Mega Uranium Ltd. (MGAFF)

USD 0.21

(-4.55%)

Annual Cash Flows

(In CAD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow -644 Thousand -2.2 Million -1.54 Million -1.23 Million -1.77 Million -1.43 Million
Net Income 4.42 Million -8.38 Million 20.87 Million -3.74 Million -5.93 Million -7.96 Million
Depreciation & Amortization 95 Thousand 64 Thousand 87 Thousand 87 Thousand 23 Thousand 31 Thousand
Deferred income taxes -7.79 Million 2.47 Million -9.41 Million -1.55 Million 2.28 Million 385 Thousand
Stock-based compensation 999 Thousand 1.69 Million 604 Thousand 358 Thousand 502 Thousand 681 Thousand
Change in working capital 8 Million 943 Thousand 107 Thousand 186 Thousand 102 Thousand 373 Thousand
Other non-cash items -6.37 Million 1 Million -13.78 Million 3.42 Million 1.24 Million 5.05 Million
Investing Cash Flow -29 Thousand -54 Thousand 54 Thousand 723 Thousand -817 Thousand 337 Thousand
Investments in PPE -12 Thousand -54 Thousand -10 Thousand - -19 Thousand -
Acquisitions -17 Thousand - -1.4 Million - - 258 Thousand
Investment purchases -17 Thousand - -1.69 Million -215 Thousand -798 Thousand -12 Thousand
Sales/Maturities of investments - - 3.16 Million 758 Thousand - 91 Thousand
Other Investing Activities 17 Thousand - -1408.00 180 Thousand -798.00 337.00
Financing Cash Flow 492 Thousand 1.43 Million 2.09 Million 506 Thousand 1.77 Million 1.57 Million
Debt repayment -103 Thousand -66 Thousand -97 Thousand -128 Thousand - -
Dividends payments - - - - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance 595 Thousand 1.5 Million 2.19 Million 585 Thousand 1.66 Million 1.43 Million
Other Financing Activities 595.00 1502.00 2195.00 49 Thousand 110 Thousand 134 Thousand
Accounts receivables 393 Thousand -396 Thousand -55 Thousand -66 Thousand 1000.00 69 Thousand
Accounts payables 131 Thousand 200 Thousand 162 Thousand - 101 Thousand 304 Thousand
Inventory -393 Thousand 396 Thousand -162 Thousand - -1000.00 -
Other working capital 7.87 Million 743 Thousand 162 Thousand 252 Thousand 1000.00 69 Thousand
Cash at beginning of period 510 Thousand 1.28 Million 610 Thousand 723 Thousand 1.5 Million 1.01 Million
Cash at end of period 347 Thousand 510 Thousand 1.28 Million 610 Thousand 723 Thousand 1.5 Million
Capital Expenditure -12 Thousand -54 Thousand -10 Thousand - -19 Thousand -
Effect of forex changes on cash 18 Thousand 55 Thousand 59 Thousand -106 Thousand 29 Thousand 19 Thousand
Net cash flow / Change in cash -163 Thousand -771 Thousand 671 Thousand -113 Thousand -785 Thousand 496 Thousand
Free Cash Flow -656 Thousand -2.26 Million -1.55 Million -1.23 Million -1.79 Million -1.43 Million

Cash Flow Charts