Reconnaissance Energy Africa Ltd. (RECAF)

USD 0.74

(2.21%)

Annual Cash Flows

(In CAD)
Breakdown 2024 2023 2021 2020 2019 2019
Operating Cash Flow -14.53 Million -27.86 Million -11.7 Million -5.4 Million -2.1 Million -122.04 Thousand
Net Income 64.28 Million -36.53 Million -263.4 Million -7.47 Million -3.12 Million -171.34 Thousand
Depreciation & Amortization 67.39 Thousand 11.53 Thousand 34.38 Thousand - - -
Deferred income taxes 123.91 Thousand 2221.00 294.11 Thousand - - -
Stock-based compensation 5.86 Million 17.01 Million 17.87 Million 1.46 Million 343.69 Thousand -
Change in working capital 478.42 Thousand -3.69 Million 2.66 Million 534.29 Thousand -671.44 Thousand 49.29 Thousand
Other non-cash items 67.39 Thousand 16.22 Million 230.83 Million 68.08 Thousand 1.34 Million -
Investing Cash Flow -17.38 Million -92.77 Million -21.32 Million -16.84 Million -39.54 Thousand -
Investments in PPE -17.1 Million -51.3 Million -35.63 Million -16.84 Million -69.19 Thousand -
Acquisitions - - 14.24 Million - 29.65 Thousand -
Investment purchases - - - - - -
Sales/Maturities of investments - - - - - -
Other Investing Activities -276.4 Thousand -41.47 Million 70.41 Thousand - - -
Financing Cash Flow 8.57 Million 47.25 Million 87.39 Million 26.5 Million 4.69 Million 167 Thousand
Debt repayment - - - -264.41 Thousand -127.91 Thousand -
Dividends payments - - - - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance 9.47 Million 47.25 Million 90.34 Million 26.77 Million 4.97 Million 167 Thousand
Other Financing Activities -897.61 Thousand 37.8 Million -2.94 Million 26.5 Million -148.92 Thousand -
Accounts receivables -849.39 Thousand -3.19 Million -5.78 Million -43.59 Thousand -31.45 Thousand -
Accounts payables 1.49 Million -654.11 Thousand 9.09 Million 563.44 Thousand -556 Thousand -
Inventory - - 5.78 Million 43.59 Thousand 31.45 Thousand -
Other working capital -170.6 Thousand 146.72 Thousand -6.43 Million -29.14 Thousand -115.44 Thousand -
Cash at beginning of period 38.81 Million 61.15 Million 6.79 Million 2.54 Million 203.64 Thousand 158.68 Thousand
Cash at end of period 2.07 Million 55.96 Million 61.15 Million 6.79 Million 2.54 Million 203.64 Thousand
Capital Expenditure -17.1 Million -51.3 Million -35.63 Million -16.84 Million -69.19 Thousand -
Effect of forex changes on cash -17.12 Thousand 3587.00 -5281.00 -13.94 Thousand -4096.00 -
Net cash flow / Change in cash -36.73 Million -5.19 Million 54.36 Million 4.24 Million 2.34 Million 44.95 Thousand
Free Cash Flow -31.64 Million -79.16 Million -47.34 Million -22.24 Million -2.17 Million -122.04 Thousand

Cash Flow Charts