Peruvian Metals Corp. (DUVNF)

USD 0.01

(31.19%)

Annual Cash Flows

(In CAD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 38.49 Thousand -214.3 Thousand -113.05 Thousand -441.8 Thousand -95.3 Thousand -1.05 Million
Net Income -313.43 Thousand -100.63 Thousand -821.4 Thousand 488.19 Thousand -1.2 Million -1.36 Million
Depreciation & Amortization 174.42 Thousand 235.07 Thousand 240.75 Thousand 238.59 Thousand 238.62 Thousand 5900.00
Deferred income taxes - - 431.18 Thousand -1.13 Million 619.68 Thousand 89.27 Thousand
Stock-based compensation - - 298.54 Thousand 83.47 Thousand 73.28 Thousand 71.49 Thousand
Change in working capital -21.46 Thousand -272.37 Thousand -282.11 Thousand -149.44 Thousand 147.24 Thousand 122.16 Thousand
Other non-cash items 198.97 Thousand -76.37 Thousand 19.98 Thousand 28.05 Thousand 32.5 Thousand 26.73 Thousand
Investing Cash Flow -27.68 Thousand 261.75 Thousand 35.25 Thousand 168.69 Thousand -15.2 Thousand -19.55 Thousand
Investments in PPE -87.19 Thousand -37.98 Thousand -195.5 Thousand -85 Thousand -42.57 Thousand -53.96 Thousand
Acquisitions - - - 253.7 Thousand - 34.41 Thousand
Investment purchases - - - - - -
Sales/Maturities of investments 59.51 Thousand 174.97 Thousand 230.75 Thousand - 27.37 Thousand -
Other Investing Activities 59.51 Thousand 124.77 Thousand 230.75 Thousand 253.7 Thousand 27.37 Thousand 34.41 Thousand
Financing Cash Flow 68.09 Thousand 46.92 Thousand 231.65 Thousand 394.22 Thousand 79.18 Thousand 1.06 Million
Debt repayment - - -146.92 Thousand - -42 Thousand -77.62 Thousand
Dividends payments - - - - -28.96 Thousand -
Common Stock Repurchased - - - - -68.45 Thousand -
Common Stock Issuance 68.09 Thousand 46.92 Thousand 115.78 Thousand 250 Thousand 68.45 Thousand 825 Thousand
Other Financing Activities 68.09 Thousand -1880.00 262.8 Thousand 144.22 Thousand 150.15 Thousand 319.05 Thousand
Accounts receivables -24.8 Thousand -65.54 Thousand 25.17 Thousand 28.85 Thousand -64.4 Thousand -4326.00
Accounts payables -145.95 Thousand -142.69 Thousand -180.28 Thousand -70.37 Thousand 140.01 Thousand 109.76 Thousand
Inventory 28.07 Thousand -24.95 Thousand -149.00 20.72 Thousand -9555.00 8685.00
Other working capital -24.74 Thousand -39.19 Thousand -126.85 Thousand -128.64 Thousand 81.18 Thousand 8039.00
Cash at beginning of period 215.95 Thousand 323.8 Thousand 169.95 Thousand 48.84 Thousand 80.16 Thousand 85.53 Thousand
Cash at end of period 143.51 Thousand 215.95 Thousand 323.8 Thousand 169.95 Thousand 48.84 Thousand 80.16 Thousand
Capital Expenditure -87.19 Thousand -37.98 Thousand -195.5 Thousand -85 Thousand -42.57 Thousand -53.96 Thousand
Effect of forex changes on cash -151.34 Thousand -202.22 Thousand -79.87 Thousand - - -
Net cash flow / Change in cash -72.44 Thousand -107.85 Thousand 153.85 Thousand 121.1 Thousand -31.31 Thousand -5376.00
Free Cash Flow -48.7 Thousand -252.28 Thousand -308.56 Thousand -526.81 Thousand -137.87 Thousand -1.1 Million

Cash Flow Charts