Freegold Ventures Limited

TSX:FVL.TO

1.06 (CAD) • At close September 18, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Operating Activities:
Net Income -0.003-0.803-2.207-1.304-0.347-0.761-0.339-0.935-0.692-6.681-1.699-5.968-5.073-1.788-5.365-4.245-4.427-1.521-1.178-1.375-0.908-0.501-2.683-1.673-1.381-0.52-0.839-0.584
Depreciation & Amortization 00.1040.0640.0560.0570.0080.010.0110.0110.0140.0170.0240.0140.2690.380.3890.1760.0110.0070.0070.0060.0060.0070.0080000
Deferred Income Tax 00-0.06800.0280-0.3180.0010.0895.599-1.9274.743-0.0760.2922.9850.002000-0.30400000000
Stock Based Compensation 0.00201.53700.0030.1380.0050.4860.0060.0640.0560.0122.2590.640.6661.216000000000000
Change In Working Capital -0-0.110.021-0.7850.2470.21-0.028-0.0110.1960.051-0.273-0.814-0.866-0.227-0.561-0.142-0.452-0.1291.305-0.0020.0170.0050.0580.035-0.069-0.1300
Accounts Receivables -000-00.0370.007-0.0580.002-0.0010.014-0.0020.041-0.045-0.0080.0270.003000000000000
Inventory 0-0-00000000000000000000000000
Accounts Payables 0-0.1020.0120.069-0.0190.069-0.037-0.0490.118-0.012-0.33-0.8990-0.194-0.964-0.23000000000000
Other Working Capital -0-0.0080.009-0.8540.2290.1340.0680.0350.0790.0490.0590.044-0.821-0.0260.3760.084-0.452-0.1291.30500.0170.0050.0580.0350000
Other Non Cash Items 00.0060.0060.0130.0110.0090.009-0.0060.0310.1820.2290.1761.5290.1690.5820.2872.8770.5410.2330.9280.1650.1942.521.3641.1050.0650.210.219
Operating Cash Flow -0.001-0.803-0.647-2.02-0.002-0.395-0.661-0.455-0.36-0.771-3.597-1.826-2.214-0.645-1.313-2.493-1.827-1.0970.367-0.746-0.721-0.295-0.098-0.266-0.345-0.585-0.629-0.365
Investing Activities:
Investments In Property Plant And Equipment -0.012-0.327-1.731-1.515-0.053-0.089-0.249-0.339-0.212-0.302-0.453-0.508-0.234-1.681-0.473-7.188-9.079-2.693-1.174-0.244-0.1930-0.225-0.01-0.207-0.39-0.489-0.876
Acquisitions Net 00000000000000000000-000-0.30500-00
Purchases Of Investments 00000000000000000-0.0070-0.034-0.043-0.02-0-0.391-0.138-0.26-0.140
Sales Maturities Of Investments 00000000000000.5260.0340.0570.3160.13600.040.0720.0640.1360.5810.0690.1950.070
Other Investing Activites 0-15.912-14.229-4.203-0.226-1.075-2.578-2.094-0.627-0.776-2.356-6.625-5.7380.0681.02700.0480.1710.155-0.708-0.216-0.329-0.011-0.486-0.069-1.235-1.398-1.824
Investing Cash Flow -0.012-16.238-15.96-5.718-0.279-1.163-2.827-2.433-0.84-1.078-2.809-7.132-5.971-1.0870.589-7.132-8.714-2.393-1.019-0.945-0.38-0.285-0.1-0.61-0.345-1.69-1.957-2.7
Financing Activities:
Debt Repayment -0-0.039-0.051-0.052-0.046000000-0.068-0.837-1.855-0.4040000000000000
Common Stock Issued 04.0530.63337.2711.4840.9192.3075.5371.4681.4220.567.91611.1278.2850.3970.22115.6562.480.2120.9483.9270.73200.6390.0692.731.5374.743
Common Stock Repurchased 000000000000000-0.006000000000000
Dividends Paid 0000000000000000000000000000
Other Financing Activities 0.0140.166-0.113-2.558-0.098-0.002-0.411-0.686-0.008-0.062-0.007-0.085-0.429-0.2051.0245.879-1.0990.824-0.006-0.046-0.217-0.1370.096-0.0120-0.4550.419-0.146
Financing Cash Flow 0.0144.180.4734.6611.340.9171.8964.8511.461.360.5537.7639.8616.2251.0166.09414.5573.3040.2060.9033.710.5960.0960.6270.0692.2751.9574.597
Other Information:
Effect Of Forex Changes On Cash -0-0.2770.3171.5620.009-0.0380.067-0.029-0.060.0322.111-0.5920-00-0-0-0-00-0-0-00-0.06900.07-0.073
Net Change In Cash 0.001-13.139-15.8228.4851.068-0.68-1.5251.9350.201-0.457-3.742-1.7881.6764.4930.292-3.534.016-0.186-0.446-0.7882.6090.015-0.102-0.249-0.69-0.065-0.5591.459
Cash At End Of Period 0.0020.69313.83329.6531.1680.10.782.3060.370.2020.7194.7756.3954.8070.2990.0064.3460.2810.4692.0532.6340.020.0050.1140.3450.9751.1181.751