Galiano Gold Inc. (GAU)

USD 1.2

(-5.51%)

Annual Balance Sheets

(In USD)
Breakdown 2023 2022 2021 2020 2019 2018
Total Assets 212.21 Million 179.89 Million 136.19 Million 203.59 Million 144.5 Million 312.61 Million
Total Current Assets 56.8 Million 58.6 Million 61.66 Million 65.54 Million 35.8 Million 13.1 Million
Cash And Short Term Investments 54.98 Million 56.11 Million 53.52 Million 62.15 Million 31.1 Million 10.35 Million
Cash and Cash Equivalents 54.98 Million 56.11 Million 53.52 Million 62.15 Million 31.1 Million 10.35 Million
Short Term Investments - - - - - -
Net Receivables 1.05 Million 1.73 Million 7.38 Million 2.86 Million 4.34 Million 2.56 Million
Inventory - 343.00 1037.00 - - -
Other Current Assets 760.09 Thousand 755.65 Thousand 764.96 Thousand 529 Thousand 347 Thousand 180 Thousand
Total Non-Current Assets 155.4 Million 121.28 Million 74.52 Million 138.04 Million 108.7 Million 299.51 Million
Net PPE 223.84 Thousand 332 Thousand 2.1 Million 591 Thousand 679 Thousand 114 Thousand
Good Will And Intangible Assets - - - - - -
Good Will - - - - - -
Intangible Assets - - - - - -
Long-Term Investments 155.18 Million 120.95 Million 72.42 Million 137.45 Million 108.02 Million 299.39 Million
Tax Assets - - - - - -
Other Non Current Assets 1.00 - - - - -
Other Assets - -0.00 - - - -0.00
Total Liabilities 12.32 Million 6.2 Million 3.43 Million 4.7 Million 3.24 Million 3.77 Million
Total Current Liabilities 11.92 Million 1.47 Million 2.64 Million 3.61 Million 2.31 Million 3.47 Million
Account Payables 8516.00 4.18 Million 2.12 Million 2.47 Million 2.23 Million 3.47 Million
Tax Payables - - - - - -
Short Term Debt 124.36 Thousand 110 Thousand 107 Thousand 94 Thousand 83 Thousand -
Deferred Revenue -8516.00 -4.18 Million -2.12 Million -2.47 Million -2.23 Million -
Other Current Liabilities 11.8 Million 1.36 Million 2.53 Million 3.52 Million 2.23 Million -
Total Non Current Liabilities 393.97 Thousand 4.72 Million 790 Thousand 1.08 Million 930 Thousand 300 Thousand
Long-Term Debt 78 Thousand 204 Thousand 312 Thousand 421 Thousand 514 Thousand -
Deferred Revenue Non Current - - - - - -
Deferred Tax Liabilities Non Current - - - - - -
Other Non Current Liabilities 315.97 Thousand 4.52 Million 478 Thousand 668 Thousand 416 Thousand 300 Thousand
Other Liabilities 1.00 - - - - -
Total Equity 199.89 Million 173.69 Million 132.76 Million 198.88 Million 141.25 Million 308.84 Million
Stock Holders Equity 199.89 Million 173.69 Million 132.76 Million 198.88 Million 141.25 Million 308.84 Million
Common Stock 576.65 Million 579.59 Million 579.59 Million 578.75 Million 578.38 Million 578.85 Million
Retained Earnings -429.6 Million -457.89 Million -498.7 Million -429.82 Million -487.2 Million -319.27 Million
Accumulated other comprehensive income 52.84 Million 51.97 Million 51.8 Million 49.95 Million 50.07 Million 49.26 Million
Common Stock Equity 199.89 Million 173.69 Million 132.76 Million 198.88 Million 141.25 Million 308.84 Million
Capital Lease Obligation 77.6 Thousand 314 Thousand 419 Thousand 515 Thousand 597 Thousand -
Total Investments 155.18 Million 120.95 Million 72.42 Million 137.45 Million 108.02 Million 299.39 Million
Total Debt 201.96 Thousand 314 Thousand 419 Thousand 515 Thousand 597 Thousand -
Net Debt -54.78 Million -55.79 Million -53.1 Million -61.63 Million -30.51 Million -10.35 Million

Balance Sheet Charts