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ELVT Elevation Gold Mining Corp

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  • 0.075
  • 0.0000.00%
15min DelayTrading Jul 29 16:00 ET
8.48MMarket Cap-264P/E (TTM)

Elevation Gold Mining Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
14.89%-2.29M
64.14%-1.58M
-89.83%48K
1,767.32%2.86M
58.47%-1.8M
-282.76%-2.69M
-656.60%-4.41M
123.07%472K
114.38%153K
-264.73%-4.33M
Net income from continuing operations
-14.78%-4.18M
48.30%-22.54M
-46.44%-13.6M
-280.22%-2.15M
90.68%-3.15M
-113.18%-3.64M
-1,319.80%-43.61M
-1,162.93%-9.29M
-66.25%1.19M
-4,661.94%-33.8M
Operating gains losses
-2.04%1.53M
92.41%-638K
-84.89%786K
66.12%-1.13M
80.75%-1.86M
356.14%1.57M
22.72%-8.4M
168.22%5.2M
20.08%-3.33M
-1,091.62%-9.66M
Depreciation and amortization
-16.68%2.82M
31.22%13.67M
-27.40%3.26M
103.00%3.78M
32.83%3.24M
108.43%3.39M
18.35%10.42M
71.34%4.49M
8.62%1.86M
6.64%2.44M
Asset impairment expenditure
----
-67.02%11.16M
--11.12M
--48K
----
----
--33.85M
--0
--0
----
Remuneration paid in stock
-54.32%37K
-62.94%295K
-73.00%54K
-74.24%51K
-48.83%109K
-56.22%81K
-12.53%796K
-42.86%200K
-31.25%198K
2,466.67%213K
Other non cashItems
201.79%507K
173.91%439K
34.65%-66K
207.91%191K
102.84%146K
-96.52%168K
7.91%-594K
40.24%-101K
-41.60%-177K
-3,155.70%-5.14M
Change In working capital
29.18%-3.01M
-226.73%-3.97M
-5,058.62%-1.5M
406.63%2.06M
-103.67%-285K
15.39%-4.25M
233.18%3.13M
-101.52%-29K
117.63%407K
1,240.52%7.78M
-Change in receivables
13.27%128K
165.38%153K
-106.07%-109K
102.83%58K
-86.87%91K
116.79%113K
-631.82%-234K
505.05%1.8M
-11,294.44%-2.05M
285.00%693K
-Change in inventory
-222.83%-495K
-338.21%-3.7M
-106.79%-2.04M
-260.00%-1.78M
-107.46%-283K
117.05%403K
143.77%1.55M
-169.26%-987K
136.22%1.11M
598.34%3.79M
-Change in prepaid assets
8.42%-250K
191.96%366K
659.52%319K
409.76%209K
127.21%111K
-273.97%-273K
-189.84%-398K
-32.26%42K
-83.86%41K
-500.00%-408K
-Change in payables and accrued expense
112.29%429K
-863.51%-1.61M
210.92%370K
-69.01%715K
363.58%796K
-82.54%-3.49M
-70.20%211K
-2.46%119K
343.65%2.31M
-302.67%-302K
-Change in other working capital
-182.10%-2.82M
-58.95%821K
96.50%-35K
385.60%2.86M
---1M
---1M
--2M
---1M
---1M
----
Cash from discontinued investing activities
Operating cash flow
14.89%-2.29M
64.14%-1.58M
-89.83%48K
1,767.32%2.86M
58.47%-1.8M
-282.76%-2.69M
-656.60%-4.41M
123.07%472K
114.38%153K
-264.73%-4.33M
Investing cash flow
Cash flow from continuing investing activities
-43.10%-5.23M
-19.33%-15.58M
-265.86%-4.26M
12.15%-4.29M
25.32%-3.38M
-47.26%-3.65M
-50.68%-13.06M
39.68%-1.16M
-30.42%-4.89M
51.38%-4.53M
Capital expenditure reported
-42.91%-5.22M
12.99%-6.6M
-5,979.59%-2.98M
24.11%-2.64M
188.97%2.67M
-244.53%-3.65M
49.94%-7.59M
96.51%-49K
-4.76%-3.48M
49.99%-3M
Net other investing changes
---7K
-64.14%-8.98M
-14.54%-1.28M
-17.29%-1.66M
----
----
4.03%-5.47M
-112.19%-1.11M
-228.90%-1.41M
53.88%-1.53M
Cash from discontinued investing activities
Investing cash flow
-43.10%-5.23M
-19.33%-15.58M
-265.86%-4.26M
12.15%-4.29M
25.32%-3.38M
-47.26%-3.65M
-50.68%-13.06M
39.68%-1.16M
