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Collective Mining Ltd.

Financial Statements (IFRS) · Amounts in CAD
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line Item Q3 2025Sep 30, 2025 Q2 2025Jun 30, 2025 Q1 2025Mar 31, 2025 Q4 2024Dec 31, 2024 Q3 2024Sep 30, 2024
Total Revenue 0.00 0.00 0.00 0.00 0.00
Operating Revenue 0.00 0.00 0.00 0.00 0.00
Cost Of Revenue 30,404 11,481 11,780 11,016 12,379
Gross Profit -30,404 -11,481 -11,780 -11,016 -12,379
Selling General And Administration 2.4M 2.2M 1.9M 1.9M 1.4M
General And Administrative Expense 2.4M 2.2M 1.9M 1.9M 1.4M
Depreciation And Amortization In Income Statement -- 11,481 -- -- 12,379
Other Operating Expenses 8.8M 7.4M 4.9M 4.5M 4.5M
Operating Expense 11.2M 9.7M 6.7M 6.4M 5.9M
Operating Income -11.2M -9.7M -6.8M -6.4M -5.9M
EBIT -10.7M -8.5M -16.9M -9.6M -6.3M
Interest Expense 123,207 62,245 66,560 10,803 12,774
Interest Expense Non Operating 123,207 62,245 66,560 10,803 12,774
Interest Income 631,981 701,763 377,780 360,993 224,271
Interest Income Non Operating 631,981 701,763 377,780 360,993 224,271
Net Interest Income 450,386 618,191 291,466 330,038 194,548
Other Income Expense -50,146 532,060 -10.5M -3.5M -548,186
Other Non Operating Income Expenses 128.00 1,058 -- 5,047 --
Gain On Sale Of Security -50,274 531,002 -10.5M -3.5M -548,186
Pretax Income -10.8M -8.5M -16.9M -9.6M -6.3M
Tax Provision 0.00 0.00 0.00 0.00 0.00
Tax Effect Of Unusual Items 0.00 0.00 0.00 0.00 0.00
Net Income From Continuing And Discontinued Operation -10.8M -8.5M -16.9M -9.6M -6.3M
Net Income From Continuing Operation Net Minority Interest -10.8M -8.5M -16.9M -9.6M -6.3M
Net Income Including Noncontrolling Interests -10.8M -8.5M -16.9M -9.6M -6.3M
Net Income Common Stockholders -10.8M -8.5M -16.9M -9.6M -6.3M
Net Income -10.8M -8.5M -16.9M -9.6M -6.3M
EBITDA -10.5M -8.3M -16.7M -9.5M -6.2M
Normalized EBITDA -10.5M -8.8M -6.2M -6.0M -5.7M
Reconciled Depreciation 203,537 180,090 195,946 91,727 89,266
Basic EPS -0.13 -0.11 -0.22 -- -0.09
Diluted EPS -0.13 -0.11 -0.22 -- -0.09
Basic Average Shares 84.9M 78.7M 78.7M -- 68.3M
Diluted Average Shares 84.9M 78.7M 78.7M -- 68.3M
Total Unusual Items -50,274 531,002 -10.5M -3.5M -548,186
Total Unusual Items Excluding Goodwill -50,274 531,002 -10.5M -3.5M -548,186
Tax Rate For Calcs 0.00 0.00 0.00 0.00 0.00
Normalized Income -10.8M -9.0M -6.5M -6.1M -5.8M
Depreciation Amortization Depletion Income Statement -- 11,481 -- -- 12,379
Depreciation Income Statement -- 11,481 -- -- 12,379
Diluted NI Availto Com Stockholders -10.8M -8.5M -16.9M -9.6M -6.3M
Net Income Continuous Operations -10.8M -8.5M -16.9M -9.6M -6.3M
Net Non Operating Interest Income Expense 450,386 618,191 291,466 330,038 194,548
Other Gand A 787,053 730,318 889,275 957,732 740,505
Reconciled Cost Of Revenue 30,404 11,481 11,780 11,016 12,379
Salaries And Wages 1.6M 1.5M 997,239 927,578 693,769
Total Expenses 11.2M 9.7M 6.8M 6.4M 5.9M
Total Other Finance Cost 58,388 21,327 19,754 20,152 16,949
Line Item Q3 2025Sep 30, 2025 Q2 2025Jun 30, 2025 Q1 2025Mar 31, 2025 Q4 2024Dec 31, 2024 Q3 2024Sep 30, 2024
Cash And Cash Equivalents -- 70.6M 78.0M 38.9M 15.5M
Cash Cash Equivalents And Short Term Investments -- 70.6M 78.0M 38.9M 15.5M
Cash Financial -- 70.6M 78.0M 38.9M 15.5M
Receivables -- 51,456 127,987 94,131 53,811
Prepaid Assets -- 930,979 962,557 589,524 759,515
Current Assets -- 71.6M 79.1M 39.6M 16.3M
Gross PPE -- 12.6M 2.5M 1.4M 1.3M
Accumulated Depreciation -- -1.0M -840,765 -751,981 -660,253
Net PPE -- 11.6M 1.6M 680,062 625,015
Goodwill And Other Intangible Assets -- 60,000 -- -- --
Total Non Current Assets -- 14.5M 4.2M 2.9M 2.8M
Total Assets -- 86.1M 83.3M 42.6M 19.1M
Current Debt And Capital Lease Obligation -- 469,542 431,428 82,795 82,880
Payables And Accrued Expenses -- 4.0M 3.3M 2.2M 2.4M
Other Current Liabilities -- 7.4M -- 3.2M 1.2M
Current Liabilities -- 12.3M 3.7M 5.5M 3.7M
