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Resouro Strategic Metals Inc.

Financial Statements (IFRS) · Amounts in CAD
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line Item FY 2025Mar 31, 2025 FY 2024Mar 31, 2024 FY 2023Mar 31, 2023 FY 2022Mar 31, 2022
Total Revenue 0.00 0.00 0.00 --
Operating Revenue 0.00 0.00 0.00 --
Cost Of Revenue 75,029 15,280 1,294 --
Gross Profit -75,029 -15,280 -1,294 --
Selling General And Administration 3.6M 3.6M 893,394 --
General And Administrative Expense 3.6M 3.6M 893,394 --
Other Operating Expenses 2.8M 103,941 1.7M --
Operating Expense 6.4M 3.7M 2.6M --
Operating Income -6.5M -3.7M -2.6M --
EBIT -6.5M -3.7M -4.5M --
Interest Expense -- 2,460 341.00 --
Interest Expense Non Operating -- 2,460 341.00 --
Interest Income 171,575 12,025 7,405 --
Interest Income Non Operating 171,575 12,025 7,405 --
Net Interest Income 171,575 12,025 7,064 --
Other Income Expense 63,772 -14,601 -1.9M --
Other Non Operating Income Expenses -- 21,856 -- --
Special Income Charges -- 0.00 -1.8M --
Restructuring And Mergern Acquisition -- 0.00 1.8M --
Gain On Sale Of Security 63,772 -36,457 -55,508 --
Pretax Income -6.3M -3.7M -4.5M --
Tax Effect Of Unusual Items 0.00 0.00 0.00 --
Net Income From Continuing And Discontinued Operation -6.1M -3.7M -4.5M --
Net Income From Continuing Operation Net Minority Interest -6.1M -3.7M -4.5M --
Net Income Including Noncontrolling Interests -6.3M -3.7M -4.5M --
Minority Interests 236,759 4,680 0.00 --
Net Income Common Stockholders -6.1M -3.7M -4.5M --
Net Income -6.1M -3.7M -4.5M --
EBITDA -6.4M -3.7M -4.5M --
Normalized EBITDA -6.5M -3.6M -2.6M --
Reconciled Depreciation 75,029 15,280 1,209 --
Basic EPS -0.07 -0.06 -0.10 --
Diluted EPS -0.07 -0.06 -0.10 --
Basic Average Shares 89.2M 62.9M 43.1M --
Diluted Average Shares 89.2M 62.9M 43.1M --
Total Unusual Items 63,772 -36,457 -1.9M --
Total Unusual Items Excluding Goodwill 63,772 -36,457 -1.9M --
Tax Rate For Calcs 0.00 0.00 0.00 --
Normalized Income -6.1M -3.7M -2.6M --
Diluted NI Availto Com Stockholders -6.1M -3.7M -4.5M --
Net Income Continuous Operations -6.3M -3.7M -4.5M --
Net Non Operating Interest Income Expense 171,575 12,025 7,064 --
Other Gand A 3.4M 2.2M 893,394 --
Reconciled Cost Of Revenue 75,029 15,280 1,294 --
Salaries And Wages 243,390 1.4M 0.00 --
Total Expenses 6.5M 3.7M 2.6M --
Line Item FY 2025Mar 31, 2025 FY 2024Mar 31, 2024 FY 2023Mar 31, 2023 FY 2022Mar 31, 2022
Cash And Cash Equivalents 1.8M 1.9M 6,759 9,470
Cash Cash Equivalents And Short Term Investments 1.8M 1.9M 6,759 9,470
Cash Financial 1.8M 1.9M 6,759 9,470
Accounts Receivable 26,800 29,193 45,717 28,441
Receivables 26,800 29,193 45,717 28,441
Prepaid Assets 54,958 23,010 3,899 0.00
Current Assets 1.9M 2.0M 56,375 37,911
Gross PPE 6.0M 5.9M 1.1M 1.0M
Accumulated Depreciation -50,292 -4,589 -1,294 -88.00
Net PPE 6.0M 5.9M 1.1M 1.0M
Total Non Current Assets 6.0M 5.9M 1.1M 1.0M
Total Assets 7.9M 7.8M 1.2M 1.1M
Current Debt -- -- -- 190,656
Current Debt And Capital Lease Obligation 5,789 32,857 -- 190,656
Accounts Payable 105,342 870,940 246,200 472,220
Payables 205,361 969,625 507,299 779,634
Payables And Accrued Expenses 267,361 1.0M 1.1M 801,867
Current Accrued Expenses 62,000 67,768 613,357 22,233
Other Current Liabilities -- -101,538 -- --
Current Liabilities 273,150 1.1M 1.1M 992,523
Long Term Debt And Capital Lease Obligation 0.00 2,351 0.00 --
Long Term Capital Lease Obligation 0.00 2,351 0.00 --
Other Non Current Liabilities -- 1.00 -- --
Total Non Current Liabilities Net Minority Interest 0.00 2,351 0.00 0.00
Total Liabilities Net Minority Interest 273,150 1.1M 1.1M 992,523