-30.42%-4.89M
51.38%-4.53M
Financing cash flow
Cash flow from continuing financing activities
16.40%6.37M
-22.30%15.31M
51.97%4.09M
-62.86%962K
301.60%4.79M
-67.45%5.47M
848.41%19.71M
-24.97%2.69M
520.45%2.59M
-472.77%-2.38M
Net issuance payments of debt
10.22%6.46M
455.87%17.43M
60.41%4.62M
-44.85%1.59M
328.89%5.36M
2,171.73%5.86M
55.94%3.14M
-22.20%2.88M
597.41%2.89M
-340.41%-2.34M
Net common stock issuance
----
--0
--0
--0
----
----
--17.09M
---10K
--0
---51K
Cash dividends paid
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Interest paid (cash flow from financing activities)
75.63%-96K
-308.88%-2.12M
-199.43%-524K
-113.22%-629K
-3,458.82%-571K
-506.15%-394K
-33.85%-518K
-59.09%-175K
-213.83%-295K
119.54%17K
Cash from discontinued financing activities
Financing cash flow
16.40%6.37M
-22.30%15.31M
51.97%4.09M
-62.86%962K
301.60%4.79M
-67.45%5.47M
848.41%19.71M
-24.97%2.69M
520.45%2.59M
-472.77%-2.38M
Net cash flow
Beginning cash position
-55.71%1.47M
210.96%3.32M
21.04%1.59M
-43.47%2.06M
-83.29%2.45M
210.96%3.32M
-87.11%1.07M
-7.80%1.31M
-47.09%3.65M
5.59%14.67M
Current changes in cash
-31.84%-1.15M
-182.46%-1.85M
-105.80%-116K
77.89%-474K
96.55%-388K
-106.39%-870K
131.26%2.24M
618.39%2M
60.49%-2.14M
-58.45%-11.24M
Effect of exchange rate changes
--1K
-116.67%-2K
-112.50%-1K
100.53%1K
-100.93%-2K
--0
125.53%12K
-74.19%8K
-363.41%-190K
136.26%215K
End cash Position
-86.74%325K
-55.71%1.47M
-55.71%1.47M
21.04%1.59M
-43.47%2.06M
-83.29%2.45M
210.96%3.32M
210.96%3.32M
-7.80%1.31M
-47.09%3.65M
Free cash from
-18.41%-7.51M
31.79%-8.18M
-792.91%-2.93M
106.59%219K
111.85%869K
-259.76%-6.34M
23.77%-12M
112.26%423K
24.17%-3.32M
-117.76%-7.33M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
--
--
--
--
(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(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 14.89%-2.29M64.14%-1.58M-89.83%48K1,767.32%2.86M58.47%-1.8M-282.76%-2.69M-656.60%-4.41M123.07%472K114.38%153K-264.73%-4.33M
Net income from continuing operations -14.78%-4.18M48.30%-22.54M-46.44%-13.6M-280.22%-2.15M90.68%-3.15M-113.18%-3.64M-1,319.80%-43.61M-1,162.93%-9.29M-66.25%1.19M-4,661.94%-33.8M
Operating gains losses -2.04%1.53M92.41%-638K-84.89%786K66.12%-1.13M80.75%-1.86M356.14%1.57M22.72%-8.4M168.22%5.2M20.08%-3.33M-1,091.62%-9.66M
Depreciation and amortization -16.68%2.82M31.22%13.67M-27.40%3.26M103.00%3.78M32.83%3.24M108.43%3.39M18.35%10.42M71.34%4.49M8.62%1.86M6.64%2.44M
Asset impairment expenditure -----67.02%11.16M--11.12M--48K----------33.85M--0--0----
Remuneration paid in stock -54.32%37K-62.94%295K-73.00%54K-74.24%51K-48.83%109K-56.22%81K-12.53%796K-42.86%200K-31.25%198K2,466.67%213K
Other non cashItems 201.79%507K173.91%439K34.65%-66K207.91%191K102.84%146K-96.52%168K7.91%-594K40.24%-101K-41.60%-177K-3,155.70%-5.14M
Change In working capital 29.18%-3.01M-226.73%-3.97M-5,058.62%-1.5M406.63%2.06M-103.67%-285K15.39%-4.25M233.18%3.13M-101.52%-29K117.63%407K1,240.52%7.78M
-Change in receivables 13.27%128K165.38%153K-106.07%-109K102.83%58K-86.87%91K116.79%113K-631.82%-234K505.05%1.8M-11,294.44%-2.05M285.00%693K
