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Auric Resources Corp.

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 7,825 7,825 7,825 6,111 8,854
Gross Profit -7,825 -7,825 -7,825 -6,111 -8,854
Selling General And Administration 120,446 100,921 126,611 125,179 68,848
General And Administrative Expense 120,446 100,921 126,611 125,179 67,548
Operating Expense 120,446 100,921 126,611 125,179 68,848
Operating Income -128,271 -108,746 -134,436 -131,290 -77,702
EBIT -132,471 -123,788 -188,185 -131,290 -77,702
Interest Expense 3,444 3,693 3,927 6,975 2,688
Interest Expense Non Operating 3,444 3,693 3,927 6,975 2,688
Net Interest Income -3,444 -3,693 -3,927 -6,975 -2,688
Other Income Expense -4,200 -15,042 -53,749 -- --
Other Non Operating Income Expenses -4,200 -15,042 -53,749 -- --
Pretax Income -135,915 -127,481 -192,112 -138,265 -80,390
Tax Effect Of Unusual Items 0.00 0.00 0.00 0.00 0.00
Net Income From Continuing And Discontinued Operation -135,915 -127,481 -192,112 -138,265 -80,390
Net Income From Continuing Operation Net Minority Interest -135,915 -127,481 -192,112 -138,265 -80,390
Net Income Including Noncontrolling Interests -135,915 -127,481 -192,112 -138,265 -80,390
Net Income Common Stockholders -135,915 -127,481 -192,112 -138,265 -80,390
Net Income -135,915 -127,481 -192,112 -138,265 -80,390
EBITDA -124,646 -115,962 -180,360 -125,179 -68,848
Normalized EBITDA -124,646 -115,962 -180,360 -125,179 -68,848
Reconciled Depreciation 7,825 7,826 7,825 6,111 8,854
Basic EPS -0.01 0.00 -0.01 -- 0.00
Diluted EPS -0.01 0.00 -0.01 -- 0.00
Basic Average Shares 26.4M 26.4M 25.2M -- 24.5M
Diluted Average Shares 26.4M 26.4M 25.2M -- 24.5M
Tax Rate For Calcs 0.00 0.00 0.00 0.00 0.00
Normalized Income -135,915 -127,481 -192,112 -138,265 -80,390
Diluted NI Availto Com Stockholders -135,915 -127,481 -192,112 -138,265 -80,390
Net Income Continuous Operations -135,915 -127,481 -192,112 -138,265 -80,390
Net Non Operating Interest Income Expense -3,444 -3,693 -3,927 -6,975 -2,688
Other Gand A 120,446 100,921 126,611 125,179 67,548
Reconciled Cost Of Revenue 7,825 7,825 7,825 6,111 8,854
Selling And Marketing Expense 0.00 -- -- 0.00 1,300
Total Expenses 128,271 108,746 134,436 131,290 77,702
Total Operating Income As Reported -128,271 -108,746 -- -- -77,702
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 377,746 478,741 619,203 1.1M 1.2M
Cash Cash Equivalents And Short Term Investments 377,746 478,741 619,203 1.1M 1.2M
Cash Financial 377,746 478,741 619,203 1.1M 1.2M
Accounts Receivable 14,718 10,264 9,679 38,750 37,086
Receivables 14,718 10,264 9,679 38,750 37,086
Prepaid Assets 6,569 29,041 2,673 5,690 8,996
Current Assets 399,033 518,046 631,555 1.1M 1.2M
Gross PPE 1.3M 1.3M 1.3M 689,791 706,255
Accumulated Depreciation -44,344 -36,519 -28,693 -20,868 -14,757
Net PPE 1.3M 1.3M 1.3M 668,923 691,498
Total Non Current Assets 1.3M 1.3M 1.3M 668,923 691,498
Total Assets 1.7M 1.8M 1.9M 1.8M 1.9M
Current Debt And Capital Lease Obligation 30,320 28,969 27,669 26,416 31,222
Payables And Accrued Expenses 90,566 74,685 59,071 38,359 31,431
Current Liabilities 120,886 103,654 86,740 64,775 62,653
