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Visible Gold Mines Inc.

Financial Statements (IFRS) · Amounts in CAD
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line Item Q4 2025Oct 31, 2025 Q3 2025Jul 31, 2025 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 0.00 --
Operating Revenue 0.00 0.00 0.00 0.00 0.00 --
Cost Of Revenue 4,601 4,601 4,601 4,601 4,601 --
Gross Profit -4,601 -4,601 -4,601 -4,601 -4,601 --
Selling General And Administration 78,688 58,899 90,895 103,665 55,369 --
General And Administrative Expense 76,065 56,414 88,044 101,075 53,909 --
Other Operating Expenses 5,418 5,757 116,337 11,457 3,119 --
Operating Expense 84,106 55,749 207,232 115,122 58,488 --
Operating Income -88,707 -60,350 -211,833 -119,723 -63,089 --
EBIT 2.4M -54,876 -211,744 -119,196 -62,886 --
Interest Expense 1,054 1,138 1,218 1,299 1,376 --
Interest Expense Non Operating 1,054 1,138 1,218 1,299 1,376 --
Interest Income 495.00 5,474 89.00 527.00 203.00 --
Interest Income Non Operating 495.00 5,474 89.00 527.00 203.00 --
Net Interest Income -559.00 4,336 -1,129 -772.00 -1,173 --
Other Income Expense 2.5M -- -- -- -- -389,798
Special Income Charges 2.5M 0.00 0.00 0.00 0.00 --
Pretax Income 2.4M -56,014 -212,962 -120,495 -64,262 --
Tax Effect Of Unusual Items 375,000 0.00 0.00 0.00 0.00 --
Net Income From Continuing And Discontinued Operation 2.4M -56,014 -212,962 -120,795 -64,262 --
Net Income From Continuing Operation Net Minority Interest 2.4M -56,014 -212,962 -120,795 -64,262 --
Net Income Including Noncontrolling Interests 2.4M -56,014 -212,962 -120,495 -64,262 --
Net Income Common Stockholders 2.4M -56,014 -212,962 -120,795 -64,262 --
Net Income 2.4M -56,014 -212,962 -120,795 -64,262 --
EBITDA 2.4M -50,275 -207,143 -114,595 -58,285 --
Normalized EBITDA -83,611 -50,275 -207,143 -114,595 -58,285 --
Reconciled Depreciation 4,601 4,601 4,601 4,601 4,601 --
Basic EPS 0.07 -- -0.01 0.00 0.00 --
Diluted EPS 0.07 -- -0.01 0.00 0.00 --
Basic Average Shares 37.2M -- 37.2M 36.9M 35.2M --
Diluted Average Shares 37.2M -- 37.2M 36.9M 35.2M --
Total Unusual Items 2.5M 0.00 0.00 0.00 0.00 --
Total Unusual Items Excluding Goodwill 2.5M 0.00 0.00 0.00 0.00 --
Tax Rate For Calcs 0.15 0.00 0.00 0.00 0.00 --
Normalized Income 285,734 -56,014 -212,962 -120,795 -64,262 --
Diluted NI Availto Com Stockholders 2.4M -56,014 -212,962 -120,795 -64,262 --
Gain On Sale Of Ppe 2.5M 0.00 0.00 0.00 0.00 --
Net Income Continuous Operations 2.4M -56,014 -212,962 -120,495 -64,262 --
Net Non Operating Interest Income Expense -559.00 4,336 -1,129 -772.00 -1,173 --
Other Gand A 76,065 56,414 55,744 101,075 53,909 --
Reconciled Cost Of Revenue 4,601 4,601 4,601 4,601 4,601 --
Salaries And Wages 0.00 0.00 32,300 0.00 0.00 --
Selling And Marketing Expense 2,623 2,485 2,851 2,590 1,460 --
Total Expenses 88,707 60,350 211,833 119,723 63,089 --
