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OTCM
NKOSF
Market cap11mUSD
Jun 10, Last price  
0.07USD
1D
3.31%
1Q
31.43%
Name

Labrador Gold Corp

Chart & Performance

D1W1MN
P/E
P/S
EPS
Div Yield, %
Shrs. gr., 5y
34.59%
Rev. gr., 5y
%
Revenues
0k
Net income
-797k
L-32.74%
-50,206138,496-273,327-701,397-310,985-2,161,295-22,15413,74534,09415,417-107,046-57,646-81,444-155,866-621,110-569,597-2,048,908-2,742,542-1,184,804-796,854
CFO
-98k
L-79.36%
-88,962-346,798-482,784-147,228-85,234-21,12737,901-2,26115,359-71,422-43,937-54,034-77,057-609,658-2,317-647,299-928,160-1,439,427-476,106-98,279
Earnings
Jun 27, 2025

Profile

Labrador Gold Corp. engages in the acquisition, exploration, and development of gold properties in the Americas. The company owns a 100% interest in the Borden Lake property that covers an area of 1,598-hectares located in Chapleau, Ontario. It has an option to acquire 100% interest in the Ashuanipi property consisting of 1,564 Claims in 10 claim blocks covering an area of approximately 391 square kilometers located in Labrador, Quebec; the Kingsway property consisting of 264 claims in 3 licenses covering approximately 77 square kilometers located near Gander, Newfoundland; and the Hopedale property that comprises 998 claims in 5 licenses covering 249 square kilometers. The company was formerly known as Nikos Explorations Ltd. and changed its name to Labrador Gold Corp. in December 2017. Labrador Gold Corp. was incorporated in 1987 and is headquartered in Toronto, Canada.
IPO date
Dec 12, 1988
Employees
Domiciled in
CA
Incorporated in
CA

Valuation

Title
CAD in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFYFYFY
2024‑092023‑092022‑092021‑092020‑092019‑092018‑092017‑092016‑092015‑09
Income
Revenues
Cost of revenue
1,139
808
Unusual Expense (Income)
NOPBT
(1,139)
(808)
NOPBT Margin
Operating Taxes
(166)
984
Tax Rate
NOPAT
(974)
(1,792)
Net income
(797)
-32.74%
(1,185)
-56.80%
Dividends
Dividend yield
Proceeds from repurchase of equity
164
4,244
BB yield
Debt
Debt current
Long-term debt
Deferred revenue
Other long-term liabilities
Net debt
(24,215)
(10,082)
(21,355)
Cash flow
Cash from operating activities
(98)
(476)
(1,439)
CAPEX
(3,926)
(10,961)
(2,331)
Cash from investing activities
(3,926)
(10,961)
(14,695)
Cash from financing activities
164
4,244
FCF
32,722
(11,943)
(18,012)
Balance
Cash
24,215
10,082
21,355
Long term investments
Excess cash
24,215
10,082
21,355
Stockholders' equity
26,600
44,040
48,933
Invested Capital
7,091
38,580
27,579
ROIC
ROCE
EV
Common stock shares outstanding
169,846
159,050
Price
Market cap
EV
EBITDA
11
(1,122)
(796)
EV/EBITDA
Interest
Interest/NOPBT