Western Uranium & Vanadium Corp (WUR), a company operating within the energy sector, is headquartered in Toronto, Canada. The firm specializes in the acquisition and development of uranium resource properties, focusing its efforts in the states of Utah and Colorado in the United States. As a participant in the Oil, Gas & Consumable Fuels industry, WUR is listed on the Canadian National Stock Exchange and trades in Canadian dollars (CAD).

As of January 1, 2026, WUR’s closing stock price was recorded at CAD 0.51. Over the past year, the company’s stock has experienced fluctuations, with a 52-week high of CAD 1.44 on March 20, 2025, and a 52-week low of CAD 0.445 on December 17, 2025. These figures illustrate a modest trading range, reflecting the company’s current market dynamics.

The market capitalization of Western Uranium & Vanadium Corp stands at CAD 33,410,000. The company’s financial metrics reveal a price-to-earnings (P/E) ratio of -2.39, indicating that the company has reported earnings below zero. This negative P/E ratio is a common occurrence for companies in the resource sector that may not yet be generating profits. Additionally, the price-to-book (P/B) ratio is 0.793, suggesting that the market values the company at less than its book value. This valuation metric further underscores the company’s current market position, where investor sentiment may be cautious due to the company’s developmental stage and financial performance.

Western Uranium & Vanadium Corp has not issued any updates since its last announcement on December 17, 2025, when it disclosed a normal course issuer bid. This bid allows the company to buy back shares from the market, potentially influencing its stock price and shareholder value. The absence of recent updates may reflect the company’s focus on its core activities related to uranium resource development, rather than frequent market communications.

In summary, Western Uranium & Vanadium Corp is a company engaged in the exploration and development of uranium resources, with a market presence characterized by modest trading activity and valuation metrics that reflect its current financial and operational status. The company’s strategic focus on resource properties in the United States positions it within a niche segment of the energy sector, with potential for future developments contingent on its exploration and development outcomes.