Common Stock 19.5M 13.0M 5.8M 1.7M
Capital Stock 19.5M 13.0M 5.8M 1.7M
Additional Paid In Capital 3.5M 2.8M 0.00 --
Retained Earnings -15.9M -9.8M -6.1M -1.6M
Gains Losses Not Affecting Retained Earnings 32,087 32,087 32,087 64,743
Common Stock Equity 7.6M 6.5M 52,340 90,832
Stockholders Equity 7.6M 6.5M 52,340 90,832
Total Equity Gross Minority Interest 7.6M 6.8M 52,340 90,832
Minority Interest 17,080 253,839 0.00 --
Total Capitalization 7.6M 6.5M 52,340 90,832
Net Tangible Assets 7.6M 6.5M 52,340 90,832
Tangible Book Value 7.6M 6.5M 52,340 90,832
Working Capital 1.7M 903,225 -1.1M -954,612
Invested Capital 7.6M 6.5M 52,340 281,488
Total Debt 5,789 35,208 0.00 190,656
Net Debt -- -- -- 181,186
Share Issued 92.6M 76.2M 44.0M 44.0M
Ordinary Shares Number 92.6M 76.2M 44.0M 44.0M
Buildings And Improvements 7,849 36,740 -- --
Capital Lease Obligations 5,789 35,208 0.00 --
Current Capital Lease Obligation 5,789 32,857 0.00 --
Dueto Related Parties Current 100,019 98,685 261,099 307,414
Foreign Currency Translation Adjustments 32,087 32,087 32,087 64,743
Machinery Furniture Equipment 264,430 199,376 15,528 1,271
Other Current Borrowings -- -- -- 190,656
Other Equity Interest 464,274 464,274 359,707 --
Other Properties 5.7M 5.6M 1.1M 1.0M
Properties 0.00 0.00 -- --
Treasury Shares Number -- 0.00 -- --
Line Item FY 2025Mar 31, 2025 FY 2024Mar 31, 2024 FY 2023Mar 31, 2023 FY 2022Mar 31, 2022
Operating Cash Flow -6.8M -2.8M -1.8M --
Cash Flow From Continuing Operating Activities -6.8M -2.8M -1.8M --
Depreciation And Amortization 75,029 15,280 1,209 --
Depreciation Amortization Depletion 75,029 15,280 1,209 --
Stock Based Compensation 243,390 1.4M 0.00 --
Change In Working Capital -800,022 -523,829 -287,597 --
Changes In Account Receivables 2,393 17,934 -14,621 --
Change In Receivables 2,393 17,934 -14,621 --
Change In Payables And Accrued Expense -770,467 -540,701 -269,077 --
Change In Payable -770,467 -540,701 -269,077 --
Other Non Cash Items 3,317 2,460 1.8M --
Capital Expenditure -69,307 -1.2M -14,257 --
Purchase Of PPE -69,307 -1.2M -635,487 --
Net PPE Purchase And Sale -69,307 -1.2M -14,257 --
Purchase Of Business -- -1.2M 0.00 --
Sale Of Business 0.00 48,713 106,780 --
Investing Cash Flow -119,307 -1.4M -528,707 --
Cash Flow From Continuing Investing Activities -119,307 -1.4M -528,707 --
Issuance Of Debt -- -- 0.00 --
Repayment Of Debt -32,737 -15,977 0.00 --
Net Issuance Payments Of Debt -32,737 -15,977 0.00 --
Issuance Of Capital Stock 6.8M 6.4M 2.4M --
Net Common Stock Issuance 6.8M 6.4M 2.4M --
Financing Cash Flow 6.8M 6.2M 2.3M --
Cash Flow From Continuing Financing Activities 6.8M 6.2M 2.3M --
Changes In Cash -77,608 1.9M -2,711 --
Beginning Cash Position 1.9M 6,759 9,470 --
End Cash Position 1.8M 1.9M 6,759 --
Free Cash Flow -6.8M -4.0M -1.8M --
Asset Impairment Charge -- 0.00 1.1M --
Change In Account Payable -771,801 -639,386 -269,077 --
Change In Prepaid Assets -31,948 -1,062 -3,899 --
Common Stock Issuance 6.8M 6.4M 2.4M --
Depreciation 75,029 15,280 1,209 --
Long Term Debt Payments -32,737 -15,977 0.00 --
Net Business Purchase And Sale 0.00 48,713 106,780 --
Net Foreign Currency Exchange Gain Loss 0.00 0.00 55,508 --
Net Income From Continuing Operations -6.3M -3.7M -4.5M --
Net Long Term Debt Issuance -32,737 -15,977 0.00 --
Net Other Financing Charges -- -261,099 -46,315 --
Net Other Investing Changes -50,000 -274,225 -621,230 --
Net Short Term Debt Issuance -- -- 0.00 --
Operating Gains Losses -- -- 55,508 --
Proceeds From Stock Option Exercised 46,375 0.00 -- --
Short Term Debt Issuance -- -- 0.00 --
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