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AUSVD GOLD79 MINES LTD

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  • 0.148
  • 0.0000.00%
15min DelayClose May 10 16:00 ET
3.26MMarket Cap-7.40P/E (TTM)

GOLD79 MINES LTD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
56.54%-270.23K
96.60%-14.69K
-572.51%-120.14K
45.08%-70.27K
39.38%-83.62K
30.04%-621.77K
-69.88%-431.38K
117.59%25.43K
74.38%-127.96K
-113.61%-137.96K
Net income from continuing operations
16.65%-420.39K
39.46%-94.83K
-1,592.19%-100.63K
37.57%-109.54K
35.54%-115.38K
45.39%-504.35K
17.43%-156.66K
101.87%6.74K
17.91%-175.46K
-11.85%-178.98K
Operating gains losses
----
----
----
----
----
---152.18K
---103.49K
---48.69K
----
----
Other non cash items
----
----
----
----
----
-91.80%1.85K
--956
--893
----
----
Change In working capital
341.83%145.41K
143.78%75.4K
-129.34%-19.51K
-17.31%39.27K
-22.60%31.75K
116.16%32.91K
-98.43%-172.2K
75.56%66.48K
116.62%47.5K
-28.39%41.02K
-Change in receivables
-63.73%6.73K
-42.88%4.04K
110.42%432
104.25%274
-91.03%1.98K
812.50%18.54K
132.75%7.07K
-113.04%-4.15K
68.70%-6.45K
77.44%22.07K
-Change in prepaid assets
-80.47%37.4K
186.76%20.43K
-684.76%-27.1K
-104.96%-2.32K
-71.64%46.38K
208.37%191.44K
78.50%-23.55K
-88.50%4.63K
141.26%46.81K
2,605.99%163.55K
-Change in payables and accrued expense
157.20%101.29K
132.70%50.92K
-89.15%7.16K
478.73%41.32K
88.51%-16.61K
-510.48%-177.08K
-451.13%-155.72K
292.77%65.99K
104.71%7.14K
-472.66%-144.6K
Cash from discontinued investing activities
Operating cash flow
56.54%-270.23K
96.60%-14.69K
-572.51%-120.14K
45.08%-70.27K
39.38%-83.62K
30.04%-621.77K
-69.88%-431.38K
117.59%25.43K
74.38%-127.96K
-113.61%-137.96K
Investing cash flow
Cash flow from continuing investing activities
37.84%-398.94K
-76.41%51.81K
37.18%-119.17K
63.98%-64.52K
43.83%-248.57K
32.60%-641.76K
197.98%219.63K
45.57%-189.69K
25.71%-179.1K
-584.46%-442.5K
Net PPE purchase and sale
-72.94%75K
-53.82%525.75K
37.18%-119.17K
----
43.83%-248.57K
129.11%277.18K
268.80%1.14M
-30.23%-189.69K
----
-1,009.30%-442.5K
Net other investing changes
48.43%-473.94K
----
----
63.98%-64.52K
----
---918.94K
----
----
-20.24%-179.1K
----
Cash from discontinued investing activities
Investing cash flow
37.84%-398.94K
-76.41%51.81K
37.18%-119.17K
63.98%-64.52K
43.83%-248.57K
32.60%-641.76K
197.98%219.63K
45.57%-189.69K
25.71%-179.1K
-584.46%-442.5K
Financing cash flow
Cash flow from continuing financing activities
-51.73%329.9K
0
86.27%125.79K
204.11K
-74.34%683.51K
-37.25%615.97K
67.53K
0
Net issuance payments of debt
--0
--0
--0
----
----
--1.14K
---66.4K
--67.53K
----
----
Net common stock issuance
-51.45%344.84K
--0
--134.67K
--156.35K
----
-74.37%710.29K
-29.80%710.29K
--0
--0
----
Net other financing activities
46.50%-14.94K
--0
---8.88K
--47.75K
----
73.94%-27.92K
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-51.73%329.9K
--0
86.27%125.79K
--204.11K
----
-74.34%683.51K
-37.25%615.97K
--67.53K
--0
----
Net cash flow
Beginning cash position
-57.33%431.96K
85.38%54.15K
32.10%173.22K
-77.22%101.63K
-57.33%431.96K
482.66%1.01M
-94.23%29.21K
-87.11%131.13K
-9.08%446.09K
482.66%1.01M
Current changes in cash
41.51%-339.27K
-90.82%37.13K
-17.35%-113.51K
122.57%69.32K
42.77%-332.2K
-170.48%-580.02K
-19.71%404.22K
80.38%-96.73K
-161.93%-307.05K
-283.32%-580.46K
Effect of exchange rate changes
-530.98%-2.51K
26.08%-1.09K
-7.02%-5.55K
128.65%2.27K
-86.81%1.87K
-102.53%-397
-155.30%-1.48K
71.67%-5.19K
-125.41%-7.91K
6,143.17%14.17K
End cash Position
-79.12%90.19K
-79.12%90.19K
85.38%54.15K
32.10%173.22K
-77.22%101.63K
-57.33%431.96K
-57.33%431.96K
-94.23%29.21K
-87.11%131.13K
-9.08%446.09K
Free cash flow
56.54%-270.23K
1.41%436.07K
