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Highway 50 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 26,220 25,246 25,678 20,877
Gross Profit -26,220 -25,246 -25,678 -20,877
Selling General And Administration 200,218 363,712 404,276 656,185
General And Administrative Expense 200,218 363,712 404,276 656,185
Other Operating Expenses 29,507 36,260 49,296 80,010
Operating Expense 229,725 399,972 453,572 736,195
Operating Income -255,945 -425,218 -479,250 -757,072
EBIT -816,463 -4.3M 1.2M -761,185
Interest Expense 27,093 3,815 26,812 43,157
Interest Expense Non Operating 27,093 3,815 26,812 43,157
Interest Income -- -- 0.00 896.00
Interest Income Non Operating -- -- 0.00 896.00
Net Interest Income -27,880 -5,675 -28,563 -44,329
Other Income Expense -559,731 -3.9M 1.6M -2,941
Special Income Charges -515,779 -3.9M 1.7M 0.00
Gain On Sale Of Security -43,952 4,874 -15,063 -2,941
Pretax Income -843,556 -4.3M 1.1M -804,342
Tax Effect Of Unusual Items 0.00 0.00 429,337 0.00
Net Income From Continuing And Discontinued Operation -843,556 -4.3M 1.1M -804,342
Net Income From Continuing Operation Net Minority Interest -843,556 -4.3M 1.1M -804,342
Net Income Including Noncontrolling Interests -843,556 -4.3M 1.1M -804,342
Net Income Common Stockholders -843,556 -4.3M 1.1M -804,342
Net Income -843,556 -4.3M 1.1M -804,342
EBITDA -790,243 -4.3M 1.2M -740,308
Normalized EBITDA -230,512 -401,832 -455,323 -737,367
Reconciled Depreciation 26,220 25,246 25,678 20,877
Basic EPS -0.04 -0.20 0.06 -0.04
Diluted EPS -0.04 -0.20 0.06 -0.04
Basic Average Shares 23.0M 22.1M 20.8M 19.9M
Diluted Average Shares 23.0M 22.1M 20.8M 19.9M
Total Unusual Items -559,731 -3.9M 1.6M -2,941
Total Unusual Items Excluding Goodwill -559,731 -3.9M 1.6M -2,941
Tax Rate For Calcs 0.00 0.00 0.26 0.00
Normalized Income -283,825 -430,893 -78,476 -801,401
Diluted NI Availto Com Stockholders -843,556 -4.3M 1.1M -804,342
Gain On Sale Of Ppe -- 0.00 13,130 0.00
Impairment Of Capital Assets 77,942 3.9M 0.00 --
Net Income Continuous Operations -843,556 -4.3M 1.1M -804,342
Net Non Operating Interest Income Expense -27,880 -5,675 -28,563 -44,329
Other Gand A 157,612 166,312 403,282 440,185
Other Special Charges 437,837 -- -1.6M --
Reconciled Cost Of Revenue 26,220 25,246 25,678 20,877
Rent And Landing Fees -- -- 0.00 5,931
Rent Expense Supplemental -- -- 0.00 5,931
Salaries And Wages 42,606 197,400 994.00 210,069
Total Expenses 255,945 425,218 479,250 757,072
Total Other Finance Cost 787.00 1,860 1,751 2,068
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Cash And Cash Equivalents 18,290 142,920 287,110 650,977
Cash Cash Equivalents And Short Term Investments 18,290 142,920 287,110 650,977
Cash Financial 18,290 142,920 287,110 650,977
Accounts Receivable 1,995 1,764 2,899 2,731
Receivables 1,995 1,764 2,899 2,731
Prepaid Assets 8,407 7,561 5,054 1,209
Current Assets 28,692 152,245 295,063 654,917
Gross PPE 1.3M 1.1M 4.6M 4.4M
Accumulated Depreciation -20,340 -64,680 -41,160 -17,640
Net PPE 1.3M 1.1M 4.5M 4.3M
Other Non Current Assets 18,386 16,947 17,325 33,539
Total Non Current Assets 1.3M 1.1M 4.6M 4.4M
Total Assets 1.4M 1.2M 4.9M 5.0M
Current Debt -- 384,324 391,189 351,015
Current Debt And Capital Lease Obligation 25,938 402,496 415,874 372,922
Accounts Payable -- -- 6,766 974.00
Payables -- -- 6,766 1.3M
Payables And Accrued Expenses 19,827 0.00 6,766 1.3M
Current Liabilities 45,765 402,496 422,640 1.7M
Long Term Debt 542,318 -- -- --
Long Term Debt And Capital Lease Obligation 579,415 -- 18,172 42,857
Long Term Capital Lease Obligation 37,097 0.00 18,172 42,857
Total Non Current Liabilities Net Minority Interest 579,415 0.00 18,172 42,857
