Roxmore Resources Inc., a company listed on the Canadian National Stock Exchange, has recently garnered attention due to its strategic move to commence trading on the OTCQX Best Market in the United States. This development, announced on December 19, 2025, marks a significant milestone for the company, potentially broadening its investor base and enhancing its visibility in the international market.

As of January 6, 2026, Roxmore Resources Inc. traded at CAD 2.47. This price reflects a notable recovery from its 52-week low of CAD 0.90, recorded on July 10, 2025. The company’s stock reached a peak of CAD 2.70 on February 9, 2025, indicating a period of volatility within the year. Despite these fluctuations, the company’s market capitalization stands at CAD 132,204,600, underscoring its substantial presence in the market.

A critical aspect of Roxmore Resources Inc.’s financial profile is its price-to-earnings (P/E) ratio, which is currently at -2.596. This negative P/E ratio highlights the company’s negative earnings, a factor that investors must consider when evaluating its financial health and future prospects. Additionally, the price-to-book (P/B) multiple of 4.136 suggests that the company is valued at approximately four times its book value, indicating a premium valuation that may reflect investor confidence in its long-term potential.

The recent listing on the OTCQX Best Market is a strategic initiative that could provide Roxmore Resources Inc. with enhanced liquidity and access to a broader range of institutional investors. This move is likely to be viewed positively by market analysts, as it aligns with the company’s growth objectives and its efforts to expand its footprint beyond Canadian borders.

In summary, Roxmore Resources Inc. is navigating a period of strategic transition, marked by its entry into the U.S. market through the OTCQX Best Market. While the company faces challenges, including negative earnings, its market valuation and recent developments suggest a forward-looking approach aimed at capitalizing on new opportunities. Investors and stakeholders will be closely monitoring the company’s performance and strategic initiatives in the coming months.