Long Term Debt And Capital Lease Obligation -- 710,367 813,467 72,732 100,050
Long Term Capital Lease Obligation -- 710,367 813,467 72,732 100,050
Other Non Current Liabilities -- 2.1M -- -1.00 --
Total Non Current Liabilities Net Minority Interest -- 2.8M 813,467 72,731 100,050
Total Liabilities Net Minority Interest -- 15.2M 4.6M 5.5M 3.8M
Common Stock -- 146.8M 146.8M 102.3M 71.1M
Capital Stock -- 146.8M 146.8M 102.3M 71.1M
Additional Paid In Capital -- 31.9M 31.2M 17.1M 16.9M
Retained Earnings -- -107.8M -99.3M -82.4M -72.8M
Common Stock Equity -- 70.9M 78.7M 37.0M 15.3M
Stockholders Equity -- 70.9M 78.7M 37.0M 15.3M
Total Equity Gross Minority Interest -- 70.9M 78.7M 37.0M 15.3M
Total Capitalization -- 70.9M 78.7M 37.0M 15.3M
Net Tangible Assets -- 70.9M 78.7M 37.0M 15.3M
Tangible Book Value -- 70.9M 78.7M 37.0M 15.3M
Working Capital -- 59.2M 75.4M 34.1M 12.6M
Invested Capital -- 70.9M 78.7M 37.0M 15.3M
Total Debt -- 1.2M 1.2M 155,527 182,930
Share Issued -- 84.9M 84.8M 77.6M 68.3M
Ordinary Shares Number -- 84.9M 84.8M 77.6M 68.3M
Buildings And Improvements -- -- -- 244,628 244,628
Capital Lease Obligations -- 1.2M 1.2M 155,527 182,930
Current Capital Lease Obligation -- 469,542 431,428 82,795 82,880
Current Provisions -- 490,434 -- -- --
Land And Improvements -- 65,876 65,876 65,876 65,876
Leases -- 295,610 295,611 295,611 225,820
Machinery Furniture Equipment -- 225,332 219,245 220,469 219,957
Non Current Accounts Receivable -- 2.9M 2.5M 2.3M 2.2M
Other Properties -- 1.3M 1.3M -- --
Other Receivables -- -- 55,042 14,439 --
Taxes Receivable -- 51,456 72,945 79,692 53,811
Line Item Q3 2025Sep 30, 2025 Q2 2025Jun 30, 2025 Q1 2025Mar 31, 2025 Q4 2024Dec 31, 2024 Q3 2024Sep 30, 2024
Operating Cash Flow -9.6M -7.6M -5.4M -6.1M -5.9M
Cash Flow From Continuing Operating Activities -9.6M -7.6M -5.4M -6.1M -5.9M
Depreciation And Amortization 203,537 180,090 195,946 91,727 89,266
Depreciation Amortization Depletion 203,537 180,090 195,946 91,727 89,266
Stock Based Compensation 853,489 722,771 346,702 191,700 286,049
Change In Working Capital 32,168 498,265 427,999 -244,401 -552,793
Change In Receivables -725,053 -- -- -292,157 -608,398
Change In Payables And Accrued Expense 757,221 -- -- 47,755 55,606
Other Non Cash Items 67,738 62,245 66,560 10,802 12,774
Capital Expenditure -1.1M -105,499 -26,580 -146,774 -25,502
Purchase Of PPE -1.1M -105,499 -26,580 -146,774 -25,502
Net PPE Purchase And Sale -1.1M -105,499 -26,580 -146,774 -25,502
Investing Cash Flow -7.8M -105,499 -26,580 -146,774 -25,502
Cash Flow From Continuing Investing Activities -7.8M -105,499 -26,580 -146,774 -25,502
Repayment Of Debt -191,779 -161,714 -161,603 -28,403 -29,613
Net Issuance Payments Of Debt -191,779 -161,714 -161,603 -28,403 -29,613
Issuance Of Capital Stock 0.00 0.00 36.4M 33.3M 0.00
Net Common Stock Issuance 0.00 0.00 36.4M 33.3M 0.00
Financing Cash Flow -184,019 -141,798 44.4M 31.1M 158,701
Cash Flow From Continuing Financing Activities -184,019 -141,798 44.4M 31.1M 158,701
Effect Of Exchange Rate Changes -16,791 389,099 142,297 -1.5M 168,226
Changes In Cash -17.6M -7.8M 39.0M 24.9M -5.8M
Beginning Cash Position 70.6M 78.0M 38.9M 15.5M 21.1M
End Cash Position 52.9M 70.6M 78.0M 38.9M 15.5M
Free Cash Flow -10.8M -7.7M -5.5M -6.2M -5.9M
Common Stock Issuance 0.00 0.00 36.4M 33.3M 0.00
Depreciation -- -- -- -- --
Gain Loss On Investment Securities 0.00 0.00 10.6M 1.9M 647,526
Long Term Debt Payments -191,779 -161,714 -161,603 -28,403 -29,613
Net Foreign Currency Exchange Gain Loss 50,275 -531,003 -102,139 1.6M -99,342
Net Income From Continuing Operations -10.8M -8.5M -16.9M -9.6M -6.3M
Net Long Term Debt Issuance -191,779 -161,714 -161,603 -28,403 -29,613
Net Other Financing Charges 0.00 0.00 -172,887 -2.2M 0.00
Operating Gains Losses 50,275 -531,003 10.5M 3.5M 548,184
Proceeds From Stock Option Exercised 7,760 19,916 8.4M 20,844 188,314
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