Executive Summary
            
                Liberty Star Uranium & Metals Corp (LBSR) reported a QQ2 2026 quarter characterized by continued operating losses and no disclosed revenue, underscoring its ongoing status as an early-stage exploration company. Net income was -$218,712 with an EBITDA of -$197,854 and a gross loss of -$118,433, driven by modest cost of revenue and substantial operating expenses. Basic metrics reflect a highly precarious near-term liquidity position, with cash of $313k against material current liabilities, and a notable accumulated deficit on the balance sheet. While the company maintains a sizeable Hay Mountain land package and extensive permitting, the lack of production or clear revenue visibility keeps cash burn exposure elevated and financing risk high.
The QQ2 2026 period also shows a fragile balance sheet with limited current assets (~$357k) and substantial current liabilities (~$1.14M), implying a current ratio near 0.32 and a quick ratio well under 1.00. The net debt figure is reported as negative ($-296,774), suggesting a net cash position in the dataset, though there are inconsistencies in asset/liability reporting that warrant caution when interpreting leverage and liquidity. Management commentary (not provided in the transcript data) would be expected to emphasize exploration progress, permitting status, and potential strategic partnerships or financing events to fund ongoing activities. Given the pre-production nature of Liberty Starβs business model, investors should anchor expectations on resource delineation milestones, capital-raising plans, and any potential joint venture opportunities tied to Hay Mountain.
Overall, the QQ2 2026 results underscore a high-risk, high-uncertainty profile typical of frontier mineral exploration plays: substantial exploration upside if resource assets are advanced, but significant funding and execution risks until a well-defined reserve/resource and potential production pathway emerge.            
         
        
        
            Key Performance Indicators
            
                                    
                                    
                        
                        
                                                    
                                QoQ: 34.93% | YoY:-170.24%                            
                                             
                                    
                        
                        
                                                    
                                QoQ: 44.07% | YoY:-153.23%                            
                                             
                             
         
        
        
        
        
            Key Insights
            
                
                                    Revenue: Not disclosed / N/A.  
Gross Profit: -$118,433; YoY change: -7,224.24%; QoQ change: -12.19%.
Operating Income: -$197,854; YoY change: +61.88%; QoQ change: -3.56%.
Net Income: -$218,712; YoY change: -170.24%; QoQ change: +34.93%.
EPS: -$0.0033; YoY change: -153.23%; QoQ change: +44.07%.
EBITDA: -$197,854.
Cash & Equivalents: $313,543.
Total Assets: $364,942.
Total Liabilities: $32,400 (with related items showing broader current liability context).
Total Current Liabilities: $1,135,76...
                
             
         
    
    
    
        
        
            Financial Highlights
            
                Revenue: Not disclosed / N/A.  
Gross Profit: -$118,433; YoY change: -7,224.24%; QoQ change: -12.19%.
Operating Income: -$197,854; YoY change: +61.88%; QoQ change: -3.56%.
Net Income: -$218,712; YoY change: -170.24%; QoQ change: +34.93%.
EPS: -$0.0033; YoY change: -153.23%; QoQ change: +44.07%.
EBITDA: -$197,854.
Cash & Equivalents: $313,543.
Total Assets: $364,942.
Total Liabilities: $32,400 (with related items showing broader current liability context).
Total Current Liabilities: $1,135,762.
Long-Term Debt: $16,769.
Retained Earnings: -$59,916,140.
Stockholdersβ Equity: $332,542; OthertotalStockholdersEquity: $60,248,677.
Net Debt (as reported): -$296,774.
Weighted Average Shares Outstanding: 66,445,267.            
            
            Income Statement
            
                
                    
                    
                        | Metric | 
                        Value | 
                        YoY Change | 
                        QoQ Change | 
                    
                    
                    
                                                
                                | Gross Profit | 
                                -118.43K | 
                                -7 224.24% | 
                                -12.19% | 
                            
                                                    
                                | Operating Income | 
                                -197.85K | 
                                61.88% | 
                                -3.56% | 
                            
                                                    
                                | Net Income | 
                                -218.71K | 
                                -170.24% | 
                                34.93% | 
                            
                                                    
                                | EPS | 
                                0.00 | 
                                -153.23% | 
                                44.07% | 
                            
                                            
                
             
         
        
        
        
        
    
    
    
        
            Management Commentary
            
                Transcript data is not provided in the supplied dataset. Consequently, there are no management quotes or theme-based highlights to extract. If a verbatim earnings call transcript becomes available, a subsequent update should group quotes by themes (strategy, operations, market conditions) and attach contextual significance to each quote.            
            
            
         
        
        
            Forward Guidance
            
                There is no formal forward guidance in the provided data. As a typical exploration-stage micro-cap in Basic Materials, Liberty Starβs medium-term outlook hinges on: (1) success in advancing Hay Mountain exploration to delineate a resource, (2) ability to secure financing on favorable terms to fund ongoing exploration and potential development steps, and (3) strategic partnerships or joint ventures that could de-risk and monetize early discoveries. Management commentary in a subsequent filing or call would be required to assess achievability of any targets and key milestones (e.g., drill results, resource estimates, permitting progress). Investors should monitor financing activity, resource updates, and regulatory developments impacting exploration timelines.