Orogen Royalties Inc.

TSXV:OGN.V

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

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

2023202220212020201920182017201620152014201320122011201020092008
Operating Activities:
Net Income 3.0440.84-2.831-45.597-3.233-1.983-2.547-1.839-2.091-1.823-1.348-1.582-1.722-0.266-0.127-0.031
Depreciation & Amortization 0.0910.130.1870.1680.1790.0520.0170.0160.0240.0240.040.0570.049000
Deferred Income Tax -1.227-0.1290.135-0.0490.07700.0570-0.00100-0.0010000
Stock Based Compensation 0.9140.493-1.2480.0440.1480.3850.28400.016000.02200.01300
Change In Working Capital -0.889-0.099-1.158-0.014-1.612-1.4592.987-0.1440.148-0.9071.388-0.3170.2670.0920.0110.036
Accounts Receivables -1.032-0.034-0.8560.041-0.077-0.19-0.0150.039-0.018-0.0510.695-0.4460.3480.03700
Inventory -00-0.0550.3490.09300000000000
Accounts Payables 0.2550.2450.055-0.39-0.0160.070.069-0.0790.0180000000
Other Working Capital -0.112-0.31-0.302-0.014-1.612-1.4593.002-0.1830.166-0.8560.6920.128-0.0820.05500
Other Non Cash Items 1.295-0.5481.38641.6580.019-0.01-0-0.0190.0080.0280.0550.0770.110.0210.0640
Operating Cash Flow 1.3560.687-3.529-3.789-4.423-3.0140.798-1.985-1.896-2.6790.135-1.745-1.297-0.141-0.0520.005
Investing Activities:
Investments In Property Plant And Equipment -1.855-0.016-0.034-0.078-0.066-0.111-0.026-0.027-0.017-0.024-0.007-0.036-0.116000
Acquisitions Net 00.0470.0521.085-0.843000.013000006.18200
Purchases Of Investments -2.191-0.474-2.088-1.113-0.12-7.022-0.0110-0.020000000
Sales Maturities Of Investments 0.2430.0942.0370.0290.963000.01200000000
Other Investing Activites 0.09102.088-1.0850.783-0.023-0.0110.025-0.02-0.01000000
Investing Cash Flow -3.803-0.3492.054-1.1620.718-7.155-0.036-0.002-0.037-0.034-0.007-0.036-0.1166.18200
Financing Activities:
Debt Repayment -0.059-0.10800000000000000
Common Stock Issued 5.3480.2510.7180.5890.1947.2734.3050.08-0.1351.601.330000
Common Stock Repurchased 0000000000000000
Dividends Paid 0000000000000000
Other Financing Activities -0.059004.38403.649-0.2440.081.973-0.062-0.001-0.017-0.00200.196-0.055
Financing Cash Flow 5.2890.2510.7184.9730.19410.9224.0610.081.9731.538-0.0011.313-0.00200.196-0.055
Other Information:
Effect Of Forex Changes On Cash -0.1140.1930.0140.048-0.030.052-0.0330.0090.002-0.0080.0120.010.019000
Net Change In Cash 2.7270.782-0.7420.07-3.5410.8044.789-1.8980.043-1.1830.139-0.458-1.3966.0410.144-0.05
Cash At End Of Period 6.3843.6572.8753.6173.5477.0886.2831.4943.3923.3494.5334.3944.8526.2480.2140.069