216 vs current liabilities $5,215,450 filing
22
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