Silver Range Resources Ltd. (SNG.V)

CAD 0.07

(0.0%)

Annual Cash Flows

(In CAD)
Breakdown 2023 2022 2021 2020 2019
Operating Cash Flow -660.04 Thousand -538.28 Thousand -475.31 Thousand -333.25 Thousand -343.19
Net Income -987.34 Thousand -1.19 Million 4.28 Million 158.75 Thousand -485.00
Depreciation & Amortization 273.48 1412.79 42.09 38.74 106.48
Deferred income taxes - - - - -
Stock-based compensation 26.52 Thousand 386.48 Thousand 105.86 Thousand 21.1 Thousand 86.66
Change in working capital -43.69 Thousand 9193.00 2572.00 5066.00 -2.06
Other non-cash items 23.55 Thousand 28.28 Thousand 39.79 Thousand 54.54 Thousand -49.27
Investing Cash Flow -210.41 Thousand -214.44 Thousand 125.23 Thousand -57.02 Thousand -51.20
Investments in PPE -152.54 Thousand -137.45 Thousand -114.69 Thousand -97.61 Thousand -137.94
Acquisitions - - - - -
Investment purchases - - - - -45 Thousand
Sales/Maturities of investments 14.83 Thousand 25.29 Thousand 143.09 Thousand 103.3 Thousand -
Other Investing Activities -199.38 Thousand -202.65 Thousand -263.33 Thousand -202.73 Thousand 86.74
Financing Cash Flow 672.43 Thousand 572.12 Thousand 558.5 Thousand 486.8 Thousand 177.50
Debt repayment -18 Thousand -13.5 Thousand -18 Thousand -22.5 Thousand -15.00
Dividends payments - - - - -
Common Stock Repurchased - - - - -
Common Stock Issuance 697.75 Thousand 600 Thousand 582.5 Thousand 522 Thousand -
Other Financing Activities -7315.00 -14.37 Thousand -6000.00 -12.7 Thousand 192.50
Accounts receivables -40.80 -1.02 -10.42 -0.71 -2.06
Accounts payables -2887.00 10.2 Thousand 12.98 Thousand 5777.00 -
Inventory - - - - -
Other working capital - - - - -
Cash at beginning of period 263.41 Thousand 444.02 Thousand 235.6 Thousand 139.08 Thousand 355.97
Cash at end of period 65.38 Thousand 263.41 Thousand 444.02 Thousand 235.6 Thousand 139.08
Capital Expenditure -152.54 Thousand -137.45 Thousand -114.69 Thousand -97.61 Thousand -137.94
Effect of forex changes on cash - - - - -
Net cash flow / Change in cash -198.02 Thousand -180.61 Thousand 208.41 Thousand 96.52 Thousand -216.89
Free Cash Flow -812.58 Thousand -675.74 Thousand -590.01 Thousand -430.87 Thousand -481.12

Cash Flow Charts