Fury Gold Mines Limited

AMEX:FURY

0.3324 (USD) • At close November 17, 2023
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operating Activities:
Net Income -17.21324.908-16.79-10.763-13.933-17.674-0.33-4.255-0.003-1.923-2.08-0.42-0.888-0.175-0.074-0.0720
Depreciation & Amortization 0.4910.3410.3710.2520.2520.2620.2920.0250-0.188000.0010000
Deferred Income Tax 001.222-3.415-0.0540.24900-0.001-0.0780000000
Stock Based Compensation 1.3511.6692.0462.533.41.0591.0712.1310.0010.2660.5030000.0120.0080
Change In Working Capital -0.184-0.9030.266-0.8960.2850.678-1.091-0.5980-0.79-0.0610.1150.003-0.0220.008-0.0040.012
Accounts Receivables -0.005-0.0470.505-0.5820.0030.587-0.330.11-0-0.172-0.0390.005-000-0.0070
Inventory 00000000000000000
Accounts Payables 0000000000000.0040000
Other Working Capital -0.179-0.856-0.239-0.3140.2820.091-0.761-0.7070.001-0.618-0.0220.11-0.001000.0030
Other Non Cash Items 5.423-40.027-4.388-0.239-0.547-2.418-5.971-2.345-0.001-0.027-0.0220.020.6910.00100.0010
Operating Cash Flow -12.47-14.012-17.273-12.531-10.597-17.844-6.321-5.067-0.003-2.74-1.66-0.285-0.194-0.197-0.054-0.0670.012
Investing Activities:
Investments In Property Plant And Equipment 0-1.281-0.087-12.781-0.96-1.495-36.463-15.681-0.007-1.93500-0.26-0.293000
Acquisitions Net 1.356.773-1.32-1.403000-0.478-0-0.1750000000
Purchases Of Investments 0-0.060.036-0.050-0.053000-0.50000000
Sales Maturities Of Investments 0.3816.77410.050000000000000
Other Investing Activites 0.125-1.7710.185-2.5420.0430.0570.241-0.083-00.0340.0150.0250.0010000
Investing Cash Flow 1.85610.435-0.186-16.726-0.917-1.438-36.222-16.242-0.008-2.5760.0150.025-0.26-0.293000
Financing Activities:
Debt Repayment -0.214-0.235-0.18-0.025-2.979000000000000
Common Stock Issued 7.83810.8645.38536.2357.54818.43942.56813.65107.1912.734001.9930.3940.1230.1
Common Stock Repurchased 00000000000000000
Dividends Paid 00000000000000000
Other Financing Activities 0.0080.0110.1527.7480.01118.43942.5686.5140.00600.00300000-0.012
Financing Cash Flow 7.62410.6295.35743.9580.01118.43942.56820.1640.0067.1912.734001.9930.3940.1230.088
Other Information:
Effect Of Forex Changes On Cash -0.006-0.00200-0.0060.022-0.008-0-0-0.010-0.0010.002-0.001000
Net Change In Cash -2.9967.05-12.10214.701-0.993-0.8210.017-1.1450.0021.8641.09-0.261-0.4521.5030.340.0560.1
Cash At End Of Period 7.31310.3093.25915.3610.661.6532.4742.4570.0044.2412.3771.2871.54820.4970.1560.1