Canada Rare Earth Corp.
Cash Flow

Last updated:

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 Canada Rare Earth Corp. generated cash of $685,674, which is more than the previous year. Cash used in financing activities reached the amount of -$439,651 last year. Net change in cash is therefore $931.

Cash Flow

Canada Rare Earth Corp. (OTC:RAREF): Cash Flow
2015 -797.22K 617.17K 0
2016 -428.04K 720.17K 0
2017 -432.94K 368 160.91K
2018 56.47K -9.63K 1.33M
2019 -965.09K -9.63K 0
2020 -136.49K -786.33K 601.4K
2021 -74.00K -79.32K -6.83K
2022 -321.94K -169.88K 528.65K
2023 110.78K -416.46K 410.52K
2024 685.67K -245.09K -439.65K

RAREF Cash Flow Statement (2015 – 2024)

2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Cash at beginning of period
220.63K76.98K33.83K204.27K514.22K1.50M45.59K323.47K31.34K232.67K
Operating activities
Net income
-911.89K171.26K-1.02M-667.99K-674.36K-791.23K-2.80M-315.68K-2.13M-666.51K
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
99.67K96.74K71.86K58.59K96.75K59.68K59.68K19.89K00
Stock-based compensation expense
116.17K262K325K298.74K52.1K274.00K041.09K013.39K
Deferred income tax benefit 116.17K262K325K298.74K52.1K274.00K041.09K013.39K
Changes in operating assets and liabilities:
Accounts receivable, net
201.21K-245.96K-322.83K192.40K163.27K-335.21K47.55K-65.90K115.15K-94.99K
Inventories
0000000000
Accounts payable
0108.44K351.23K298.63K443.15K216.06K413.25K117.79K00
Cash generated by operating activities
685.67K110.78K-321.94K-74.00K-136.49K-965.09K56.47K-432.94K-428.04K-797.22K
Investing activities
Purchases Of Investments
0-369.5K-166.88K0000000
Investments In Property Plant And Equipment
0-46.96K-2.99K-79.32K-786.33K-9.63K-9.63K-9.63K-10.62K-3.28K
Acquisitions Net
0-369.5K-166.88K00000190.79K0
Cash generated by investing activities
-245.09K-416.46K-169.88K-79.32K-786.33K-9.63K-9.63K368720.17K617.17K
Financing activities
Common Stock Issued
0103.87K59.25K30K001.5M000
Payments for dividends
0000000000
Repurchases of common stock
0000000000
Repayments of term debt
-78.84K305.49K469.40K-36.83K-16.32K0-160.91K160.91K00
Cash used in financing activities
-439.65K410.52K528.65K-6.83K601.4K01.33M160.91K00
Net Change In Cash
931143.64K43.14K-170.43K-309.95K-987.87K1.45M-277.87K292.13K-180.05K
Cash at end of period
221.56K220.63K76.98K33.83K204.27K514.22K1.50M45.59K323.47K52.61K