MAG Silver Corp. (MAG.TO)

CAD 19.95

(-5.58%)

Annual Cash Flows

(In USD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow -8.94 Million -8.71 Million -6.72 Million -6.21 Million -3.2 Million -3.94 Million
Net Income 48.65 Million 17.64 Million 6.02 Million -7.09 Million -4.42 Million -5.8 Million
Depreciation & Amortization 352 Thousand 136 Thousand 146 Thousand 121 Thousand 106 Thousand 15 Thousand
Deferred income taxes 5.57 Million 371 Thousand -1.56 Million 1.02 Million -131 Thousand 796 Thousand
Stock-based compensation 3.27 Million 3.25 Million 4.25 Million 3.12 Million 2.57 Million 2.1 Million
Change in working capital -851 Thousand 409 Thousand 364 Thousand -434 Thousand 262 Thousand -365 Thousand
Other non-cash items -65.96 Million -30.52 Million -15.94 Million -2.95 Million -1.59 Million -698 Thousand
Investing Cash Flow -7.24 Million -18.89 Million -74.93 Million -65.31 Million -57.13 Million -26.21 Million
Investments in PPE -15.22 Thousand -35 Thousand -5000.00 -74 Thousand -354 Thousand -54 Thousand
Acquisitions -25.37 Million -11.51 Million -74.13 Million -64.27 Million -53.54 Million -23.94 Million
Investment purchases - - - - - -
Sales/Maturities of investments - 1.11 Million 6.37 Million 3.9 Million - -
Other Investing Activities 18.14 Million -8.45 Million -7.16 Million -4.87 Million -3.23 Million -2.21 Million
Financing Cash Flow 54.95 Thousand 928 Thousand 44.13 Million 92.42 Million 2.74 Million -
Debt repayment -107.00 -109 Thousand -91 Thousand -72 Thousand -71 Thousand -
Dividends payments - - - - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance 55.74 Million - 43.24 Million 89.16 Million 2.81 Million -
Other Financing Activities 55.06 Thousand 1.03 Million 985 Thousand 3.33 Million 2748.00 -
Accounts receivables -340 Thousand 243 Thousand 116 Thousand -201 Thousand 288 Thousand -212 Thousand
Accounts payables - - - - - -
Inventory - - - - - -
Other working capital -511 Thousand 166 Thousand 248 Thousand -233 Thousand -26 Thousand -153 Thousand
Cash at beginning of period 29.95 Million 56.74 Million 94 Million 72.36 Million 130.18 Million 160.39 Million
Cash at end of period 68.7 Million 29.95 Million 56.74 Million 94 Million 72.36 Million 130.18 Million
Capital Expenditure -15.22 Thousand -35 Thousand -5000.00 -74 Thousand -354 Thousand -54 Thousand
Effect of forex changes on cash -15 Thousand -108 Thousand 265 Thousand 745 Thousand -228 Thousand -58 Thousand
Net cash flow / Change in cash 38.75 Million -26.79 Million -37.26 Million 21.64 Million -57.82 Million -30.21 Million
Free Cash Flow -8.96 Million -8.75 Million -6.72 Million -6.28 Million -3.56 Million -3.99 Million

Cash Flow Charts