Coda Minerals Limited (COD.AX)

AUD 0.07

(0.0%)

Annual Cash Flows

(In AUD)
Breakdown 2024 2023 2022 2021 2020 2019
Operating Cash Flow -4.05 Million -7.5 Million -14.33 Million -5.54 Million -3.8 Million -2.17 Million
Net Income -4.56 Million -7.76 Million -14.21 Million -6.52 Million -3.93 Million -2.33 Million
Depreciation & Amortization 162.86 Thousand 162.46 Thousand 147.53 Thousand 122.13 Thousand 114.6 Thousand 11.63 Thousand
Deferred income taxes - -1.07 Million -681.44 Thousand 510.37 Thousand - -
Stock-based compensation 659.46 Thousand 800.13 Thousand 162.94 Thousand 83.44 Thousand - -
Change in working capital 51.16 Thousand -725.39 Thousand -438.82 Thousand 775.87 Thousand 120.94 Thousand 146.97 Thousand
Other non-cash items -358.62 Thousand 1.89 Million 850.84 Thousand -426.55 Thousand 17.54 Thousand -124.77 Thousand
Investing Cash Flow -1817.00 281.68 Thousand 828.94 Thousand -239.39 Thousand -68.19 Thousand -
Investments in PPE -1817.00 -18.31 Thousand -86.25 Thousand -248.07 Thousand -68.19 Thousand -
Acquisitions - 300 Thousand 901.25 Thousand - - -
Investment purchases - - - - - -
Sales/Maturities of investments - - - - - -
Other Investing Activities - 300 Thousand 13.95 Thousand 8682.00 20.92 Thousand -
Financing Cash Flow 2.76 Million 3.76 Million -90.82 Thousand 23.38 Million 8.04 Million 2.19 Million
Debt repayment -111.45 Thousand -102.18 -90.83 -88.04 -86.04 Thousand -
Dividends payments - - - - - -
Common Stock Repurchased - -266.78 Thousand - -1.88 Million - -
Common Stock Issuance 2.87 Million 3.86 Million - 25.36 Million -121.41 Thousand -1000.00
Other Financing Activities 2.87 Million 431.6 Thousand -90.73 Thousand -87.85 Thousand 8.25 Million 2.19 Million
Accounts receivables -3645.00 93.44 Thousand 17.95 Thousand 129.89 Thousand -159.31 Thousand -13.85 Thousand
Accounts payables -336.57 Thousand -845.18 Thousand -404.17 Thousand 624.83 Thousand 272.6 Thousand 161.91 Thousand
Inventory - - - - - -
Other working capital 54.81 Thousand 26.35 Thousand -52.6 Thousand 21.15 Thousand 7660.00 -1080.00
Cash at beginning of period 4.71 Million 8.17 Million 21.78 Million 4.19 Million 17.54 Thousand -
Cash at end of period 3.42 Million 4.71 Million 8.17 Million 21.78 Million 4.19 Million 17.54 Thousand
Capital Expenditure -1817.00 -18.31 Thousand -86.25 Thousand -248.07 Thousand -68.19 Thousand -
Effect of forex changes on cash - 3.45 Million -13.95 Thousand -8682.00 -4.17 Million -
Net cash flow / Change in cash -1.29 Million -3.46 Million -13.6 Million 17.59 Million 4.17 Million 17.54 Thousand
Free Cash Flow -4.05 Million -7.52 Million -14.41 Million -5.78 Million -3.86 Million -2.17 Million

Cash Flow Charts