Gold Road Resources Limited (ELKMF)

USD 1.38

(0.0%)

Annual Cash Flows

(In AUD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 233.57 Million 132.17 Million 89.24 Million 142.69 Million 34.04 Million -
Net Income 115.71 Million 63.69 Million 36.78 Million 80.81 Million -4.65 Million -
Depreciation & Amortization 81.13 Million 83.86 Million 61.82 Million 49.99 Million 12.75 Million -
Deferred income taxes -1.45 Million -194.59 Million 9.01 Million 26.49 Million -1.06 Million -
Stock-based compensation 1.45 Million 2.64 Million 1.82 Million 1.67 Million 1.89 Million -
Change in working capital 31.61 Million -19.4 Million -10.02 Million 1 Million 15.48 Million -
Other non-cash items 5.1 Million 195.96 Million -10.18 Million -17.3 Million 9.63 Million -
Investing Cash Flow -135.84 Million -156.99 Million -57.09 Million -26.98 Million -46.34 Million -172.1 Million
Investments in PPE -80.96 Million -51.19 Million -60.74 Million -45.07 Million -41.48 Million -186.61 Million
Acquisitions 329 Thousand 117 Thousand 399 Thousand 1.61 Million 23 Thousand -
Investment purchases -63.35 Million -105.98 Million -33.22 Million -9.25 Million -563 Thousand -
Sales/Maturities of investments 8.14 Million 3000.00 36.84 Million 27.33 Million -23 Thousand -
Other Investing Activities 1.00 64 Thousand -380 Thousand -1.59 Million -4.3 Million 14.5 Million
Financing Cash Flow -28.29 Million -32.26 Million -27.01 Million -90.65 Million 69.68 Million 424 Thousand
Debt repayment -12.77 Million -8.16 Million -10.02 Million -130.41 Million -7.73 Million -
Dividends payments -15.52 Million -12.69 Million -16.99 Million - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance - - - - - -
Other Financing Activities -12.77 Million -11.4 Million -10.02 Million 39.76 Million 77.41 Million 424 Thousand
Accounts receivables -2.85 Million -241 Thousand 3.12 Million -3.7 Million -1.78 Million -
Accounts payables 3.55 Million -3.43 Million 2.03 Million 1.77 Million 19.39 Million -
Inventory 1.16 Million -20.55 Million -13.4 Million -5.08 Million -2.66 Million -
Other working capital 29.74 Million 4.82 Million -1.78 Million 8.02 Million 547 Thousand -
Cash at beginning of period 74.42 Million 131.51 Million 126.38 Million 101.33 Million 43.95 Million 236.79 Million
Cash at end of period 143.84 Million 74.42 Million 131.51 Million 126.38 Million 101.33 Million 43.95 Million
Capital Expenditure -80.96 Million -51.19 Million -60.74 Million -45.07 Million -41.48 Million -186.61 Million
Effect of forex changes on cash - - - - - -
Net cash flow / Change in cash 69.42 Million -57.09 Million 5.12 Million 25.05 Million 57.37 Million -192.84 Million
Free Cash Flow 152.6 Million 80.97 Million 28.49 Million 97.61 Million -7.43 Million -186.61 Million

Cash Flow Charts