Canagold Resources Ltd.

TSX:CCM.TO

0.335 (CAD) • At close September 13, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) CAD.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Operating Activities:
Net Income -3.05-2.705-1.832-1.708-1.043-1.125-1.961.965-0.932-1.831-1.377-1.206-1.209-0.59-1.579-6.9631.5150.4330.315-4.013-0.876-7.477-3.66-0.771-0.484-2.778-3.987-2.627
Depreciation & Amortization 0.0890.060.0550.0480.0480.0240.01400.0010.0010.0010.0020.0030.0010.0010.0020.0020.0030.0040.0050.0070.0090.0060.0080000
Deferred Income Tax -0.0340.68-0.206-0.009-0.003-0.054-0.0070-0.0670.2750.798-0.103-0.0010.0270.226-0.359-2.0390-0.143000000.207000
Stock Based Compensation 0.3910.1540.9740.170.120.1180.3660.3010.1610.2090.0720.1680.2410.130.1170.203000000000000
Change In Working Capital -0.659-0.480.452-0.048-0.1050.0930.111-1.0140.251-0.0040.3330.118-0.059-0.060.3470.231-0.01-0.057-0.0890.0050.293-0.013-0.2170.1150-0.2581.329-0.803
Accounts Receivables 0-0.001-0-000.0050.042-0.0910.0540.0220-00000000000000000
Inventory 0000000000000000000000000000
Accounts Payables 0000000000000000000000000000
Other Working Capital 0-0.4790.452-0.048-0.1050.0880.069-0.9230.197-0.02600-0.059000-0.010-0.0890.0050000.115001.3290
Other Non Cash Items 0.0380.961-0.3360.140.170.0230.383-3.3780.002-0.015-0.2950.010.035-0.3880.4496.2860.38-1.717-0.0013.2280.3297.1753.390.21902.0672.6581.605
Operating Cash Flow -1.733-1.33-0.893-1.407-0.813-0.921-1.093-2.126-0.584-1.365-0.468-1.011-0.99-0.88-0.439-0.6-1.304-1.338-0.725-0.775-0.247-0.307-0.481-0.429-0.276-0.969-2.728-1.824
Investing Activities:
Investments In Property Plant And Equipment -4.547-4.603-8.206-0.797-1.173-0.847-3.285-0.198-0.337-0.402-0.009-0.36-0.435-0.026-0.644-0.079-3.7-5.667-0.762-1.72-1.176-0.18800-0.069-0.517-5.596-5.618
Acquisitions Net 000000.006-0.12100.0080000000.2040.0500000.001000000
Purchases Of Investments 00000-0.289-0.175-0.08100000000-0.067-0.498-0.789-1.19-0.217-0.61000000
Sales Maturities Of Investments 1.7590.3250.6560.2960.5180.1540.1048.9310000.09200.3060.1160.2151.692.4522.0091.2450.5880.7330.04400000
Other Investing Activites 0.00200.00100.0360.0650.086-0.4090.069-0.26000.35-0.250.05-0.2950.0010.4510.001-00.001-0.0010.1160.140000.146
Investing Cash Flow -2.788-4.278-7.55-0.501-0.619-0.911-3.3918.243-0.26-0.662-0.009-0.268-0.0850.03-0.4780.045-2.026-3.2620.458-1.665-0.805-0.0640.160.14-0.069-0.517-5.596-5.472
Financing Activities:
Debt Repayment -0.063-1.982-0.038-0.035-0.0360000-0.1280-0.450000000000000000
Common Stock Issued 3.3038.2494.1656.141.00800.3311.4660.5232.780.2311.4960.5281.2870.8570.0771.3926.3780.0411.2532.7390.5160.2930.210.2761.2272.3780
Common Stock Repurchased 00000-0-0000000000000000000000
Dividends Paid 0000000000000000000000000000
Other Financing Activities 0.0031.940.2760.1380.001-0.02700.0020.0010.00300.358000.0600.30400000000006.786
Financing Cash Flow 3.248.2074.4036.2430.972-0.02700.0020.5232.65201.4040.5281.2870.9170.0771.6966.3780.0411.2532.7390.5160.2930.210.2761.2272.3786.786
Other Information:
Effect Of Forex Changes On Cash 0.267-0.783-0.069-0.1410.054-0.1160.5460000000000.001000.001000000.0652.6580
Net Change In Cash -1.0141.817-4.1094.194-0.406-1.975-3.7757.725-0.3210.625-0.120.125-0.5470.4370-0.478-1.6331.778-0.225-1.1871.6870.145-0.028-0.0790-0.194-3.288-0.511
Cash At End Of Period 2.8113.8252.0086.1171.9232.3294.3048.0790.3540.6750.050.170.0450.5920.1550.1550.6332.2670.4890.7151.9020.2150.070.0980.2070.1940.423.721