Long Term Debt And Capital Lease Obligation 60,394 68,548 76,322 83,652 98,339
Long Term Capital Lease Obligation 60,394 68,548 76,322 83,652 98,339
Total Non Current Liabilities Net Minority Interest 60,394 68,548 76,322 83,652 98,339
Total Liabilities Net Minority Interest 181,280 172,202 163,062 148,427 160,992
Common Stock 3.4M 3.4M 3.4M 3.2M 3.2M
Capital Stock 3.4M 3.4M 3.4M 3.2M 3.2M
Additional Paid In Capital 73,127 73,127 73,127 73,127 73,127
Retained Earnings -2.3M -2.2M -2.0M -1.8M -1.7M
Common Stock Equity 1.5M 1.6M 1.7M 1.6M 1.8M
Stockholders Equity 1.5M 1.6M 1.7M 1.6M 1.8M
Total Equity Gross Minority Interest 1.5M 1.6M 1.7M 1.6M 1.8M
Total Capitalization 1.5M 1.6M 1.7M 1.6M 1.8M
Net Tangible Assets 1.5M 1.6M 1.7M 1.6M 1.8M
Tangible Book Value 1.5M 1.6M 1.7M 1.6M 1.8M
Working Capital 278,147 414,392 544,815 1.0M 1.2M
Invested Capital 1.5M 1.6M 1.7M 1.6M 1.8M
Total Debt 90,714 97,517 103,991 110,068 129,561
Share Issued 26.4M 26.4M 26.4M 24.5M 24.5M
Ordinary Shares Number 26.4M 26.4M 26.4M 24.5M 24.5M
Buildings And Improvements 125,208 125,208 125,208 125,208 141,672
Capital Lease Obligations 90,714 97,517 103,991 110,068 129,561
Current Capital Lease Obligation 30,320 28,969 27,669 26,416 31,222
Other Equity Interest 273,876 273,876 273,876 183,703 183,703
Other Properties 1.2M 1.2M 1.2M 564,583 564,583
Properties 0.00 0.00 0.00 0.00 0.00
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 -90,748 -127,300 -127,560 -116,609 -57,865
Cash Flow From Continuing Operating Activities -90,749 -127,300 -127,560 -116,609 -57,865
Depreciation And Amortization 7,825 7,826 7,825 6,111 8,854
Depreciation Amortization Depletion 7,825 7,826 7,825 6,111 8,854
Change In Working Capital 33,899 -11,339 52,800 6,243 10,983
Change In Receivables -4,454 -585.00 29,071 -3,991 -2,536
Change In Payables And Accrued Expense 15,881 15,614 20,712 6,928 10,213
Other Non Cash Items 3,445 3,694 3,927 6,975 2,688
Capital Expenditure -- -2,994 -300,000 -- --
Purchase Of PPE 0.00 -2,994 -300,000 0.00 0.00
Net PPE Purchase And Sale 0.00 -2,994 -300,000 0.00 0.00
Investing Cash Flow 0.00 -2,994 -300,000 0.00 0.00
Cash Flow From Continuing Investing Activities 0.00 -2,994 -300,000 0.00 0.00
Repayment Of Debt -10,247 -10,168 -10,004 -10,004 -10,004
Net Issuance Payments Of Debt -10,247 -10,168 -10,004 -10,004 -10,004
Financing Cash Flow -10,247 -10,168 -10,004 -10,004 -10,004
Cash Flow From Continuing Financing Activities -10,247 -10,168 -10,004 -10,004 -10,004
Changes In Cash -100,995 -140,462 -437,564 -126,613 -67,869
Beginning Cash Position 478,741 619,203 1.1M 1.2M 1.3M
End Cash Position 377,746 478,741 619,203 1.1M 1.2M
Free Cash Flow -90,748 -427,300 -127,560 -116,609 -57,865
Change In Prepaid Assets 22,472 -26,368 3,017 3,306 3,306
Depreciation 7,825 7,826 7,825 6,111 8,854
Long Term Debt Payments -10,247 -10,168 -10,004 -10,004 -10,004
Net Income From Continuing Operations -135,917 -127,481 -192,112 -138,265 -80,390
Net Long Term Debt Issuance -10,247 -10,168 -10,004 -10,004 -10,004
Net Other Investing Changes 0.00 297,006 -300,000 0.00 0.00
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