-45.68%-239.31K
45.08%-70.27K
42.77%-332.2K
66.23%-621.77K
146.32%430.01K
43.39%-164.27K
78.37%-127.96K
-455.60%-580.46K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 56.54%-270.23K96.60%-14.69K-572.51%-120.14K45.08%-70.27K39.38%-83.62K30.04%-621.77K-69.88%-431.38K117.59%25.43K74.38%-127.96K-113.61%-137.96K
Net income from continuing operations 16.65%-420.39K39.46%-94.83K-1,592.19%-100.63K37.57%-109.54K35.54%-115.38K45.39%-504.35K17.43%-156.66K101.87%6.74K17.91%-175.46K-11.85%-178.98K
Operating gains losses -----------------------152.18K---103.49K---48.69K--------
Other non cash items ---------------------91.80%1.85K--956--893--------
Change In working capital 341.83%145.41K143.78%75.4K-129.34%-19.51K-17.31%39.27K-22.60%31.75K116.16%32.91K-98.43%-172.2K75.56%66.48K116.62%47.5K-28.39%41.02K
-Change in receivables -63.73%6.73K-42.88%4.04K110.42%432104.25%274-91.03%1.98K812.50%18.54K132.75%7.07K-113.04%-4.15K68.70%-6.45K77.44%22.07K
-Change in prepaid assets -80.47%37.4K186.76%20.43K-684.76%-27.1K-104.96%-2.32K-71.64%46.38K208.37%191.44K78.50%-23.55K-88.50%4.63K141.26%46.81K2,605.99%163.55K
-Change in payables and accrued expense 157.20%101.29K132.70%50.92K-89.15%7.16K478.73%41.32K88.51%-16.61K-510.48%-177.08K-451.13%-155.72K292.77%65.99K104.71%7.14K-472.66%-144.6K
Cash from discontinued investing activities
Operating cash flow 56.54%-270.23K96.60%-14.69K-572.51%-120.14K45.08%-70.27K39.38%-83.62K30.04%-621.77K-69.88%-431.38K117.59%25.43K74.38%-127.96K-113.61%-137.96K
Investing cash flow
Cash flow from continuing investing activities 37.84%-398.94K-76.41%51.81K37.18%-119.17K63.98%-64.52K43.83%-248.57K32.60%-641.76K197.98%219.63K45.57%-189.69K25.71%-179.1K-584.46%-442.5K
Net PPE purchase and sale -72.94%75K-53.82%525.75K37.18%-119.17K----43.83%-248.57K129.11%277.18K268.80%1.14M-30.23%-189.69K-----1,009.30%-442.5K
Net other investing changes 48.43%-473.94K--------63.98%-64.52K-------918.94K---------20.24%-179.1K----
Cash from discontinued investing activities
Investing cash flow 37.84%-398.94K-76.41%51.81K37.18%-119.17K63.98%-64.52K43.83%-248.57K32.60%-641.76K197.98%219.63K45.57%-189.69K25.71%-179.1K-584.46%-442.5K
Financing cash flow
Cash flow from continuing financing activities -51.73%329.9K086.27%125.79K204.11K-74.34%683.51K-37.25%615.97K67.53K0
Net issuance payments of debt --0--0--0----------1.14K---66.4K--67.53K--------
Net common stock issuance -51.45%344.84K--0--134.67K--156.35K-----74.37%710.29K-29.80%710.29K--0--0----
Net other financing activities 46.50%-14.94K--0---8.88K--47.75K----73.94%-27.92K----------------
Cash from discontinued financing activities
Financing cash flow -51.73%329.9K--086.27%125.79K--204.11K-----74.34%683.51K-37.25%615.97K--67.53K--0----
Net cash flow
Beginning cash position -57.33%431.96K85.38%54.15K32.10%173.22K-77.22%101.63K-57.33%431.96K482.66%1.01M-94.23%29.21K-87.11%131.13K-9.08%446.09K482.66%1.01M
Current changes in cash 41.51%-339.27K-90.82%37.13K-17.35%-113.51K122.57%69.32K42.77%-332.2K-170.48%-580.02K-19.71%404.22K80.38%-96.73K-161.93%-307.05K-283.32%-580.46K
Effect of exchange rate changes -530.98%-2.51K26.08%-1.09K-7.02%-5.55K128.65%2.27K-86.81%1.87K-102.53%-397-155.30%-1.48K71.67%-5.19K-125.41%-7.91K6,143.17%14.17K
End cash Position -79.12%90.19K-79.12%90.19K85.38%54.15K32.10%173.22K-77.22%101.63K-57.33%431.96K-57.33%431.96K-94.23%29.21K-87.11%131.13K-9.08%446.09K
Free cash flow 56.54%-270.23K1.41%436.07K-45.68%-239.31K45.08%-70.27K42.77%-332.2K66.23%-621.77K146.32%430.01K43.39%-164.27K78.37%-127.96K-455.60%-580.46K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----------Unqualified Opinion with Explanatory Notes--------
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