-Change in inventory -222.83%-495K-338.21%-3.7M-106.79%-2.04M-260.00%-1.78M-107.46%-283K117.05%403K143.77%1.55M-169.26%-987K136.22%1.11M598.34%3.79M
-Change in prepaid assets 8.42%-250K191.96%366K659.52%319K409.76%209K127.21%111K-273.97%-273K-189.84%-398K-32.26%42K-83.86%41K-500.00%-408K
-Change in payables and accrued expense 112.29%429K-863.51%-1.61M210.92%370K-69.01%715K363.58%796K-82.54%-3.49M-70.20%211K-2.46%119K343.65%2.31M-302.67%-302K
-Change in other working capital -182.10%-2.82M-58.95%821K96.50%-35K385.60%2.86M---1M---1M--2M---1M---1M----
Cash from discontinued investing activities
Operating cash flow 14.89%-2.29M64.14%-1.58M-89.83%48K1,767.32%2.86M58.47%-1.8M-282.76%-2.69M-656.60%-4.41M123.07%472K114.38%153K-264.73%-4.33M
Investing cash flow
Cash flow from continuing investing activities -43.10%-5.23M-19.33%-15.58M-265.86%-4.26M12.15%-4.29M25.32%-3.38M-47.26%-3.65M-50.68%-13.06M39.68%-1.16M-30.42%-4.89M51.38%-4.53M
Capital expenditure reported -42.91%-5.22M12.99%-6.6M-5,979.59%-2.98M24.11%-2.64M188.97%2.67M-244.53%-3.65M49.94%-7.59M96.51%-49K-4.76%-3.48M49.99%-3M
Net other investing changes ---7K-64.14%-8.98M-14.54%-1.28M-17.29%-1.66M--------4.03%-5.47M-112.19%-1.11M-228.90%-1.41M53.88%-1.53M
Cash from discontinued investing activities
Investing cash flow -43.10%-5.23M-19.33%-15.58M-265.86%-4.26M12.15%-4.29M25.32%-3.38M-47.26%-3.65M-50.68%-13.06M39.68%-1.16M-30.42%-4.89M51.38%-4.53M
Financing cash flow
Cash flow from continuing financing activities 16.40%6.37M-22.30%15.31M51.97%4.09M-62.86%962K301.60%4.79M-67.45%5.47M848.41%19.71M-24.97%2.69M520.45%2.59M-472.77%-2.38M
Net issuance payments of debt 10.22%6.46M455.87%17.43M60.41%4.62M-44.85%1.59M328.89%5.36M2,171.73%5.86M55.94%3.14M-22.20%2.88M597.41%2.89M-340.41%-2.34M
Net common stock issuance ------0--0--0----------17.09M---10K--0---51K
Cash dividends paid --0--0--0--0--0--0--0--0--0--0
Interest paid (cash flow from financing activities) 75.63%-96K-308.88%-2.12M-199.43%-524K-113.22%-629K-3,458.82%-571K-506.15%-394K-33.85%-518K-59.09%-175K-213.83%-295K119.54%17K
Cash from discontinued financing activities
Financing cash flow 16.40%6.37M-22.30%15.31M51.97%4.09M-62.86%962K301.60%4.79M-67.45%5.47M848.41%19.71M-24.97%2.69M520.45%2.59M-472.77%-2.38M
Net cash flow
Beginning cash position -55.71%1.47M210.96%3.32M21.04%1.59M-43.47%2.06M-83.29%2.45M210.96%3.32M-87.11%1.07M-7.80%1.31M-47.09%3.65M5.59%14.67M
Current changes in cash -31.84%-1.15M-182.46%-1.85M-105.80%-116K77.89%-474K96.55%-388K-106.39%-870K131.26%2.24M618.39%2M60.49%-2.14M-58.45%-11.24M
Effect of exchange rate changes --1K-116.67%-2K-112.50%-1K100.53%1K-100.93%-2K--0125.53%12K-74.19%8K-363.41%-190K136.26%215K
End cash Position -86.74%325K-55.71%1.47M-55.71%1.47M21.04%1.59M-43.47%2.06M-83.29%2.45M210.96%3.32M210.96%3.32M-7.80%1.31M-47.09%3.65M
Free cash from -18.41%-7.51M31.79%-8.18M-792.91%-2.93M106.59%219K111.85%869K-259.76%-6.34M23.77%-12M112.26%423K24.17%-3.32M-117.76%-7.33M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes----------------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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