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GBRRF GABRIEL RESOURCES

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  • 0.011200
  • +0.000300+2.75%
15min DelayClose Sep 6 16:00 ET
14.07MMarket Cap-746P/E (TTM)

GABRIEL RESOURCES Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-36.91%-4.04M
-21.47%-2.48M
-27.27%-10.56M
-97.87%-3.25M
4.01%-2.32M
-69.13%-2.95M
18.07%-2.05M
26.87%-8.3M
27.36%-1.64M
-1.94%-2.42M
Net income from continuing operations
-22.03%-3.23M
10.75%-1.82M
-222.25%-24.94M
-539.94%-16.89M
-136.81%-3.37M
5.53%-2.65M
-132.27%-2.04M
61.11%-7.74M
-17.18%-2.64M
52.43%-1.42M
Operating gains losses
210.31%107K
3,350.00%138K
99.11%-13K
-7.69%-56K
277.78%136K
-3,133.33%-97K
100.28%4K
-1,029.46%-1.46M
11.86%-52K
119.15%36K
Depreciation and amortization
0.00%3K
0.00%3K
-56.00%11K
-60.00%2K
-57.14%3K
-50.00%3K
-57.14%3K
-19.35%25K
-28.57%5K
0.00%7K
Other non cash items
9,250.00%183K
4,600.00%45K
16.67%-5K
50.00%-1K
0.00%-1K
0.00%-2K
0.00%-1K
-100.11%-6K
60.00%-2K
50.00%-1K
Change In working capital
-395.63%-1.02M
-180.44%-181K
15,159.34%13.89M
2,682.39%13.27M
158.91%595K
-123.41%-206K
187.89%225K
-96.01%91K
238.30%477K
-901.59%-1.01M
-Change in receivables
400.00%21K
-169.23%-45K
1,116.67%61K
-91.35%32K
90.27%-29K
50.00%-7K
201.56%65K
-105.22%-6K
1,188.24%370K
-580.65%-298K
-Change in prepaid assets
-707.92%-1.46M
20.62%-281K
74.70%145K
33.67%131K
-60.00%128K
217.65%240K
-170.23%-354K
186.46%83K
380.00%98K
114.77%320K
-Change in payables and accrued expense
194.99%417K
-71.98%144K
792.86%125K
-7,344.44%-652K
168.02%702K
-139.98%-439K
942.62%514K
-99.38%14K
-95.54%9K
-1,240.26%-1.03M
-Change in other current liabilities
----
----
---206K
--0
----
----
----
--0
--0
----
-Change in other working capital
--0
--1K
--13.76M
----
----
----
----
----
----
----
Cash from discontinued investing activities
Operating cash flow
-36.91%-4.04M
-21.52%-2.49M
-27.27%-10.56M
-97.87%-3.25M
4.01%-2.32M
-69.13%-2.95M
18.07%-2.05M
26.87%-8.3M
27.36%-1.64M
-1.94%-2.42M
Investing cash flow
Cash flow from continuing investing activities
0.00%-1K
-123.33%-7K
-99.74%9K
-106.46%-19K
-100.13%-1K
-100.12%-1K
-98.07%30K
308.65%3.49M
-64.10%294K
5,360.00%789K
Net PPE purchase and sale
50.00%-1K
---7K
-101.67%-24K
-2,000.00%-21K
---1K
-100.57%-2K
--0
--1.44M
---1K
--0
Net other investing changes
----
----
-98.39%33K
-99.32%2K
--0
-99.80%1K
-93.46%30K
140.35%2.06M
-63.98%295K
5,360.00%789K
Cash from discontinued investing activities
Investing cash flow
0.00%-1K
-123.33%-7K
-99.74%9K
-106.46%-19K
-100.13%-1K
-100.12%-1K
-98.07%30K
308.65%3.49M
-64.10%294K
5,360.00%789K
Financing cash flow
Cash flow from continuing financing activities
-32.00%4.35M
54K
36.91%9.62M
3.23M
-150.00%-1K
6.39M
0
-2.52%7.03M
0
101.44%2K
Net common stock issuance
----
----
-9.48%6.44M
--0
--0
----
----
-4.56%7.12M
--0
200.00%1K
Proceeds from stock option exercised by employees
--0
--54K
--3.23M
----
----
--0
--0
--0
----
----
Net other financing activities
----
----
40.00%-54K
--0
-200.00%-1K
----
----
62.03%-90K
--0
100.72%1K
Cash from discontinued financing activities
Financing cash flow
-32.00%4.35M
--54K
36.91%9.62M
--3.23M
-150.00%-1K
--6.39M
--0
-2.52%7.03M
--0
101.44%2K
Net cash flow
Beginning cash position
-39.78%2.17M
-17.97%4.61M
70.80%5.62M
-33.54%4.64M
-16.97%7.05M
54.19%3.61M
70.80%5.62M
-49.23%3.29M
47.27%6.99M
20.52%8.49M
Current changes in cash
-91.05%308K
-20.99%-2.44M
-141.88%-931K
97.55%-33K
-42.75%-2.32M
-43.99%3.44M
-113.23%-2.02M
167.71%2.22M
6.46%-1.35M
35.58%-1.63M
Effect of exchange rate changes
-500.00%-4K
-100.00%-2K
-173.83%-79K
--0
-161.24%-79K
-83.33%1K
87.50%-1K
16.30%107K
-42.86%-20K
-43.91%129K
End cash Position
-64.88%2.48M
-39.78%2.17M
-17.97%4.61M
-17.97%4.61M
-33.54%4.64M
-16.97%7.05M
54.19%3.61M
70.80%5.62M
70.80%5.62M
47.27%6.99M
Free cash flow
-36.85%-4.04M
-21.86%-2.49M
-27.50%-10.59M
-99.03%-3.27M
3.97%-2.32M
-69.25%-2.95M
18.17%-2.05M
26.83%-8.3M
