NioCorp Developments Ltd.

TSX:NB.TO

3.43 (CAD) • At close May 3, 2024
Overview | Financials

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

2022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Operating Activities:
Net Income -40.308-9.929-4.39-4.001-7.336-8.497-14.63-11.408-7.119-1.567-2.837-2.166-7.326-1.714-0.292-0.368-1.229-0.232-0.613-0.429-0.082-0.04-0.015-0.02-0.031
Depreciation & Amortization 0.0030.0030000.0060.0090.0090.0090.0060.0030.0040.0050.00300.0010.0010.0060.0160.06300000
Deferred Income Tax 6.0110.30002.0830.6243.02300.03400.130000-0.07700-0.03400000
Stock Based Compensation 1.7941.7450.7970.1530.60401.4711.0492.330.3820.2640.2050.8750.6360.0550000000000
Change In Working Capital 1.8760.042-1.0940.6191.199-1.1471.749-3.141-0.161-0.1490.2010.0730.006-0.001-0.0230.044-0.0040.0260.011-0.0520.038-0.002-0.0040.0170.014
Accounts Receivables 000000-000-00-0.0480000000000000
Inventory 0000000000000000000000000
Accounts Payables 0000000000000000000000000
Other Working Capital 1.8760.042-1.0940.6191.1990-0-0-0-000.1210000000000000
Other Non Cash Items 13.3291.689-0.0390.181.1780.1650.106-0.5062.058-0.231.9560.6014.4520-00.1350.98-0.0980.3870.2150.0110.019-0.0070.0010.007
Operating Cash Flow -17.295-6.15-4.726-3.049-4.355-6.095-10.671-10.974-2.883-1.524-0.413-1.154-1.988-1.075-0.26-0.189-0.329-0.298-0.2-0.238-0.032-0.022-0.026-0.001-0.01
Investing Activities:
Investments In Property Plant And Equipment -0.016-0.016-6.3050000-0.004-0.667-0.0960-0.001-0.049-0.55-0.002-0.092-0.28700-0.347-0.048-0-0.001-0-0
Acquisitions Net 0000000000000000-0.0850000000.0040.004
Purchases Of Investments 0000000000000000000000000
Sales Maturities Of Investments 0000000000000000000000.00100.0040.011
Other Investing Activites 0.0370-0.005000.0150.0090-12.861-1.271-0.014-1.686-2.906-0.194000.0090.13-0.07300.006-0.0070.001-0-0.005
Investing Cash Flow 0.021-0.016-6.3050.05-0.2840.0150.009-0.004-13.528-1.367-0.014-1.687-2.955-0.744-0.002-0.092-0.3630.13-0.073-0.347-0.042-0.00600.0080.01
Financing Activities:
Debt Repayment -3.645-0.318-1.906-2.534-0.001-0.005-0.001-1.10-0.141-0.01400000000000000
Common Stock Issued 2.4994.73710.6770.473.7941.5455.6739.99313.6965.050.3550.7657.3611.9870.54101.26600.3270.6180.1680.0250.02600
Common Stock Repurchased 00000000000-0.036-0.679-0.047-0.0420000000000
Dividends Paid 0000000000000000000000000
Other Financing Activities 15.783-0.1189.3032.5340.8664.1421.1235.5090.9950.7570.10700000-0.2560-0.018-0.0120.0040000
Financing Cash Flow 14.6374.30118.0743.0044.665.6876.79614.40214.695.6670.4480.7296.6811.9410.49901.00900.3080.6060.1730.0250.02600
Other Information:
Effect Of Forex Changes On Cash -0.302-0.172-0.033-0.005-0.021-0.037-0.0430.2350.063000-000000000-0000
Net Change In Cash -2.939-2.0377.01-0.050.284-0.43-3.9093.659-1.6582.7760.021-2.1121.7380.1220.237-0.280.318-0.1670.0360.0210.099-0.003-0.0010.0060
Cash At End Of Period 2.3415.287.3170.3070.3570.0730.5034.4120.7572.8090.0340.0132.2320.4540.3010.0730.3380.0190.170.1230.1010.0020.0050.006-0