Ucore Rare Metals Inc. (UURAF)

USD 0.48

(-0.27%)

Annual Cash Flows

(In CAD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow -3.97 Million -4.46 Million -5.42 Million -3.78 Million -3.1 Million -2.81 Million
Net Income -7.6 Million -5.46 Million -5.51 Million -5.52 Million -10.8 Million -4.76 Million
Depreciation & Amortization 178.84 Thousand 129.42 Thousand 114.96 Thousand 94.93 Thousand 91.33 Thousand 9740.00
Deferred income taxes - - -691.68 Thousand -99.61 Thousand 7.23 Million -
Stock-based compensation 1.48 Million 747.31 Thousand 395.71 Thousand 405.65 Thousand 74.97 Thousand 578.15 Thousand
Change in working capital 211.71 Thousand -250 Thousand 19.37 Thousand 424.2 Thousand -82.12 Thousand 589.57 Thousand
Other non-cash items 3.53 Million 377.35 Thousand 245.22 Thousand 918.85 Thousand 391.07 Thousand 770.91 Thousand
Investing Cash Flow -5.88 Million -2.42 Million 1.19 Million -724.27 Thousand -350.66 Thousand -247.83 Thousand
Investments in PPE -5.88 Million -2.41 Million -359.24 Thousand -724.27 Thousand -350.66 Thousand -247.83 Thousand
Acquisitions 500.00 - - -487.6 Thousand - -
Investment purchases - - - - - -
Sales/Maturities of investments 500.00 - 65.87 Thousand - - -
Other Investing Activities 500.00 -8986.00 1.49 Million 487.6 Thousand - -
Financing Cash Flow 7.84 Million 5.81 Million 6.55 Million 2.69 Million 5.8 Million 1.46 Million
Debt repayment -2.98 Million -1.24 Million -78.7 Thousand -86.63 Thousand -2.96 Million -
Dividends payments - - - - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance 4.97 Million 4.44 Million 6.57 Million 2.8 Million 7.81 Million 1.74 Million
Other Financing Activities 4.96 Million 2.61 Million 58.92 Thousand -13.68 Thousand 957.35 Thousand -281.04 Thousand
Accounts receivables 63.1 Thousand -27.82 Thousand -137.84 Thousand 195.81 Thousand -122.18 Thousand -109.39 Thousand
Accounts payables - - - - - -
Inventory - - - - - -
Other working capital 148.61 Thousand -222.18 Thousand 157.21 Thousand 228.39 Thousand 40.06 Thousand 698.97 Thousand
Cash at beginning of period 2.26 Million 3.33 Million 1 Million 2.81 Million 461.47 Thousand 2.06 Million
Cash at end of period 248.38 Thousand 2.26 Million 3.33 Million 1 Million 2.81 Million 461.47 Thousand
Capital Expenditure -5.88 Million -2.41 Million -359.24 Thousand -724.27 Thousand -350.66 Thousand -247.83 Thousand
Effect of forex changes on cash 175.00 4856.00 73.00 2039.00 -1808.00 32.07 Thousand
Net cash flow / Change in cash -2.01 Million -1.06 Million 2.32 Million -1.8 Million 2.35 Million -1.6 Million
Free Cash Flow -9.86 Million -6.88 Million -5.78 Million -4.5 Million -3.45 Million -3.06 Million

Cash Flow Charts