Argonaut Gold
Cash Flow

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Cash flow statement presents a set of outflows and inflows of cash within a company through operating, investing and financing activities. Over the last year, operating activities of Argonaut Gold generated cash of $14,024,562, which is more than the previous year. Cash used in financing activities reached the amount of $186,169,647 last year. Net change in cash is therefore $10,135,543.

Cash Flow

Argonaut Gold Inc. (OTC:ARNGF): Cash Flow
2014 37.91M -57.43M -6.64M
2015 57.87M -55.61M -4.54M
2016 33.46M -37.32M -647K
2017 38.82M -108.88M 41.27M
2018 31.70M -35.60M 4.03M
2019 74.78M -50.66M -268K
2020 111.44M -57.28M 111.91M
2021 130.68M -235.64M 85.68M
2022 -3.74M -297.98M 170.14M
2023 14.02M -194.53M 186.16M

ARNGF Cash Flow Statement (2014 – 2023)

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
Cash at beginning of period
73.22M199.23M214.18M38.78M15.37M14.06M42.09M45.88M51.44M81.07M
Operating activities
Net income
38.97M-152.20M26.52M14.21M-93.09M-7.62M23.85M4.33M-202.71M-4.19M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
52.47M63.59M92.03M60.20M181.36M33.30M25.19M23.71M43.02M40.47M
Stock-based compensation expense
2.43M3.01M2.27M3.64M2.29M02.38M2.43M2.77M2.81M
Deferred income tax benefit 2.43M3.01M2.27M3.64M2.29M02.38M2.43M2.77M2.81M
Changes in operating assets and liabilities:
Accounts receivable, net
8.96M-960-4.90M14.22M3.29M-1.92M-2.94M5.13M12.84M12.37M
Inventories
-31.16M-15.18M-18.24M1.17M-3.13M-35.42M-4.47M-8.14M4.06M-15.46M
Accounts payable
-17.38M-11.10M15.48M3.76M3.32M11.76M2.93M2.52M-4.50M6.28M
Cash generated by operating activities
14.02M-3.74M130.68M111.44M74.78M31.70M38.82M33.46M57.87M37.91M
Investing activities
Purchases Of Investments
0-52.93M-5.61M-4.47M0000048.51M
Investments In Property Plant And Equipment
-234.49M-358.41M-252.06M-63.91M-51.75M-36.03M-111.15M-38.08M-36.95M-47.93M
Acquisitions Net
39.96M52.93M7.67M1.99M0289.44K-41.74M740.98K1.22M-10.30M
Cash generated by investing activities
-194.53M-297.98M-235.64M-57.28M-50.66M-35.60M-108.88M-37.32M-55.61M-57.43M
Financing activities
Common Stock Issued
72.94M213.65M28.77M97.68M2.77M032.04M3.21M00
Payments for dividends
0000000000
Repurchases of common stock
0000000000
Repayments of term debt
00-13.88M-33.12M0-12M0-3.08M0-11.79M
Cash used in financing activities
186.16M170.14M85.68M111.91M-268K4.03M41.27M-647K-4.54M-6.64M
Net Change In Cash
10.13M-125.98M-14.95M175.40M23.40M1.31M-28.03M-3.78M-5.56M-29.63M
Cash at end of period
83.35M73.25M199.23M214.18M38.78M15.37M14.06M42.09M45.88M51.44M