Nighthawk Gold Corp.

TSX:NHK.TO

0.26 (CAD) • At close February 8, 2024
Overview | Financials

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

202220212020201920182017201620152014201320122011201020092008200720062005
Operating Activities:
Net Income -22.372-28.876-12.703-4.632-1.828-3.119-8.547-1.069-0.377-2.21-0.728-1.867-1.099-0.958-0.258-0.128-0.032-0.005
Depreciation & Amortization 0.00900-0.0390.09-0.177.38200.0030.2480.1970.0130.2910.2660000
Deferred Income Tax 000.0882.6532.3582.174-0.218-0.159-0.5820.4361.4-0.203-0.019-0.470-0.064-0.0090
Stock Based Compensation 1.9061.9730.4580.6720.8751.9120.4890.5210.1380.2930.0751.2660.0090.3410000
Change In Working Capital 1.878-0.8550.861-0.0580.1840.0021.089-1.0880.918-0.5090.731-0.8710.2860.009-0.022-0.0230.0560.005
Accounts Receivables 0.1630.004-0.107-0.022-0.0380.338-0.0220.047-0.1090.503-0.059-0.26-0.164-0.070000
Inventory 000000000000000000
Accounts Payables 000000000000000000
Other Working Capital 1.716-0.8590.968-0.0360.222-0.3361.111-1.1351.027-1.0120.79-0.6110.450.0790000
Other Non Cash Items -4.991-6.829-1.513-0.209-2.804-2.4310.0160.074-0.0550.071-2.56300.3150.5020.1350.070.0170
Operating Cash Flow -23.569-34.587-12.81-1.613-1.125-1.6310.211-1.7210.044-1.67-0.888-1.662-0.216-0.311-0.144-0.1440.0320
Investing Activities:
Investments In Property Plant And Equipment -0.111-0-0-0.108-0.06-0.096-2.756-4.319-0.002-0.085-7.372-5.032-4.899-1.198-0.028-0.138-0.1160
Acquisitions Net -0.094-0.244-0.415-0.108-0.06-0.096-0.137-0.268-0.261-0.29700000000
Purchases Of Investments 0000.21600000000-0.6-2.40000
Sales Maturities Of Investments 0000.11900000000320000
Other Investing Activites 00-0.415-15.111-13.427-10.652-2.756-4.33-2.018-1.222-7.064-1.024000-0.1500
Investing Cash Flow -0.205-0.244-0.415-14.992-13.548-10.843-2.893-4.598-2.28-1.604-14.436-6.056-2.499-1.598-0.028-0.288-0.1160
Financing Activities:
Debt Repayment 0-0.080000-0.91600-2.05200000000
Common Stock Issued 040.42911.66811.9052.48123.5025.77308012.21411.1263.13422.4470.4880.20
Common Stock Repurchased 0000000000-0.995-0.69-0.264-0.0850000
Dividends Paid 000000000000000000
Other Financing Activities 0.02940.4290.2030.4140.0440.7434.5230-0.6421.7477.1530.0640-0.002-0.019-0.091-0.0470
Financing Cash Flow 0.02940.34911.87112.3192.52524.2459.38107.358-0.30618.37210.52.871.9132.4280.3970.1530
Other Information:
Effect Of Forex Changes On Cash 000000000000000000
Net Change In Cash 4.8535.518-1.353-4.286-12.14711.7716.698-6.3195.123-3.583.0482.7820.1540.0042.256-0.0350.0680
Cash At End Of Period 18.68113.8288.319.66313.94926.0968.21.5027.8212.6986.2783.230.4480.2932.2890.0340.0690