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Metalero Mining Corp.

Financial Statements (IFRS) · Amounts in CAD
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line Item Q2 2025Apr 30, 2025 Q1 2025Jan 31, 2025 Q4 2024Oct 31, 2024 Q3 2024Jul 31, 2024
Total Revenue 0.00 0.00 0.00 0.00
Operating Revenue 0.00 0.00 0.00 0.00
Cost Of Revenue 8,317 8,313 5,113 8,016
Gross Profit -8,317 -8,313 -5,113 -8,016
Selling General And Administration 86,033 98,192 158,903 115,248
General And Administrative Expense 86,014 95,171 103,350 115,093
Other Operating Expenses 82,543 11,518 20,352 53,360
Operating Expense 168,576 109,710 179,255 168,608
Operating Income -176,893 -118,023 -184,368 -176,624
EBIT -168,404 -120,068 -311,426 -157,043
Interest Expense 3,178 6,844 19,129 11,136
Interest Expense Non Operating 3,178 6,844 19,129 11,136
Net Interest Income -3,178 -6,844 -19,129 -11,136
Other Income Expense 8,489 -2,045 -127,058 19,581
Special Income Charges -- 0.00 -- --
Gain On Sale Of Security 8,489 -2,045 -32,820 19,581
Pretax Income -171,582 -126,912 -330,555 -168,179
Tax Effect Of Unusual Items 0.00 0.00 0.00 0.00
Net Income From Continuing And Discontinued Operation -171,582 -118,599 -287,559 -168,179
Net Income From Continuing Operation Net Minority Interest -171,582 -118,599 -287,559 -168,179
Net Income Including Noncontrolling Interests -171,582 -126,912 -330,555 -168,179
Net Income Common Stockholders -171,582 -118,599 -287,559 -168,179
Net Income -171,582 -118,599 -287,559 -168,179
EBITDA -160,087 -111,755 -306,313 -149,027
Normalized EBITDA -168,576 -109,710 -179,255 -168,608
Reconciled Depreciation 8,317 8,313 5,113 8,016
Basic EPS -0.01 -0.01 -- -0.02
Diluted EPS -0.01 -0.01 -- -0.02
Basic Average Shares 18.4M 15.2M -- 6.3M
Diluted Average Shares 18.4M 15.2M -- 6.3M
Total Unusual Items 8,489 -2,045 -127,058 19,581
Total Unusual Items Excluding Goodwill 8,489 -2,045 -127,058 19,581
Tax Rate For Calcs 0.00 0.00 0.00 0.00
Normalized Income -180,071 -116,554 -160,501 -187,760
Diluted NI Availto Com Stockholders -171,582 -118,599 -287,559 -168,179
Impairment Of Capital Assets -- 0.00 -- --
Net Income Continuous Operations -171,582 -126,912 -330,555 -168,179
Net Non Operating Interest Income Expense -3,178 -6,844 -19,129 -11,136
Other Gand A 86,014 95,171 103,350 115,093
Reconciled Cost Of Revenue 8,317 8,313 5,113 8,016
Selling And Marketing Expense 19.00 3,021 55,553 155.00
Total Expenses 176,893 118,023 184,368 176,624
Line Item Q2 2025Apr 30, 2025 Q1 2025Jan 31, 2025 Q4 2024Oct 31, 2024 Q3 2024Jul 31, 2024
Cash And Cash Equivalents 6,992 10,329 79,080 714.00
Cash Cash Equivalents And Short Term Investments 6,992 10,329 79,080 714.00
Cash Financial 6,992 10,329 79,080 714.00
Receivables 9,495 3,527 2,625 2,501
Prepaid Assets 4,276 4,484 4,308 4,275
Current Assets 20,763 18,340 86,013 7,490
Gross PPE 272,427 279,673 284,821 471,572
Net PPE 272,427 279,673 284,821 471,572
Total Non Current Assets 272,427 279,673 284,821 471,572
Total Assets 293,190 298,013 370,834 479,062
Current Debt 66,067 65,518 64,969 130,490
Current Debt And Capital Lease Obligation 105,558 105,470 101,985 165,908
Accounts Payable 483,569 117,992 109,995 639,553
Payables 621,869 221,792 893,318 1.1M
Payables And Accrued Expenses 621,869 221,792 893,318 1.1M
Current Liabilities 727,427 327,262 995,303 1.2M
Long Term Debt 65,000 65,000 65,000 --
Long Term Debt And Capital Lease Obligation 86,794 98,787 107,707 52,013
