Nevada King Gold Corp.

TSXV:NKG.V

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Operating Activities:
Net Income -27.014-53.59-9.815-1.956-2.549-9.487-0.095-0.149-0.187-0.15-0.145-0.259-0.092-3.225-0.9330.6290.6440.6381.4361.3791.3780.4790.164
Depreciation & Amortization 0.2530.2240.02200000000001.33002.6692.1021.2231.3410.9760.4830.308
Deferred Income Tax 0000000000000-3.219-0.1860.032-0.614-0.1720.7390.6040.67800
Stock Based Compensation 0.283.90500.3310.3312.102000.039000.07600000000000
Change In Working Capital -0.481.608-0.2220.0320.055-0.1070.006-00.002-0.002-0.0370.013-0.3910.608-0.76-0.0910.184-0.4180.005-0.3670.468-0.001-0.028
Accounts Receivables 0.009-0.0280.064-0.0580.007-0.01900.0010.00100000000000000
Inventory 00000000000000000000000
Accounts Payables 00000000000000000000000
Other Working Capital -0.4891.636-0.2850.0910.049-0.0890.006-0.0010.00100000000.184-0.4180.005-0.3670.468-0.001-0.028
Other Non Cash Items 0.76630.6527.16-0.313-0.0116.9280-0.0010.039000.0760.0112.9652.6172.7320.0480.2480.0180.019-0.7860.0030
Operating Cash Flow -26.971-17.201-2.856-1.906-2.174-0.564-0.089-0.149-0.145-0.153-0.182-0.169-0.473-1.5410.7383.3012.9322.3983.4212.9752.7150.9640.444
Investing Activities:
Investments In Property Plant And Equipment -1.189-0.4-0.165-0.587-5.078-0.3930000000-0.188-1.434-2.345-1.937-3.317-2.551-4.384-7.828-1.152-2.295
Acquisitions Net 00.4240.424-2.0570.140.3950000000000-3.443000000
Purchases Of Investments -0.1250-0.355-0.355-0.071-300000000000000000
Sales Maturities Of Investments 000.355330.39300000000000000000
Other Investing Activites -1.189-3.71911.559-18.9860.071-0.393000000.034-2.4619.026-0.584-2.296-0.4230.387-1.0690.3342.187-0.0010
Investing Cash Flow -1.314-3.69511.818-18.986-1.939-2.999000000.034-2.4618.839-0.584-2.296-5.803-2.93-3.62-4.05-5.641-1.153-2.295
Financing Activities:
Debt Repayment 0000000000000-3.525-0.125-1.0120000000
Common Stock Issued 25.80215.753.620.2444.1185.950.60.50000.600000.0640.0760.0040.0353.0270.050
Common Stock Repurchased 00000000000000-0.0400000001.146
Dividends Paid 000000000000-2.607-8.34000000000
Other Financing Activities -0.527-0.075-0.397-0.0280-0.7290-0.01000-0.01900.103002.8360.4510.21.025-0.0860.1390.075
Financing Cash Flow 25.80215.6753.20320.2164.1185.2210.60.49000.1190.581-2.607-11.762-0.165-1.0122.8990.5270.2041.0592.9420.1881.221
Other Information:
Effect Of Forex Changes On Cash 000003.56300000000000000000
Net Change In Cash -2.483-5.22212.165-0.6760.0065.2210.5110.341-0.145-0.153-0.0630.446-5.545.535-0.011-0.0060.029-0.0060.006-0.0150.0150-0.631
Cash At End Of Period 5.4487.93113.1530.9881.6641.6590.9440.4330.0920.2380.390.4530.0075.5470.0120.0220.02900.00600.01500