U.S. Gold Corp.

NASDAQ:USAU

6.25 (USD) • At close November 4, 2024
Overview | Financials

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992
Operating Activities:
Net Income -6.897-7.614-13.931-12.387-5.249-8.047-13.658-1.915-1.221-3.829-2.609-4.625-3.259-4.634-10.743-3.1351.6080.772.7726.7152.271-15.604-8.1018.5957.8465.63.73.81.5-1.3-0.933
Depreciation & Amortization 0.0880.0890.0750.0230.0110.0075.7520.0870.1310.1270.30.4430.661.0391.1930.4560.3120.3830.7871.1131.8473.92510.451.7851.3071.10.80.60.70.90.80.70.5
Deferred Income Tax 0-2.32400.05600.435-0.4380.0110.1440.05001.5824.5813.582-2.040.6910.2691.347-3.1650.007-1.2940.1250.033-0.138000.10.7-0.5-0.100.1
Stock Based Compensation 0.5941.5711.673.6021.2662.2751.3180.4760.7460.0140.0430.2310.4510.610.9180.65400000000000000000
Change In Working Capital -0.798-0.8060.270.057-0.096-0.392-0.2461.195-0.2170.3780.665-0.4262.6070.608-3.8090.7170.909-0.0732.494-1.0050.213.7042.813.1960.278-2.30.8-0.24.4-0.2-1.4-4.7-3.2
Accounts Receivables 0000-0.219000.919-0.7410.733-0.443-0.3372.0110.72-1.9940.9400000000000000000
Inventory 00000.219000.3910.7530.2020.6120.0292.531.41-4.672-0.2230.1440.0670.180.1680.3182.580.491.858-1.361-0.41.5-2.15.71.9-4.9-2.2-1.2
Accounts Payables 000.4660.353-0.096-0.0920.2220.266-0.071-0.5580.491-0.069-1.928-0.5782.137-0.59400000000000000000
Other Working Capital -0.302-0.806-0.196-0.295-0-0.3-0.468-0.381-0.1580.0010.005-0.049-0.006-0.9440.720.5940.765-0.142.314-1.173-0.1081.1242.321.3381.639-1.9-0.71.9-1.3-2.13.5-2.5-2
Other Non Cash Items 0.2580.393-0.660.0580.1710.0520.287-0.072-0.0720.6790.0470.495-3.259-4.6340.022-0.240.1980.3560.1170.02012.69-0.0650.1630.0580.10.40.30.5-0.10.20.40.2
Operating Cash Flow -7.076-8.691-12.575-8.591-3.898-5.669-6.986-0.218-0.489-2.581-1.554-3.882-1.218-2.43-8.837-3.5883.7181.7055.5343.7164.3353.4215.21913.7729.3514.45.74.67.81.1-1.3-0.60.6
Investing Activities:
Investments In Property Plant And Equipment 0-0.178-0.179-0.04300-0.02-0.289-0.021-0.3940-0.006-1.139-1.958-0.573-0.617-0.235-0.32-0.48-0.316-0.16-0.673-0.358-2.184-2.823-1.2-2-0.7-0.3-0.6-0.9-1-1
Acquisitions Net 02.7500.003000.3260000-0.068-0.211-0.488-1.736-0.9120000000-27.326000000000
Purchases Of Investments 000000000000000000000000000000000
Sales Maturities Of Investments 000000000000000000000000000000000
Other Investing Activites 02.7502.4980.15900-0.250-0.0020.5-0.2754.0780.0470.0101.55801.2530.0130.019000000000000
Investing Cash Flow 02.572-0.1792.4570.15900.306-0.539-0.021-0.3940.5-0.3492.728-2.399-2.299-1.5291.323-0.320.773-0.303-0.141-0.673-0.358-29.51-2.823-1.2-2-0.7-0.3-0.6-0.9-1-1
Financing Activities:
Debt Repayment 0000000-0.436-0.361-0.9030-0.333-1.53300000000000000000000
Common Stock Issued 4.8284.837.228.9991.890.227.50610.8660.50.3651.56102.9980.0130.11800.4960.6510.4590.5670.1120.420.523.4982.23400.30.10.20.3000.9
Common Stock Repurchased 00000000000-0.142-0.04500000-0.23-1.5050-0.524-0.65-1.174-3.205-2.6-3.3-5.70-0.500-0.5
Dividends Paid 0000000000000000-2.114-2.055-1.77300000000000000
Other Financing Activities 0.0050.00518.032.40100.0080.7530.13.582-0.5731.75502.654100.0810.113000-3.8-11.311100000000.100
Financing Cash Flow 4.8284.838.2217.0294.2910.220.0080.3170.2393.0440.9881.281.422.6671.1180-1.537-1.291-1.544-0.9380.112-3.904-11.44112.324-0.971-2.6-3-5.60.2-0.20.100.4
Other Information:
Effect Of Forex Changes On Cash 01.47700000000000000000000000-3.2-3.7-3.9-7.5-0.5000
Net Change In Cash -2.249-1.289-4.53410.8950.553-5.4490.8260.099-0.2710.069-0.066-2.9512.93-2.162-10.018-5.1173.5040.0944.7632.4754.306-1.156-6.58-3.4145.557-2.6-3-5.60.2-0.2-2.1-1.60
Cash At End Of Period 5.5747.8239.11213.6452.752.1977.6460.1550.0560.3270.2580.3243.2750.3452.50712.52517.64214.13814.0449.2816.8062.53.65610.23613.654.93.82.90.90.20.62.74.3