US Stock MarketDetailed Quotes

ARGTF ARTEMIS GOLD INC

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  • 9.600
  • -0.277-2.81%
15min DelayClose Oct 4 16:00 ET
  • 9.723
  • +0.123+1.28%
Post 16:44 ET
2.10BMarket Cap-145454P/E (TTM)

ARTEMIS GOLD INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
6.75%-913.44K
-31.50%-5.2M
-40.74%-8.52M
-0.21%-1.68M
6.78%-1.9M
-15.22%-979.53K
-166.43%-3.96M
-5.68%-6.05M
41.31%-1.68M
-110.99%-2.04M
Net income from continuing operations
-81.70%-5.73M
-266.58%-6.65M
47.09%-11.45M
-112.38%-3.9M
80.10%-2.58M
-11.01%-3.15M
54.61%-1.81M
-57.76%-21.63M
56.47%-1.84M
-379.03%-12.96M
Operating gains losses
668.29%1.13M
910.98%1.87M
-61.57%590.75K
-42.41%109.05K
-42.03%150.24K
-29.51%146.48K
-79.00%184.98K
-44.24%1.54M
-84.99%189.37K
-0.05%259.15K
Depreciation and amortization
-0.66%170.34K
2.32%170.34K
64.80%679.38K
45.43%175.56K
68.58%165.87K
74.27%171.47K
75.69%166.48K
21.02%412.25K
29.51%120.72K
6.23%98.39K
Other non cash items
120.41%127.19K
104.54%83.63K
-7.46%-3.13M
105.91%107.26K
-36.21%-770.68K
-77.76%-623.22K
-920.61%-1.84M
-1,354.93%-2.91M
-1,023.39%-1.82M
-175.47%-565.81K
Change In working capital
-2.15%1.24M
-81.02%-2.53M
-79.76%317.96K
-74.40%216.4K
302.91%235.9K
110.50%1.26M
-676.28%-1.4M
2,037.20%1.57M
168.29%845.42K
-119.41%-116.26K
-Change in receivables
-21.66%618.45K
-444.47%-52.03K
-199.04%-384.78K
-2,050.18%-985.4K
-15.27%-203.96K
843.90%789.48K
117.59%15.11K
-166.88%-128.67K
26.20%50.53K
-241.16%-176.95K
-Change in payables and accrued expense
30.41%616.75K
-75.40%-2.48M
-58.66%702.74K
51.19%1.2M
624.78%439.85K
-8.36%472.92K
-530.09%-1.41M
1,530.23%1.7M
162.19%794.89K
-90.68%60.69K
Cash from discontinued investing activities
Operating cash flow
6.75%-913.44K
-31.50%-5.2M
-40.74%-8.52M
-0.21%-1.68M
6.78%-1.9M
-15.22%-979.53K
-166.43%-3.96M
-5.68%-6.05M
41.31%-1.68M
-110.99%-2.04M
Investing cash flow
Cash flow from continuing investing activities
-17.43%-124.56M
-76.40%-128.89M
-332.24%-418.37M
-205.72%-129.32M
-229.77%-109.91M
-589.16%-106.07M
-1,166.50%-73.07M
-21.51%-96.79M
-375.30%-42.3M
40.12%-33.33M
Net PPE purchase and sale
-17.15%-123.04M
-82.92%-129.52M
-309.05%-396.42M
-154.86%-111.55M
-261.71%-109.03M
-570.45%-105.03M
-865.34%-70.81M
-15.86%-96.91M
-384.20%-43.77M
48.72%-30.14M
Net investment purchase and sale
----
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--0
--0
--0
----
----
-58.33%1.38M
--0
--0
Net other investing changes
-82.49%-3.01M
73.31%-1.14M
-553.54%-25.55M
-25,471.44%-17.54M
45.17%-2.07M
-2,593.09%-1.65M
---4.29M
-1,279.12%-3.91M
-19.30%-68.6K
-1,828.57%-3.78M
Cash from discontinued investing activities
Investing cash flow
-17.43%-124.56M
-76.40%-128.89M
-332.24%-418.37M
-205.72%-129.32M
-229.77%-109.91M
-589.16%-106.07M
-1,166.50%-73.07M
-21.51%-96.79M
-375.30%-42.3M
40.12%-33.33M
Financing cash flow
Cash flow from continuing financing activities
28.49%82.21M
1,360.50%132.01M
135.18%389.4M
25.74%214.78M
19,313.69%121.11M
12,715.41%63.98M
-145.26%-10.47M
0.41%165.58M
