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LIVE · 09:44 UTC

Pulsar Helium Inc

PLSR · Oil, Gas & Consumable Fuels · Canada

Profile
TickerPLSR
RICPLSR.V
ISINCA7459321039
IssuerPulsar Helium Inc
SectorEnergy
IndustryOil, Gas & Consumable Fuels
Sub-industryCommodity Chemicals
HeadquartersWhite Rock, Canada
Country of issuerCanada
Founded2022-06-30
Employees
Total share float146,017,251
Holders (C/S)
AuditorDavidson & Company LLP
CEO / managementMr. Neil Herbert
Business Description

Pulsar Helium Inc. is a Canada-based helium exploration and development company. The Company’s portfolio consists of its flagship Topaz helium project in Minnesota, United States, and the Tunu helium project in Greenland. The Topaz is located in the state of Minnesota, 100 kilometers (km) north of the regional center of Duluth. The Company’s primary focus is the exploration and development of the Topaz Project, located in northern Minnesota, USA, close to the Canadian border. The Company’s assets within the Topaz Project comprise leases of private mineral rights over a total of 5,979 gross acres in Minnesota. The Tunu Project comprises an exclusive Special Mineral Exploration Licenses 2021-45 (MEL-S 2021/45) and a Non-Exclusive Mineral Prospecting Licenses. It is over five kilometers from Ittoqqortoormiit and 40 kilometers from the Nerlerit Inaat International Airport (CNP).

ESG · Risk Indicators
Controversies score
Governance pillar
Social pillar
Insider trading score
Industry Substrate · Chemicals
Signals to watch
  • Feedstock spread (price - input cost) (leading)
  • Plant utilization rate (coincident)
  • End-market demand (auto, construction, agri) (leading)
  • Inventory destocking/restocking cycles (coincident)
  • Specialty volume growth (trend)
Geopolitical drivers
  • Energy/feedstock cost (Russia gas, Middle East oil) · exposure: high
  • Trade tariffs on chemical exports/imports · exposure: medium-high
  • Environmental regulation (EU REACH, US EPA) · exposure: high
  • Agricultural policy (subsidies, fertilizer demand) · exposure: medium for agri-chem
Industry KPIs
  • EBITDA margin % — 5-15% commodity; 15-25% specialty
  • Capex/sales % — watch trough vs peak
  • Plant utilization % — 82-92% healthy; <80% pressure
  • ROIC — 10%+ specialty; 6-10% commodity through cycle
  • Net debt / EBITDA — below 3.0x healthy; cyclical buffer
Full Analysis Pending

Detailed financial analysis, valuation snapshot, multi-period history, and AI narrative are pending — generated when this company is included in the next analysis batch. Profile data above is point-in-time as of 2026-04-30.