Total Liabilities Net Minority Interest 625,180 402,496 440,812 1.8M
Common Stock 10.5M 10.3M 9.8M 9.8M
Capital Stock 10.5M 10.3M 9.8M 9.8M
Retained Earnings -12.7M -11.9M -7.5M -8.7M
Common Stock Equity 724,907 843,723 4.4M 3.3M
Stockholders Equity 724,907 843,723 4.4M 3.3M
Total Equity Gross Minority Interest 724,907 843,723 4.4M 3.3M
Total Capitalization 1.3M 843,723 4.4M 3.3M
Net Tangible Assets 724,907 843,723 4.4M 3.3M
Tangible Book Value 724,907 843,723 4.4M 3.3M
Working Capital -17,073 -250,251 -127,577 -1.1M
Invested Capital 1.3M 1.2M 4.8M 3.6M
Total Debt 605,353 402,496 434,046 415,779
Net Debt 524,028 241,404 104,079 --
Share Issued 23.2M 22.9M 20.8M 20.8M
Ordinary Shares Number 23.2M 22.9M 20.8M 20.8M
Capital Lease Obligations 63,035 18,172 42,857 64,764
Current Capital Lease Obligation 25,938 18,172 24,685 21,907
Dueto Related Parties Current -- -- 0.00 1.3M
Dueto Related Parties Non Current -- -- -- 0.00
Other Current Borrowings -- 384,324 391,189 351,015
Other Equity Interest 2.9M 2.4M 2.1M 2.1M
Other Properties 1.3M 1.1M 4.6M 4.4M
Tradeand Other Payables Non Current -- -- -- 0.00
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Operating Cash Flow -186,796 -213,755 -149,574 -247,558
Cash Flow From Continuing Operating Activities -186,796 -213,755 -149,574 -247,558
Depreciation And Amortization 26,220 25,246 25,678 20,877
Depreciation Amortization Depletion 26,220 25,246 25,678 20,877
Stock Based Compensation 42,606 197,400 994.00 210,069
Change In Working Capital 3,850 -7,710 301,351 282,760
Change In Receivables -231.00 1,135 -168.00 13,479
Change In Payables And Accrued Expense 4,927 -6,338 305,364 269,392
Change In Payable -- -6,338 305,364 269,392
Other Non Cash Items 464,930 3,815 26,812 43,157
Capital Expenditure -243,679 -462,150 -223,410 -405,116
Purchase Of PPE -243,679 -462,150 -223,410 -405,116
Net PPE Purchase And Sale -243,679 -462,150 -203,495 -402,791
Investing Cash Flow -243,679 -462,150 -185,793 -347,600
Cash Flow From Continuing Investing Activities -243,679 -462,150 -185,793 -347,600
Issuance Of Debt 250,000 0.00 -- --
Repayment Of Debt -31,205 -28,500 -28,500 -21,374
Net Issuance Payments Of Debt 218,795 -28,500 -28,500 -21,374
Issuance Of Capital Stock 0.00 624,785 0.00 925,693
Net Common Stock Issuance 0.00 624,785 0.00 925,693
Financing Cash Flow 305,845 531,715 -28,500 1.1M
Cash Flow From Continuing Financing Activities 305,845 531,715 -28,500 1.1M
Changes In Cash -124,630 -144,190 -363,867 525,009
Beginning Cash Position 142,920 287,110 650,977 125,968
End Cash Position 18,290 142,920 287,110 650,977
Free Cash Flow -430,475 -675,905 -372,984 -652,674
Income Tax Paid Supplemental Data 0.00 0.00 -- --
Interest Paid Supplemental Data 0.00 0.00 -- --
Amortization Cash Flow 26,220 25,246 25,678 20,877
Amortization Of Intangibles 26,220 25,246 25,678 20,877
Asset Impairment Charge 77,942 3.9M 0.00 --
Change In Account Payable -- -6,338 5,364 -15,608
Change In Prepaid Assets -846.00 -2,507 -3,845 -111.00
Common Stock Issuance 0.00 624,785 0.00 925,693
Gain Loss On Sale Of PPE -- 0.00 -13,130 0.00
Long Term Debt Issuance 250,000 0.00 -- --
Long Term Debt Payments -31,205 -28,500 -28,500 -21,374
Net Foreign Currency Exchange Gain Loss 41,212 -6,487 18,467 -79.00
Net Income From Continuing Operations -843,556 -4.3M 1.1M -804,342
Net Long Term Debt Issuance 218,795 -28,500 -28,500 -21,374
Net Other Financing Charges -- -64,570 -- -66,652
Net Other Investing Changes -- -- 17,702 55,191
Operating Gains Losses 41,212 -6,487 -1.6M -79.00
Proceeds From Stock Option Exercised 87,050 0.00 0.00 282,500
Sale Of PPE -- 0.00 19,915 2,325
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