14,390.85%170.8M
-159.04%-630.34K
Net issuance payments of debt
20,713.30%79.19M
76,470.40%129.42M
41,198.09%148.72M
163,793.66%149.47M
-113.58%-192.98K
-325.18%-384.17K
-88.61%-169.47K
-22.04%-361.87K
-25.97%-91.31K
-1.92%-90.35K
Net common stock issuance
----
----
--0
----
----
----
----
2.27%175.01M
----
----
Proceeds from stock option exercised by employees
-31.41%3.26M
9,112.96%3.28M
2,177.52%8.62M
--3.41M
160.62%422.2K
3,549.77%4.75M
-58.75%35.64K
-79.84%378.6K
--0
756.24%162K
Net other financing activities
-100.40%-235.69K
93.28%-694.74K
2,556.52%232.05M
1,605.65%61.89M
17,320.04%120.88M
10,998.01%59.61M
-142.32%-10.34M
-20.99%-9.45M
-149.70%-4.11M
-304.36%-701.98K
Cash from discontinued financing activities
Financing cash flow
28.49%82.21M
1,360.50%132.01M
135.18%389.4M
25.74%214.78M
19,313.69%121.11M
12,715.41%63.98M
-145.26%-10.47M
0.41%165.58M
14,390.85%170.8M
-159.04%-630.34K
Net cash flow
Beginning cash position
44.96%154.51M
-19.32%156.59M
47.75%194.09M
8.25%72.82M
-38.49%63.52M
-11.05%106.59M
47.75%194.09M
153.36%131.36M
-53.39%67.27M
-48.67%103.27M
Current changes in cash
-0.44%-43.26M
97.62%-2.08M
-159.78%-37.5M
-33.95%83.77M
125.83%9.3M
-157.15%-43.07M
-659.22%-87.5M
-21.11%62.73M
1,078.75%126.82M
36.70%-36M
End cash Position
75.14%111.25M
44.96%154.51M
-19.32%156.59M
-19.32%156.59M
8.25%72.82M
-38.38%63.52M
-11.05%106.59M
47.75%194.09M
47.75%194.09M
-53.39%67.27M
Free cash flow
-16.93%-123.96M
-80.20%-134.72M
-293.27%-404.94M
-149.15%-113.24M
-244.71%-110.93M
-541.87%-106.01M
-747.66%-74.76M
-15.21%-102.97M
-281.87%-45.45M
46.14%-32.18M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
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Unqualified Opinion
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Unqualified Opinion
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(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 6.75%-913.44K-31.50%-5.2M-40.74%-8.52M-0.21%-1.68M6.78%-1.9M-15.22%-979.53K-166.43%-3.96M-5.68%-6.05M41.31%-1.68M-110.99%-2.04M
Net income from continuing operations -81.70%-5.73M-266.58%-6.65M47.09%-11.45M-112.38%-3.9M80.10%-2.58M-11.01%-3.15M54.61%-1.81M-57.76%-21.63M56.47%-1.84M-379.03%-12.96M
Operating gains losses 668.29%1.13M910.98%1.87M-61.57%590.75K-42.41%109.05K-42.03%150.24K-29.51%146.48K-79.00%184.98K-44.24%1.54M-84.99%189.37K-0.05%259.15K
Depreciation and amortization -0.66%170.34K2.32%170.34K64.80%679.38K45.43%175.56K68.58%165.87K74.27%171.47K75.69%166.48K21.02%412.25K29.51%120.72K6.23%98.39K
Other non cash items 120.41%127.19K104.54%83.63K-7.46%-3.13M105.91%107.26K-36.21%-770.68K-77.76%-623.22K-920.61%-1.84M-1,354.93%-2.91M-1,023.39%-1.82M-175.47%-565.81K
Change In working capital -2.15%1.24M-81.02%-2.53M-79.76%317.96K-74.40%216.4K302.91%235.9K110.50%1.26M-676.28%-1.4M2,037.20%1.57M168.29%845.42K-119.41%-116.26K
-Change in receivables -21.66%618.45K-444.47%-52.03K-199.04%-384.78K-2,050.18%-985.4K-15.27%-203.96K843.90%789.48K117.59%15.11K-166.88%-128.67K26.20%50.53K-241.16%-176.95K
