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Murchison Minerals 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
Selling General And Administration 345,936 87,051 29,110 260,477 24,930
General And Administrative Expense 345,936 87,051 29,110 260,477 24,930
Other Operating Expenses 318,464 203,459 194,999 16,875 214,326
Operating Expense 664,400 290,510 224,109 277,352 239,256
Operating Income -664,400 -290,510 -224,109 -277,352 -239,256
EBIT -664,400 -290,510 -224,109 -277,352 -239,256
Interest Income 5,475 2,047 3,413 3,207 2,403
Interest Income Non Operating 5,475 2,047 3,413 3,207 2,403
Net Interest Income 5,475 2,047 3,413 3,207 2,403
Other Income Expense 53,462 22,141 22,821 34,697 22,991
Other Non Operating Income Expenses 53,462 22,141 22,821 34,697 22,991
Pretax Income -605,463 -266,322 -197,875 -239,448 -213,862
Tax Effect Of Unusual Items 0.00 0.00 0.00 0.00 0.00
Net Income From Continuing And Discontinued Operation -605,463 -266,322 -197,875 -239,448 -213,862
Net Income From Continuing Operation Net Minority Interest -605,463 -266,322 -197,875 -239,448 -213,862
Net Income Including Noncontrolling Interests -605,463 -266,322 -197,875 -239,448 -213,862
Net Income Common Stockholders -605,463 -266,322 -197,875 -239,448 -213,862
Net Income -605,463 -266,322 -197,875 -239,448 -213,862
EBITDA -662,835 -283,629 -217,229 -272,130 -228,105
Normalized EBITDA -662,835 -283,629 -217,229 -272,130 -228,105
Reconciled Depreciation 1,565 6,881 6,880 5,222 11,151
Basic EPS -0.02 -0.02 0.00 -- -0.02
Diluted EPS -0.02 -0.02 0.00 -- -0.02
Basic Average Shares 18.3M 14.9M 14.9M -- 13.0M
Diluted Average Shares 18.3M 14.9M 14.9M -- 13.0M
Tax Rate For Calcs 0.00 0.00 0.00 0.00 0.00
Normalized Income -605,463 -266,322 -197,875 -239,448 -213,862
Diluted NI Availto Com Stockholders -605,463 -266,322 -197,875 -239,448 -213,862
Net Income Continuous Operations -605,463 -266,322 -197,875 -239,448 -213,862
Net Non Operating Interest Income Expense 5,475 2,047 3,413 3,207 2,403
Other Gand A 23,376 87,051 29,110 27,063 24,930
Salaries And Wages 322,560 -- -- 233,414 0.00
Total Expenses 664,400 290,510 224,109 277,352 239,256
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 1.8M 881,757 525,484 718,166 212,598
Cash Cash Equivalents And Short Term Investments 1.8M 881,757 525,484 718,166 212,598
Cash Financial 1.8M 881,757 525,484 718,166 212,598
Receivables 108,033 53,233 58,397 71,460 257,010
Current Assets 1.9M 934,990 583,881 789,626 469,608
Gross PPE 302,572 276,422 276,422 276,422 276,422
Accumulated Depreciation -197,035 -195,470 -188,589 -181,709 -176,487
Net PPE 105,537 80,952 87,833 94,713 99,935
Total Non Current Assets 105,537 80,952 87,833 94,713 99,935
Total Assets 2.0M 1.0M 671,714 884,339 569,543
Current Debt 7,706 10,165 10,578 10,578 10,578
Current Debt And Capital Lease Obligation 7,706 10,165 10,578 10,578 10,578
Payables And Accrued Expenses 86,710 132,958 47,856 37,410 75,170
Other Current Liabilities 246,407 58,202 80,343 103,164 11,181
Current Liabilities 340,823 751,325 138,777 151,152 96,929
Long Term Debt -- -- 1,998 4,373 6,694
Long Term Debt And Capital Lease Obligation -- -- 1,998 4,373 6,694
Total Non Current Liabilities Net Minority Interest 0.00 0.00 1,998 4,373 6,694
