Thor Mining PLC (THORF)

USD 0.01

(-48.1%)

Annual Cash Flows

(In GBP)
Breakdown 2024 2023 2022 2021 2020 2019
Operating Cash Flow -577 Thousand -619 Thousand -626 Thousand -757 Thousand -631 Thousand -713 Thousand
Net Income -2.47 Million -520 Thousand -971 Thousand -2.38 Million -912 Thousand -764 Thousand
Depreciation & Amortization 1.94 Million 30 Thousand 15 Thousand 38 Thousand 37 Thousand 8000.00
Deferred income taxes - -85 Thousand 71 Thousand 1.49 Million 97 Thousand 28 Thousand
Stock-based compensation 28 Thousand 39 Thousand 285 Thousand 149 Thousand 75 Thousand 22 Thousand
Change in working capital -4000.00 -47 Thousand -16 Thousand -47 Thousand 72 Thousand -24 Thousand
Other non-cash items -73 Thousand -36 Thousand -10 Thousand 23 Thousand 27 Thousand 17 Thousand
Investing Cash Flow -759 Thousand -1 Million -1.31 Million -565 Thousand -448 Thousand -1.06 Million
Investments in PPE -999 Thousand -1.68 Million -1.69 Million -714 Thousand -570 Thousand -876 Thousand
Acquisitions - 418 Thousand -2000.00 -170 Thousand 56 Thousand 41 Thousand
Investment purchases - -42 Thousand -25 Thousand -1000.00 -56 Thousand -243 Thousand
Sales/Maturities of investments - - 58 Thousand 222 Thousand 56 Thousand 243 Thousand
Other Investing Activities 240 Thousand 304 Thousand 351 Thousand 98 Thousand 66 Thousand -226 Thousand
Financing Cash Flow 1.24 Million 1.35 Million 2.32 Million 1.87 Million 785 Thousand 939 Thousand
Debt repayment -25 Thousand -12.00 -10.00 -30 Thousand -30.00 -10 Thousand
Dividends payments - - - - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance - 1.37 Million 2.33 Million 1.9 Million 815 Thousand 949 Thousand
Other Financing Activities 1.26 Million 1370.00 -10 Thousand -30 Thousand -30 Thousand -10 Thousand
Accounts receivables -4000.00 14 Thousand -26 Thousand 4000.00 19 Thousand -8000.00
Accounts payables - - - - - -
Inventory - - - - - -
Other working capital - -61 Thousand 10 Thousand -51 Thousand 53 Thousand -16 Thousand
Cash at beginning of period 898 Thousand 1.17 Million 783 Thousand 233 Thousand 523 Thousand 1.37 Million
Cash at end of period 805 Thousand 898 Thousand 1.17 Million 783 Thousand 233 Thousand 523 Thousand
Capital Expenditure -999 Thousand -1.68 Million -1.69 Million -714 Thousand -570 Thousand -876 Thousand
Effect of forex changes on cash - -6000.00 4000.00 - 4000.00 -16 Thousand
Net cash flow / Change in cash -93 Thousand -275 Thousand 390 Thousand 550 Thousand -290 Thousand -851 Thousand
Free Cash Flow -1.57 Million -2.3 Million -2.32 Million -1.47 Million -1.2 Million -1.58 Million

Cash Flow Charts