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OTCM
GFTRF
Market cap44kUSD
Jul 08, Last price  
0.00USD
1D
0.00%
IPO
-99.80%
Name

Goldn Futures Mineral Corp

Chart & Performance

D1W1MN
P/E
P/S
EPS
Div Yield, %
Shrs. gr., 5y
134.22%
Rev. gr., 5y
%
Revenues
0k
Net income
-6m
L+258.75%
-378,693-5,263,203-1,455,733-230,154-1,877,999-1,988,652-16,834,991-228,38138,378-55,612-101,292-263,212-2,197,353-1,404,237-1,676,091-6,012,974
CFO
-321k
L-46.42%
-640,102-822,471-823,870-816,627-692,750-470,650-1,771,858-62,296-61,339-19,9579,470-31,820-884,681-1,203,706-599,745-321,345

Profile

Gold'n Futures Mineral Corp., an exploration stage company, engages in acquisition and exploration of precious and base metals properties in Canada. The company's projects include the Hercules gold project consists of 372 contiguous claim cells covering an area of 6,951 hectares located to the northeast of Thunder Bay, Ontario; and the Brady gold project located in south central Newfoundland. Its projects include the Cree Lake gold project comprises 151 single cell and 43 boundary claims covering approximately 4,074 hectares located in Swayze; and Handcamp project consists of two mineral claims covering 7,500 hectares located in central Newfoundland. The company was formerly known as European Metals Corp. and changed its name to Gold'n Futures Mineral Corp. in July 2020. Gold'n Futures Mineral Corp. is headquartered in Toronto, Canada.
IPO date
Aug 21, 2020
Employees
Domiciled in
CA
Incorporated in
CA

Valuation

Title
CAD in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFYFY
2023‑122022‑122021‑122020‑122019‑122018‑122017‑122016‑122015‑12
Income
Revenues
Cost of revenue
709
1,567
Unusual Expense (Income)
NOPBT
(709)
(1,567)
NOPBT Margin
Operating Taxes
138
Tax Rate
NOPAT
(847)
(1,567)
Net income
(6,013)
258.75%
(1,676)
19.36%
Dividends
Dividend yield
Proceeds from repurchase of equity
115
1,151
BB yield
Debt
Debt current
Long-term debt
Deferred revenue
Other long-term liabilities
Net debt
(67)
(823)
Cash flow
Cash from operating activities
(321)
(600)
CAPEX
(538)
(466)
Cash from investing activities
(538)
(466)
Cash from financing activities
104
1,245
FCF
3,850
(2,032)
Balance
Cash
67
823
Long term investments
Excess cash
67
823
Stockholders' equity
307
3,600
Invested Capital
240
4,766
ROIC
ROCE
EV
Common stock shares outstanding
197,761
153,628
Price
Market cap
EV
EBITDA
(709)
(1,567)
EV/EBITDA
Interest
Interest/NOPBT