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Centenario Gold Corp.

Financial Statements (IFRS) · Amounts in CAD
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Total Revenue 0.00 0.00 0.00 0.00
Operating Revenue 0.00 0.00 0.00 0.00
Cost Of Revenue 992.00 9,368 46,570 26,713
Gross Profit -992.00 -9,368 -46,570 -26,713
Selling General And Administration 562,897 711,962 296,331 175,997
General And Administrative Expense 174,099 624,404 296,331 175,997
Depreciation And Amortization In Income Statement -- -- 46,570 26,713
Other Operating Expenses 461,516 759,121 522,259 445,413
Operating Expense 1.0M 1.5M 818,590 648,123
Operating Income -1.0M -1.5M -865,160 -648,123
EBIT -1.0M -1.5M -865,160 -648,123
Interest Income 1,640 0.00 -- --
Interest Income Non Operating 1,640 0.00 -- --
Net Interest Income 1,640 0.00 -- --
Other Income Expense -312,983 -647,316 9,948 -2,565
Special Income Charges -296,629 -642,690 1,682 0.00
Restructuring And Mergern Acquisition 0.00 642,690 0.00 --
Gain On Sale Of Security -16,354 -4,626 8,266 -2,565
Pretax Income -1.3M -2.1M -855,212 -650,688
Tax Effect Of Unusual Items 0.00 0.00 0.00 0.00
Net Income From Continuing And Discontinued Operation -1.3M -2.1M -855,212 -650,688
Net Income From Continuing Operation Net Minority Interest -1.3M -2.1M -855,212 -650,688
Net Income Including Noncontrolling Interests -1.3M -2.1M -855,212 -650,688
Net Income Common Stockholders -1.3M -2.1M -855,212 -650,688
Net Income -1.3M -2.1M -855,212 -650,688
EBITDA -1.0M -1.5M -818,590 -621,410
Normalized EBITDA -711,430 -823,767 -828,538 -618,845
Reconciled Depreciation 992.00 9,368 46,570 26,713
Basic EPS -0.30 -0.80 -0.38 -0.29
Diluted EPS -0.30 -0.80 -0.38 -0.29
Basic Average Shares 4.2M 2.6M 2.2M 2.2M
Diluted Average Shares 4.2M 2.6M 2.2M 2.2M
Total Unusual Items -312,983 -647,316 9,948 -2,565
Total Unusual Items Excluding Goodwill -312,983 -647,316 9,948 -2,565
Tax Rate For Calcs 0.00 0.00 0.00 0.00
Normalized Income -1.0M -1.5M -865,160 -648,123
Depreciation Amortization Depletion Income Statement -- -- 46,570 26,713
Depreciation Income Statement -- -- 46,570 26,713
Diluted NI Availto Com Stockholders -1.3M -2.1M -855,212 -650,688
Gain On Sale Of Ppe 1,124 0.00 1,682 0.00
Impairment Of Capital Assets 297,753 0.00 -- --
Net Income Continuous Operations -1.3M -2.1M -855,212 -650,688
Net Non Operating Interest Income Expense 1,640 0.00 -- --
Other Gand A 174,099 323,704 296,331 175,997
Reconciled Cost Of Revenue 992.00 9,368 46,570 26,713
Salaries And Wages 0.00 300,700 0.00 --
Selling And Marketing Expense 388,798 87,558 0.00 --
Total Expenses 1.0M 1.5M 865,160 648,123
Total Operating Income As Reported -1.0M -1.5M -856,894 -650,688
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Cash And Cash Equivalents 3,653 407,565 115,033 240,044
Cash Cash Equivalents And Short Term Investments 3,653 407,565 115,033 240,044
Accounts Receivable 1,737 9,602 2,864 3,009
Receivables 1,737 9,602 2,864 3,009
Prepaid Assets 5,392 554,149 3,834 17,138
Current Assets 10,782 971,316 121,731 260,191
Gross PPE 9,246 246,026 216,663 158,267
Accumulated Depreciation -9,246 -8,254 -73,283 -26,713
Net PPE 0.00 237,772 143,380 131,554
Total Non Current Assets 0.00 237,772 214,082 174,250
Total Assets 10,782 1.2M 335,813 434,441
Current Debt And Capital Lease Obligation -- -- 7,852 43,230
Payables And Accrued Expenses 119,896 30,172 379,313 13,249
Current Liabilities 119,896 30,172 387,165 56,479