Total Operating Income As Reported 2.4M -54,943 -211,833 -119,723 -63,089 --
Line Item Q4 2025Oct 31, 2025 Q3 2025Jul 31, 2025 Q2 2025Apr 30, 2025 Q1 2025Jan 31, 2025 Q4 2024Oct 31, 2024 Q3 2024Jul 31, 2024
Cash And Cash Equivalents 100,873 16,391 22,856 25,286 14,602 --
Cash Cash Equivalents And Short Term Investments 100,873 16,391 22,856 25,286 14,602 --
Cash Financial 100,873 16,391 22,856 25,286 14,602 --
Accounts Receivable -- -- -- 4,342 2,537 0.00
Receivables 21,059 13,302 20,968 21,298 20,090 --
Prepaid Assets 6,728 785.00 2,948 6,450 7,698 --
Current Assets 128,660 30,478 46,772 53,034 42,390 --
Gross PPE 92,025 92,025 92,025 92,025 92,025 --
Accumulated Depreciation -44,081 -39,480 -34,879 -30,278 -25,677 --
Net PPE 47,944 52,545 57,146 61,747 66,348 --
Investments And Advances 1.9M 59,375 47,500 71,250 95,000 --
Total Non Current Assets 1.9M 111,920 104,646 132,997 161,348 --
Total Assets 2.0M 142,398 151,418 186,031 203,738 --
Current Debt 18,764 18,417 18,076 17,749 17,414 --
Current Debt And Capital Lease Obligation 18,764 18,417 18,076 17,749 17,414 --
Accounts Payable 32,054 563,922 488,284 302,919 320,211 --
Payables 32,054 594,731 547,370 373,259 390,551 --
Payables And Accrued Expenses 32,054 594,731 547,370 373,259 390,551 --
Current Liabilities 76,322 638,652 588,826 414,388 431,345 --
Long Term Debt 34,562 39,385 44,119 48,758 53,325 --
Long Term Debt And Capital Lease Obligation 34,562 39,385 44,119 48,758 53,325 --
Total Non Current Liabilities Net Minority Interest 34,562 39,385 44,119 48,758 53,325 --
Total Liabilities Net Minority Interest 110,884 678,037 632,945 463,146 484,670 --
Common Stock 23.7M 23.7M 23.7M 23.7M 23.6M --
Capital Stock 23.7M 23.7M 23.7M 23.7M 23.6M --
Additional Paid In Capital 6.2M 6.2M 6.2M 6.2M 6.2M --
Retained Earnings -27.9M -30.4M -30.3M -30.1M -30.0M --
Gains Losses Not Affecting Retained Earnings -87,625 -137,625 -149,500 -125,750 -102,000 --
Other Equity Adjustments -87,625 -137,625 -149,500 -125,750 -102,000 --
Common Stock Equity 1.9M -535,639 -481,527 -277,115 -280,932 --
Stockholders Equity 1.9M -535,639 -481,527 -277,115 -280,932 --
Total Equity Gross Minority Interest 1.9M -535,639 -481,527 -277,115 -280,932 --
Total Capitalization 2.0M -496,254 -437,408 -228,357 -227,607 --
Net Tangible Assets 1.9M -535,639 -481,527 -277,115 -280,932 --
Tangible Book Value 1.9M -535,639 -481,527 -277,115 -280,932 --
Working Capital 52,338 -608,174 -542,054 -361,354 -388,955 --
Invested Capital 2.0M -477,837 -419,332 -210,608 -210,193 --
Total Debt 53,326 57,802 62,195 66,507 70,739 --
Net Debt -- 41,411 39,339 41,221 56,137 41,281
Share Issued 37.2M 37.2M 37.2M 37.2M 35.2M --
Ordinary Shares Number 37.2M 37.2M 37.2M 37.2M 35.2M --
Available For Sale Securities 1.9M 59,375 47,500 71,250 95,000 --
Investmentin Financial Assets 1.9M 59,375 47,500 71,250 95,000 --