27.31%-1.64M
-1.94%-2.42M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
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CAD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
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--
--
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Unqualified Opinion with Explanatory Notes
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -36.91%-4.04M-21.47%-2.48M-27.27%-10.56M-97.87%-3.25M4.01%-2.32M-69.13%-2.95M18.07%-2.05M26.87%-8.3M27.36%-1.64M-1.94%-2.42M
Net income from continuing operations -22.03%-3.23M10.75%-1.82M-222.25%-24.94M-539.94%-16.89M-136.81%-3.37M5.53%-2.65M-132.27%-2.04M61.11%-7.74M-17.18%-2.64M52.43%-1.42M
Operating gains losses 210.31%107K3,350.00%138K99.11%-13K-7.69%-56K277.78%136K-3,133.33%-97K100.28%4K-1,029.46%-1.46M11.86%-52K119.15%36K
Depreciation and amortization 0.00%3K0.00%3K-56.00%11K-60.00%2K-57.14%3K-50.00%3K-57.14%3K-19.35%25K-28.57%5K0.00%7K
Other non cash items 9,250.00%183K4,600.00%45K16.67%-5K50.00%-1K0.00%-1K0.00%-2K0.00%-1K-100.11%-6K60.00%-2K50.00%-1K
Change In working capital -395.63%-1.02M-180.44%-181K15,159.34%13.89M2,682.39%13.27M158.91%595K-123.41%-206K187.89%225K-96.01%91K238.30%477K-901.59%-1.01M
-Change in receivables 400.00%21K-169.23%-45K1,116.67%61K-91.35%32K90.27%-29K50.00%-7K201.56%65K-105.22%-6K1,188.24%370K-580.65%-298K
-Change in prepaid assets -707.92%-1.46M20.62%-281K74.70%145K33.67%131K-60.00%128K217.65%240K-170.23%-354K186.46%83K380.00%98K114.77%320K
-Change in payables and accrued expense 194.99%417K-71.98%144K792.86%125K-7,344.44%-652K168.02%702K-139.98%-439K942.62%514K-99.38%14K-95.54%9K-1,240.26%-1.03M
-Change in other current liabilities -----------206K--0--------------0--0----
-Change in other working capital --0--1K--13.76M----------------------------
Cash from discontinued investing activities
Operating cash flow -36.91%-4.04M-21.52%-2.49M-27.27%-10.56M-97.87%-3.25M4.01%-2.32M-69.13%-2.95M18.07%-2.05M26.87%-8.3M27.36%-1.64M-1.94%-2.42M
Investing cash flow
Cash flow from continuing investing activities 0.00%-1K-123.33%-7K-99.74%9K-106.46%-19K-100.13%-1K-100.12%-1K-98.07%30K308.65%3.49M-64.10%294K5,360.00%789K
Net PPE purchase and sale 50.00%-1K---7K-101.67%-24K-2,000.00%-21K---1K-100.57%-2K--0--1.44M---1K--0
Net other investing changes ---------98.39%33K-99.32%2K--0-99.80%1K-93.46%30K140.35%2.06M-63.98%295K5,360.00%789K
Cash from discontinued investing activities
Investing cash flow 0.00%-1K-123.33%-7K-99.74%9K-106.46%-19K-100.13%-1K-100.12%-1K-98.07%30K308.65%3.49M-64.10%294K5,360.00%789K
Financing cash flow
Cash flow from continuing financing activities -32.00%4.35M54K36.91%9.62M3.23M-150.00%-1K6.39M0-2.52%7.03M0101.44%2K
Net common stock issuance ---------9.48%6.44M--0--0---------4.56%7.12M--0200.00%1K
Proceeds from stock option exercised by employees --0--54K--3.23M----------0--0--0--------
Net other financing activities --------40.00%-54K--0-200.00%-1K--------62.03%-90K--0100.72%1K
Cash from discontinued financing activities
Financing cash flow -32.00%4.35M--54K36.91%9.62M--3.23M-150.00%-1K--6.39M--0-2.52%7.03M--0101.44%2K
Net cash flow
Beginning cash position -39.78%2.17M-17.97%4.61M70.80%5.62M-33.54%4.64M-16.97%7.05M54.19%3.61M70.80%5.62M-49.23%3.29M47.27%6.99M20.52%8.49M
Current changes in cash -91.05%308K-20.99%-2.44M-141.88%-931K97.55%-33K-42.75%-2.32M-43.99%3.44M-113.23%-2.02M167.71%2.22M6.46%-1.35M35.58%-1.63M
Effect of exchange rate changes -500.00%-4K-100.00%-2K-173.83%-79K--0-161.24%-79K-83.33%1K87.50%-1K16.30%107K-42.86%-20K-43.91%129K
End cash Position -64.88%2.48M-39.78%2.17M-17.97%4.61M-17.97%4.61M-33.54%4.64M-16.97%7.05M54.19%3.61M70.80%5.62M70.80%5.62M47.27%6.99M
Free cash flow -36.85%-4.04M-21.86%-2.49M-27.50%-10.59M-99.03%-3.27M3.97%-2.32M-69.25%-2.95M18.17%-2.05M26.83%-8.3M27.31%-1.64M-1.94%-2.42M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

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