Long Term Debt And Capital Lease Obligation -- -- 0.00 7,852
Long Term Capital Lease Obligation -- -- 0.00 7,852
Total Non Current Liabilities Net Minority Interest 0.00 0.00 0.00 7,852
Total Liabilities Net Minority Interest 119,896 30,172 387,165 64,331
Common Stock 4.6M 4.5M 1.3M 1.1M
Capital Stock 4.6M 4.5M 1.3M 1.1M
Retained Earnings -5.1M -3.7M -1.6M -733,639
Common Stock Equity -109,114 1.2M -51,352 370,110
Stockholders Equity -109,114 1.2M -51,352 370,110
Total Equity Gross Minority Interest -109,114 1.2M -51,352 370,110
Total Capitalization -109,114 1.2M -51,352 370,110
Net Tangible Assets -109,114 1.2M -51,352 370,110
Tangible Book Value -109,114 1.2M -51,352 370,110
Working Capital -109,114 941,144 -265,434 203,712
Invested Capital -109,114 1.2M -51,352 370,110
Total Debt -- 0.00 7,852 51,082
Share Issued 4.2M 4.1M 4.1M 4.1M
Ordinary Shares Number 4.2M 4.1M 4.1M 4.1M
Buildings And Improvements -- 74,397 74,397 --
Capital Lease Obligations -- 0.00 7,852 51,082
Current Capital Lease Obligation -- 0.00 7,852 43,230
Machinery Furniture Equipment 9,246 11,363 10,367 18,374
Non Current Accounts Receivable -- -- 70,702 42,696
Other Equity Interest 358,390 351,724 189,500 --
Other Properties -- 234,663 131,899 139,893
Treasury Shares Number -- 0.00 -- --
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Operating Cash Flow -392,781 -2.0M -458,817 -671,425
Cash Flow From Continuing Operating Activities -392,781 -2.0M -458,817 -671,425
Depreciation And Amortization 992.00 9,368 46,570 26,713
Depreciation Amortization Depletion 992.00 9,368 46,570 26,713
Stock Based Compensation 0.00 300,700 0.00 --
Change In Working Capital 646,346 -831,118 351,507 -47,450
Changes In Account Receivables 7,865 -2,364 145.00 -2,994
Change In Receivables 7,865 68,338 -27,861 -39,680
Change In Payables And Accrued Expense 89,724 -349,141 366,064 9,368
Other Non Cash Items -- 642,690 -- --
Capital Expenditure -62,094 -103,760 -66,403 -83,870
Purchase Of PPE -62,094 -103,760 -66,403 -83,870
Net PPE Purchase And Sale -59,849 -103,760 -56,714 -83,870
Sale Of Business 0.00 252,936 0.00 --
Investing Cash Flow -59,849 149,176 -56,714 -83,870
Cash Flow From Continuing Investing Activities -59,849 149,176 -56,714 -83,870
Repayment Of Debt 0.00 -7,852 -43,230 -23,315
Net Issuance Payments Of Debt 0.00 -7,852 -43,230 -23,315
Issuance Of Capital Stock 48,718 2.2M 244,250 1.0M
Net Common Stock Issuance 48,718 2.2M 244,250 1.0M
Financing Cash Flow 48,718 2.1M 390,520 977,933
Cash Flow From Continuing Financing Activities 48,718 2.1M 390,520 977,933
Changes In Cash -403,912 292,532 -125,011 222,638
Beginning Cash Position 407,565 115,033 240,044 17,406
End Cash Position 3,653 407,565 115,033 240,044
Free Cash Flow -454,875 -2.1M -525,220 -755,295
Asset Impairment Charge 297,753 0.00 -- --
Change In Prepaid Assets 548,757 -550,315 13,304 -17,138
Common Stock Issuance 48,718 2.2M 244,250 1.0M
Depreciation 992.00 9,368 46,570 26,713
Gain Loss On Sale Of PPE -1,124 0.00 -1,682 0.00
Long Term Debt Payments 0.00 -7,852 -43,230 -23,315
Net Business Purchase And Sale 0.00 252,936 0.00 --
Net Income From Continuing Operations -1.3M -2.1M -855,212 -650,688
Net Long Term Debt Issuance 0.00 -7,852 -43,230 -23,315
Net Other Financing Charges -- -- 189,500 --
Operating Gains Losses -1,124 -- -1,682 --
Sale Of PPE 2,245 0.00 9,689 0.00
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