Financials data is unavailable for this security.
Cash flow in CADView more
In 2023, Spanish Mountain Gold Ltd increased its cash reserves by 17.44%, or 491.01k. Cash Flow from Financing totalled 6.06m or -- of revenues. In addition the company used 2.28m for operations while cash used for investing totalled 3.29m.
Cash flow per share | -0.0068 |
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Price/Cash flow per share | -- |
Book value per share | 0.2542 |
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Tangible book value per share | 0.2542 |
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Balance sheet in CADView more
Current ratio | 5.99 |
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Quick ratio | -- |
Total debt/total equity | 0.0027 |
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Total debt/total capital | 0.0026 |
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