-Change in payables and accrued expense 30.41%616.75K-75.40%-2.48M-58.66%702.74K51.19%1.2M624.78%439.85K-8.36%472.92K-530.09%-1.41M1,530.23%1.7M162.19%794.89K-90.68%60.69K
Cash from discontinued investing activities
Operating cash flow 6.75%-913.44K-31.50%-5.2M-40.74%-8.52M-0.21%-1.68M6.78%-1.9M-15.22%-979.53K-166.43%-3.96M-5.68%-6.05M41.31%-1.68M-110.99%-2.04M
Investing cash flow
Cash flow from continuing investing activities -17.43%-124.56M-76.40%-128.89M-332.24%-418.37M-205.72%-129.32M-229.77%-109.91M-589.16%-106.07M-1,166.50%-73.07M-21.51%-96.79M-375.30%-42.3M40.12%-33.33M
Net PPE purchase and sale -17.15%-123.04M-82.92%-129.52M-309.05%-396.42M-154.86%-111.55M-261.71%-109.03M-570.45%-105.03M-865.34%-70.81M-15.86%-96.91M-384.20%-43.77M48.72%-30.14M
Net investment purchase and sale ----------0--0--0---------58.33%1.38M--0--0
Net other investing changes -82.49%-3.01M73.31%-1.14M-553.54%-25.55M-25,471.44%-17.54M45.17%-2.07M-2,593.09%-1.65M---4.29M-1,279.12%-3.91M-19.30%-68.6K-1,828.57%-3.78M
Cash from discontinued investing activities
Investing cash flow -17.43%-124.56M-76.40%-128.89M-332.24%-418.37M-205.72%-129.32M-229.77%-109.91M-589.16%-106.07M-1,166.50%-73.07M-21.51%-96.79M-375.30%-42.3M40.12%-33.33M
Financing cash flow
Cash flow from continuing financing activities 28.49%82.21M1,360.50%132.01M135.18%389.4M25.74%214.78M19,313.69%121.11M12,715.41%63.98M-145.26%-10.47M0.41%165.58M14,390.85%170.8M-159.04%-630.34K
Net issuance payments of debt 20,713.30%79.19M76,470.40%129.42M41,198.09%148.72M163,793.66%149.47M-113.58%-192.98K-325.18%-384.17K-88.61%-169.47K-22.04%-361.87K-25.97%-91.31K-1.92%-90.35K
Net common stock issuance ----------0----------------2.27%175.01M--------
Proceeds from stock option exercised by employees -31.41%3.26M9,112.96%3.28M2,177.52%8.62M--3.41M160.62%422.2K3,549.77%4.75M-58.75%35.64K-79.84%378.6K--0756.24%162K
Net other financing activities -100.40%-235.69K93.28%-694.74K2,556.52%232.05M1,605.65%61.89M17,320.04%120.88M10,998.01%59.61M-142.32%-10.34M-20.99%-9.45M-149.70%-4.11M-304.36%-701.98K
Cash from discontinued financing activities
Financing cash flow 28.49%82.21M1,360.50%132.01M135.18%389.4M25.74%214.78M19,313.69%121.11M12,715.41%63.98M-145.26%-10.47M0.41%165.58M14,390.85%170.8M-159.04%-630.34K
Net cash flow
Beginning cash position 44.96%154.51M-19.32%156.59M47.75%194.09M8.25%72.82M-38.49%63.52M-11.05%106.59M47.75%194.09M153.36%131.36M-53.39%67.27M-48.67%103.27M
Current changes in cash -0.44%-43.26M97.62%-2.08M-159.78%-37.5M-33.95%83.77M125.83%9.3M-157.15%-43.07M-659.22%-87.5M-21.11%62.73M1,078.75%126.82M36.70%-36M
End cash Position 75.14%111.25M44.96%154.51M-19.32%156.59M-19.32%156.59M8.25%72.82M-38.38%63.52M-11.05%106.59M47.75%194.09M47.75%194.09M-53.39%67.27M
Free cash flow -16.93%-123.96M-80.20%-134.72M-293.27%-404.94M-149.15%-113.24M-244.71%-110.93M-541.87%-106.01M-747.66%-74.76M-15.21%-102.97M-281.87%-45.45M46.14%-32.18M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

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