Revival Gold Inc. (RVLGF)

USD 0.19

(-0.05%)

Annual Cash Flows

(In CAD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow -10.46 Million -8.53 Million -8.95 Million -5.25 Million -6.13 Million -3.98 Million
Net Income -11.39 Million -8.88 Million -9.76 Million -5.74 Million -7.3 Million -5.1 Million
Depreciation & Amortization 2173.00 2934.00 4246.00 6351.00 8945.00 5073.00
Deferred income taxes -487.77 Thousand -573.09 Thousand -722.82 Thousand -797.82 Thousand -746.04 Thousand -
Stock-based compensation 486.48 Thousand 556.54 Thousand 758.57 Thousand 739.77 Thousand 806.59 Thousand 876.14 Thousand
Change in working capital 439.6 Thousand -204.87 Thousand 47.97 Thousand -250.41 Thousand 353.36 Thousand 239.05 Thousand
Other non-cash items 487.77 Thousand 573.09 Thousand 722.82 Thousand 797.82 Thousand 746.04 Thousand 972.28 Thousand
Investing Cash Flow -661.17 Thousand -316.47 Thousand -340.76 Thousand 172.49 Thousand -881.5 Thousand -810.33 Thousand
Investments in PPE -661.17 Thousand -316.47 Thousand -340.76 Thousand -53.48 Thousand -729.41 Thousand -742.53 Thousand
Acquisitions - - - - - -
Investment purchases - - - - -152.09 Thousand -67.79 Thousand
Sales/Maturities of investments - - - 225.97 Thousand - -
Other Investing Activities -661.17 Thousand - - 225.97 Thousand -152.09 -67.79 Thousand
Financing Cash Flow 8.48 Million 10.05 Million 14.11 Million 1.71 Million 5.73 Million 8.61 Million
Debt repayment - - - - - -
Dividends payments - - - - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance 8.48 Million 10.05 Million 15.05 Million 1 Million 5.04 Million 9.02 Million
Other Financing Activities 8.48 Million 10.05 Million -934.31 Thousand 713.2 Thousand 695.83 Thousand -409.87 Thousand
Accounts receivables 3056.00 -10.68 Thousand 44.24 Thousand -45.34 Thousand 78.43 Thousand -85.99 Thousand
Accounts payables - - - - - 454.51 Thousand
Inventory - - - - - -
Other working capital 436.54 Thousand -194.19 Thousand 3734.00 -205.06 Thousand 274.92 Thousand -215.45 Thousand
Cash at beginning of period 7.1 Million 5.94 Million 1.04 Million 4.42 Million 5.64 Million 1.82 Million
Cash at end of period 4.49 Million 7.1 Million 5.94 Million 1.04 Million 4.42 Million 5.64 Million
Capital Expenditure -661.17 Thousand -316.47 Thousand -340.76 Thousand -53.48 Thousand -729.41 Thousand -742.53 Thousand
Effect of forex changes on cash 35.71 Thousand -52.98 Thousand 82.78 Thousand -11.14 Thousand 54.62 Thousand 2440.00
Net cash flow / Change in cash -2.6 Million 1.15 Million 4.9 Million -3.37 Million -1.22 Million 3.81 Million
Free Cash Flow -11.12 Million -8.84 Million -9.29 Million -5.3 Million -6.86 Million -4.72 Million

Cash Flow Charts