E3 Lithium Limited

TSXV:ETL.V

1.56 (CAD) • At close March 19, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Operating Activities:
Net Income -9.044-6.944-4.78-2.095-2.372-1.379-1.198-0.075-0.149-0.2-0.496-2.379-0.903-0.216-0.178-0.4-0.63-0.214-0.418-1.071-1.515-1.487-2.354-1.876-0.278-0.035
Depreciation & Amortization 0.1790.1750.1280.0490.0340.0120.00700.0010.0010.0010.0010000000.050.1630.1660.1360.1770.1640.0140
Deferred Income Tax 00000-0.008-0.0250000000000000000000
Stock Based Compensation 2.5271.9851.7610.3750.3210.1810.5250000-0.0250.379000.1960000000000
Change In Working Capital 0.433-0.9510.0290.0760.084-0.028-0.2370.0860.1270.1110.018-1.194-0.0740.0420.025-0.013-0.09-0.0380.2890.022-0.247-0.074-0.0350.1570.050.005
Accounts Receivables 00-0.024-0.011-0.0180.013-0.021-0.005-0.00500000000000000000
Inventory 0000.0110.018000000000000000000000
Accounts Payables 000-0.110.332-0.0630.0150.0210.0480.0470.011-0.00400000000000000
Other Working Capital 0.43300.0530.186-0.2480.035-0.2520.0650.080.0650.007-1.1900000000000000
Other Non Cash Items 0.0470.2490.0170.0020.001-0.071-0.031-0.0480.00700.2922.100000.33100.1230.3830.0060.0200.0490.0350
Operating Cash Flow -5.858-5.486-2.845-1.594-1.933-1.294-0.959-0.036-0.021-0.088-0.185-1.497-0.598-0.174-0.153-0.217-0.388-0.2520.043-0.503-1.591-1.404-2.186-1.506-0.179-0.03
Investing Activities:
Investments In Property Plant And Equipment -13.103-3.985-2.738-0.808-0.448-0.469-0.5720000-0.002-0.054000-0.00100000-0.003-0.003-0.0020
Acquisitions Net 000.22200000000000000000000000
Purchases Of Investments 00000000000000-0.150-0.2000000000
Sales Maturities Of Investments 0000000000000000.1750000000000
Other Investing Activites -0.705-8.722-0.847-0.13500.00400000-0.84700.1750000000000-0.1880
Investing Cash Flow -13.808-12.707-3.363-0.808-0.448-0.465-0.5720000-0.848-0.0540.175-0.150.175-0.20100000-0.003-0.003-0.1890
Financing Activities:
Debt Repayment -0.103-0.091-0.2450.15-0.0350.00400.0290000000000.150.0580.11000000
Common Stock Issued 26.57207.196.9072.2541.3771.859000003.33500.29800.960000.3673.0240.720.9132.0750.389
Common Stock Repurchased 0-0.03000000000000000000000000
Dividends Paid 00000000000000000000000000
Other Financing Activities 9.96613.69210.3860.841.0370.1170.28100.0240.0100.65-0.65000-0.318000000000
Financing Cash Flow 36.43513.60117.3317.8973.2561.4992.1390.0290.0240.0100.652.68500.29800.6420.150.0580.110.3673.0240.720.9132.0750.389
Other Information:
Effect Of Forex Changes On Cash 00000-000.005-0.0010.0090.005-0.09700000000000000
Net Change In Cash 16.769-4.59211.1235.4950.875-0.2610.608-0.0030.002-0.069-0.18-1.7922.0340.001-0.005-0.0420.052-0.1020.101-0.393-1.2241.619-1.469-0.5961.7060.359
Cash At End Of Period 30.01813.24917.8416.7181.2230.3480.60800.0030.0010.0710.252.0420.0080.0070.0120.0540.0020.1040.0020.3951.61901.4692.0650.359