Xtra-Gold Resources Corp.

TSX:XTG.TO

1.45 (CAD) • At close September 18, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Operating Activities:
Net Income 0.0150.7650.9582.0022.3881.5390.454-0.468-0.392-0.687-0.751-7.632-5.795-2.977-1.038-3.231-1.875-2.563-0.273
Depreciation & Amortization 0.1660.1880.1740.1550.1420.1380.1250.1390.1460.1880.2450.3050.2840.1150.0680.0640.0470.0250.006
Deferred Income Tax -00-0.544-1.78-1.5130.156-0.0220.1060.0770.060.1192.271-0.2921.5780.728-0.527000
Stock Based Compensation 0.0240.2370.0030.1960.0110.0330.1030.1050.1240.1080.0581.0420.3610.4120.4680.156000
Change In Working Capital 0.0930.4620.56-0.252-0.550.0340.208-0.3220.026-0.002-0.241-0.120.0090.205-0.256-0.2980.596-0.1190.214
Accounts Receivables 0-0-00.077-0.105-0.0370.155-0.159-0.0260.168-0.14800000000
Inventory -0.0220.179-0.133-0.449-0.2420.0040.085-0.1870.036-0.09000000000
Accounts Payables 0.156000.139-0.1730.0830000000000000
Other Working Capital -00.2830.693-0.019-0.029-0.0170.122-0.136-0.010.088000000000
Other Non Cash Items 0.002-0.124-0.4840.1841.119-0.243-0.011-0.1820.0490.015-0.3230.221-1.9980.093-1.0311.4410.6810.111-1.747
Operating Cash Flow 1.8141.5280.6660.5051.5981.6580.857-0.6220.031-0.318-0.893-3.914-7.43-0.574-1.06-2.396-0.551-2.547-1.8
Investing Activities:
Investments In Property Plant And Equipment -0.038-0.26-0.203-0.32-0.047-0.118-0.29900000-0.947-0.454-0.152-0.156-0.208-0.312-0.008
Acquisitions Net 0000000000000000000
Purchases Of Investments -2.037-2.149-2.5370000000000000000
Sales Maturities Of Investments 1.8052.1942.0530000000000000000
Other Investing Activites -00-0000-0.025000-00.1350.787-0.1650000.310
Investing Cash Flow -0.269-0.26-0.203-0.32-0.047-0.118-0.324000-00.135-0.16-0.619-0.152-0.156-0.208-0.002-0.008
Financing Activities:
Debt Repayment 0000000000000000000
Common Stock Issued 00000000.6940001.6441.9920000.8132.3770.9
Common Stock Repurchased -0.171-0.163-0.334-0.122-0.134-0.291-0.1-0.07-0.019-0.137-0.111-0.0550-0.108-0.0500-0.0070
Dividends Paid 0000000000000000000
Other Financing Activities 0-00.0950.406-000.0190.7420000.002010.7751.6132.489001.135
Financing Cash Flow -0.171-0.163-0.2390.284-0.134-0.291-0.0820.673-0.019-0.137-0.1111.5891.99210.6671.5632.4890.8132.372.035
Other Information:
Effect Of Forex Changes On Cash -0000000000000000000
Net Change In Cash 1.3731.1060.2240.471.4171.2490.4510.0510.012-0.455-1.004-2.19-5.5979.4730.351-0.0630.054-0.1780.227
Cash At End Of Period 7.4516.0774.9724.7484.2782.861.3650.9140.8630.8511.3052.3094.49910.0960.6230.2720.3340.280.458