Long Term Capital Lease Obligation 21,794 33,787 42,707 52,013
Other Non Current Liabilities -- 313,100 313,100 --
Total Non Current Liabilities Net Minority Interest 86,794 411,887 420,807 52,013
Total Liabilities Net Minority Interest 814,221 739,149 1.4M 1.3M
Common Stock 7.9M 7.9M 7.0M 6.1M
Capital Stock 7.9M 7.9M 7.0M 6.1M
Retained Earnings -8.9M -8.7M -8.6M -8.3M
Common Stock Equity -700,340 -620,445 -1.2M -1.0M
Stockholders Equity -700,340 -620,445 -1.2M -1.0M
Total Equity Gross Minority Interest -521,031 -441,136 -1.0M -799,640
Minority Interest 179,309 179,309 179,309 222,305
Total Capitalization -635,340 -555,445 -1.2M -1.0M
Net Tangible Assets -700,340 -620,445 -1.2M -1.0M
Tangible Book Value -700,340 -620,445 -1.2M -1.0M
Working Capital -706,664 -308,922 -909,290 -1.2M
Invested Capital -569,273 -489,927 -1.1M -891,455
Total Debt 192,352 204,257 209,692 217,921
Net Debt 124,075 120,189 50,889 129,776
Share Issued 18.4M 18.4M 12.4M 6.3M
Ordinary Shares Number 18.4M 18.4M 12.4M 6.3M
Capital Lease Obligations 61,285 73,739 79,723 87,431
Current Capital Lease Obligation 39,491 39,952 37,016 35,418
Dueto Related Parties Current 138,300 103,800 783,323 421,228
Leases 43,476 50,722 57,968 --
Other Current Borrowings 66,067 65,518 64,969 130,490
Other Equity Interest 289,940 189,940 340,568 1.1M
Other Properties 228,951 228,951 226,853 471,572
Properties 0.00 0.00 0.00 --
Taxes Receivable 9,495 3,527 2,625 2,501
Line Item Q2 2025Apr 30, 2025 Q1 2025Jan 31, 2025 Q4 2024Oct 31, 2024 Q3 2024Jul 31, 2024
Operating Cash Flow -91,344 -69,511 -7,030 -61,046
Cash Flow From Continuing Operating Activities -91,344 -69,511 -7,030 -61,096
Depreciation And Amortization 8,317 8,313 5,113 8,016
Depreciation Amortization Depletion 8,317 8,313 5,113 8,016
Change In Working Capital 84,306 38,357 197,582 96,115
Changes In Account Receivables -- -- -- -19.00
Change In Receivables -5,936 -902.00 -12,057 -2,520
Change In Payables And Accrued Expense 90,066 39,435 197,739 98,635
Other Non Cash Items 2,281 2,509 -- --
Capital Expenditure -- -2,098 -- --
Purchase Of PPE -- -2,098 -- --
Net PPE Purchase And Sale -- -2,098 22,169 --
Investing Cash Flow 0.00 -2,098 22,169 40,000
Cash Flow From Continuing Investing Activities 0.00 -2,098 22,169 40,000
Issuance Of Debt -- -- 0.00 --
Repayment Of Debt -11,993 -8,920 -21,692 -39,077
Net Issuance Payments Of Debt -11,993 -8,920 -21,692 64,723
Issuance Of Capital Stock 0.00 40,372 0.00 0.00
Net Common Stock Issuance 0.00 40,372 0.00 0.00
Financing Cash Flow 88,007 2,858 63,227 6,923
Cash Flow From Continuing Financing Activities 88,007 2,858 63,227 6,923
Changes In Cash -3,337 -68,751 78,366 -14,133
Beginning Cash Position 10,329 79,080 714.00 14,837
End Cash Position 6,992 10,329 79,080 714.00
Free Cash Flow -89,246 -71,609 -7,030 -61,046
Change In Prepaid Assets -- -176.00 -- --
Common Stock Issuance 0.00 40,372 0.00 0.00
Depreciation 8,317 8,313 5,113 8,016
Long Term Debt Issuance -- -- 0.00 --
Long Term Debt Payments -11,993 -8,920 -21,692 -39,077
Net Foreign Currency Exchange Gain Loss -6,353 -91.00 9,201 2,952
Net Income From Continuing Operations -179,895 -118,599 -330,555 -168,179
Net Long Term Debt Issuance -11,993 -8,920 -21,692 64,723
Net Other Financing Charges 100,000 -28,594 84,919 -57,800
Operating Gains Losses -6,353 -91.00 -42,901 2,952
Sale Of PPE -- -- 22,169 --
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