Machinery Furniture Equipment 92,025 92,025 92,025 92,025 92,025 --
Non Current Deferred Assets -- 0.00 -- -- -- 0.00
Other Current Borrowings 18,764 18,417 18,076 17,749 17,414 --
Pensionand Other Post Retirement Benefit Plans Current 25,504 25,504 23,380 23,380 23,380 --
Taxes Receivable 21,059 13,302 20,968 16,956 17,553 --
Total Tax Payable 0.00 30,809 59,086 70,340 70,340 --
Line Item Q4 2025Oct 31, 2025 Q3 2025Jul 31, 2025 Q2 2025Apr 30, 2025 Q1 2025Jan 31, 2025 Q4 2024Oct 31, 2024 Q3 2024Jul 31, 2024
Operating Cash Flow -661,042 7,901 1,882 -133,145 -14,857 --
Cash Flow From Continuing Operating Activities -661,042 7,901 1,882 -133,145 -14,857 --
Depreciation And Amortization 4,601 4,601 4,601 4,601 4,601 --
Depreciation Amortization Depletion 4,601 4,601 4,601 4,601 4,601 --
Stock Based Compensation 0.00 0.00 32,300 0.00 0.00 --
Change In Working Capital -576,377 57,190 177,943 -17,251 44,804 --
Changes In Account Receivables 0.00 0.00 4,342 -1,805 -2,537 --
Change In Receivables -7,757 7,666 330.00 -1,208 -11,295 --
Change In Payables And Accrued Expense -562,677 47,361 174,111 -17,291 62,048 --
Change In Payable -562,677 47,361 174,111 -17,291 62,048 --
Purchase Of PPE 0.00 -- 0.00 0.00 0.00 0.00
Net PPE Purchase And Sale 750,000 0.00 0.00 0.00 0.00 --
Investing Cash Flow 750,000 0.00 0.00 0.00 0.00 --
Cash Flow From Continuing Investing Activities 750,000 0.00 0.00 0.00 0.00 --
Repayment Of Debt -4,476 -4,393 -4,312 -4,233 -4,154 --
Net Issuance Payments Of Debt -4,476 -4,393 -4,312 -4,233 -4,154 --
Issuance Of Capital Stock -- 0.00 0.00 -- -- 0.00
Net Common Stock Issuance -- 0.00 0.00 -- -- 0.00
Financing Cash Flow -4,476 -14,366 -4,312 143,829 -4,154 --
Cash Flow From Continuing Financing Activities -4,476 -14,366 -4,312 143,829 -4,154 --
Changes In Cash 84,482 -6,465 -2,430 10,684 -19,011 --
Beginning Cash Position 16,391 22,856 25,286 14,602 33,613 --
End Cash Position 100,873 16,391 22,856 25,286 14,602 --
Free Cash Flow -661,042 7,901 1,882 -133,145 -14,857 --
Change In Account Payable -531,868 75,638 -- -- 62,048 --
Change In Income Tax Payable -30,809 -28,277 -- -- 0.00 --
Change In Prepaid Assets -5,943 2,163 3,502 1,248 -5,949 --
Change In Tax Payable -30,809 -28,277 -- -- 0.00 --
Common Stock Issuance -- 0.00 0.00 -- -- 0.00
Depreciation 4,601 4,601 4,601 4,601 4,601 --
Gain Loss On Sale Of PPE -2.5M 0.00 0.00 0.00 0.00 --
Long Term Debt Payments -4,476 -4,393 -4,312 -4,233 -4,154 --
Net Income From Continuing Operations 2.4M -56,014 -212,962 -120,495 -64,262 --
Net Long Term Debt Issuance -4,476 -4,393 -4,312 -4,233 -4,154 --
Net Other Financing Charges -- -9,973 0.00 -- -- --
Net Other Investing Changes -- -- -- -- -- 0.00
Operating Gains Losses -2.5M -- -- -- -- -168,612
Sale Of PPE 750,000 0.00 0.00 0.00 0.00 --
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