Total Liabilities Net Minority Interest 340,823 751,325 140,775 155,525 103,623
Common Stock 45.5M 43.8M 43.8M 43.8M 43.4M
Capital Stock 45.5M 43.8M 43.8M 43.8M 43.4M
Retained Earnings -45.8M -45.4M -45.3M -45.1M -45.1M
Common Stock Equity 1.7M 264,617 530,939 728,814 465,920
Stockholders Equity 1.7M 264,617 530,939 728,814 465,920
Total Equity Gross Minority Interest 1.7M 264,617 530,939 728,814 465,920
Total Capitalization 1.7M 264,617 532,937 733,187 472,614
Net Tangible Assets 1.7M 264,617 530,939 728,814 465,920
Tangible Book Value 1.7M 264,617 530,939 728,814 465,920
Working Capital 1.6M 183,665 445,104 638,474 372,679
Invested Capital 1.7M 274,782 543,515 743,765 483,192
Total Debt 7,706 10,165 12,576 14,951 17,272
Share Issued 20.8M 14.9M 14.9M 14.9M 13.0M
Ordinary Shares Number 20.8M 14.9M 14.9M 14.9M 13.0M
Buildings And Improvements 125,016 98,866 98,866 98,866 98,866
Current Deferred Liabilities -- 550,000 -- -- --
Machinery Furniture Equipment 6,602 6,602 6,602 6,602 6,602
Other Current Borrowings 7,706 10,165 10,578 10,578 10,578
Other Equity Interest 1.9M 1.9M 2.0M 2.0M 2.1M
Other Receivables 82,025 36,709 43,882 52,839 69,321
Taxes Receivable 26,008 16,524 14,515 18,621 187,689
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 -985,848 358,684 -190,307 -119,453 -98,120
Cash Flow From Continuing Operating Activities -985,848 358,684 -190,307 -119,453 -98,120
Depreciation And Amortization 1,565 6,881 6,880 5,222 11,151
Depreciation Amortization Depletion 1,565 6,881 6,880 5,222 11,151
Stock Based Compensation 322,560 -- -- 0.00 0.00
Change In Working Capital -651,048 640,266 23,509 147,790 113,932
Change In Receivables -54,800 5,164 13,063 185,550 128,159
Change In Payables And Accrued Expense -596,248 635,102 10,446 -37,760 -14,227
Change In Payable -- 635,102 -- -- --
Other Non Cash Items -53,462 -22,141 -22,821 -33,017 -9,341
Capital Expenditure -26,150 -- -- -- --
Purchase Of PPE -26,150 -- -- -- 0.00
Net PPE Purchase And Sale -26,150 -- -- -- 0.00
Investing Cash Flow -26,150 -- -- -- 0.00
Cash Flow From Continuing Investing Activities -26,150 -- -- -- 0.00
Repayment Of Debt -2,459 -2,411 -2,375 -2,321 -2,264
Net Issuance Payments Of Debt -2,459 -2,411 -2,375 -2,321 -2,264
Issuance Of Capital Stock 2.0M -- -- 687,500 0.00
Net Common Stock Issuance 2.0M -- -- 687,500 0.00
Financing Cash Flow 1.9M -2,411 -2,375 625,021 -2,264
Cash Flow From Continuing Financing Activities 1.9M -2,411 -2,375 625,021 -2,264
Changes In Cash 926,778 356,273 -192,682 505,568 -100,384
Beginning Cash Position 881,757 525,484 718,166 212,598 312,982
End Cash Position 1.8M 881,757 525,484 718,166 212,598
Free Cash Flow -1.0M 358,684 -190,307 -119,453 -98,120
Amortization Cash Flow 1,565 6,881 -- -- 11,151
Amortization Of Intangibles 1,565 6,881 -- -- 11,151
Change In Account Payable -- 635,102 -- -- --
Common Stock Issuance 2.0M -- -- 687,500 0.00
Depreciation -- -- 6,880 -- --
Long Term Debt Payments -2,459 -2,411 -2,375 -2,321 -2,264
Net Income From Continuing Operations -605,463 -266,322 -197,875 -239,448 -213,862
Net Long Term Debt Issuance -2,459 -2,411 -2,375 -2,321 -2,264
Net Other Financing Charges -58,765 -- -- -- --
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