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XNYSFURY
Market cap53mUSD
Dec 24, Last price  
0.37USD
1D
-0.38%
1Q
-21.13%
IPO
-80.89%
Name

Fury Gold Mines Ltd

Chart & Performance

D1W1MN
XNYS:FURY chart
P/E
P/S
EPS
Div Yield, %
0.00%
Shrs. gr., 5y
19.93%
Rev. gr., 5y
%
Revenues
0k
Net income
-17m
L
25-71,660-74,130-174,639-888,419-419,738-2,079,793-1,922,603-2,864,310-4,255,233-330,000-17,674,000-13,933,000-14,965,000-16,790,00024,908,000-17,213,000
CFO
-13m
L-6.79%
12,139-66,605-54,200-196,586-194,489-284,836-1,659,550-2,740,0860-5,067,099-6,321,000-17,844,000-10,597,000-12,531,000-17,273,000-14,012,000-13,060,000
Earnings
Apr 01, 2025

Profile

Fury Gold Mines Limited operates as an exploration and development company in Canada. It primarily explores for gold properties. The company's flagship properties include the Eau Claire project that consists of map-designated claims totaling approximately 23,000 hectares located in the Eeyou Istchee James Bay Region of Northern Quebec; and Committee Bay project, which comprise 57 crown leases and 190 mineral claims in six non-contiguous blocks totaling approximately 297,273 hectares situated in the Kitikmeot Region of Nunavut. It also explores for silver metals. The company was formerly known as Auryn Resources Inc. and changed its name to Fury Gold Mines Limited in October 2020. Fury Gold Mines Limited was incorporated in 2008 and is headquartered in Vancouver, Canada.
IPO date
Oct 17, 2008
Employees
11
Domiciled in
CA
Incorporated in
CA

Valuation

Title
CAD in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFYFYFY
2023‑122022‑122021‑122020‑122019‑122018‑122017‑122016‑122015‑122015‑06
Income
Revenues
Cost of revenue
2,475
6,591
11,776
Unusual Expense (Income)
NOPBT
(2,475)
(6,591)
(11,776)
NOPBT Margin
Operating Taxes
289
(187)
(3,835)
Tax Rate
NOPAT
(2,764)
(6,404)
(7,941)
Net income
(17,213)
-169.11%
24,908
-248.35%
(16,790)
12.20%
Dividends
Dividend yield
Proceeds from repurchase of equity
7,838
10,864
5,385
BB yield
-10.73%
-18.25%
-7.03%
Debt
Debt current
154
160
104
Long-term debt
302
614
818
Deferred revenue
Other long-term liabilities
4,495
4,271
4,190
Net debt
(44,271)
(52,547)
(3,072)
Cash flow
Cash from operating activities
(13,060)
(14,012)
(17,273)
CAPEX
(1,281)
(87)
Cash from investing activities
2,446
10,435
(186)
Cash from financing activities
7,624
10,629
5,357
FCF
130
9,035
(7,507)
Balance
Cash
8,479
10,891
3,864
Long term investments
36,248
42,430
130
Excess cash
44,727
53,321
3,994
Stockholders' equity
161,214
174,484
157,355
Invested Capital
142,870
146,130
158,012
ROIC
ROCE
EV
Common stock shares outstanding
144,184
139,481
119,701
Price
0.51
18.68%
0.43
-33.35%
0.64
-55.54%
Market cap
73,015
22.68%
59,517
-22.34%
76,633
-33.81%
EV
28,744
6,970
73,561
EBITDA
(2,132)
(6,250)
(11,405)
EV/EBITDA
Interest
61
115
98
Interest/NOPBT