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LNCLF LINCOLN GOLD MINING INC

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  • 0.142
  • 0.0000.00%
15min DelayClose Jul 26 09:30 ET
2.44MMarket Cap-288P/E (TTM)

LINCOLN GOLD MINING INC 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
100.18%305
-87.39%-429.92K
245.80%31.67K
-69.57%-204.89K
-298.43%-87.42K
-160.71%-169.28K
77.41%-229.43K
93.34%-21.73K
64.71%-120.83K
91.75%-21.94K
Net income from continuing operations
10.16%-238.3K
-517.48%-6.5M
-50.37%-401.84K
-8.81%-398.87K
-2,027.00%-5.43M
-62.64%-265.27K
24.01%-1.05M
47.61%-267.24K
15.70%-366.57K
11.97%-255.36K
Operating gains losses
2,296.49%13.75K
8,976.28%5.08M
-10.61%-1.73K
-96.08%1.82K
24,404.63%5.08M
93.49%-626
11,268.46%55.95K
28.32%-1.56K
129.40%46.41K
281.35%20.73K
Depreciation and amortization
-14.03%14.68K
-1.53%67.28K
-9.43%15.47K
3.30%17.65K
0.01%17.08K
0.00%17.08K
17.83%68.32K
-0.13%17.08K
13.77%17.08K
32.06%17.08K
Other non cash items
-35.23%25.26K
-38.13%100.66K
-50.94%22.19K
-59.78%16.19K
-38.90%23.28K
-0.24%38.99K
8.05%162.68K
12.27%45.22K
7.72%40.27K
-0.08%38.11K
Change In working capital
356.22%184.92K
31.41%676.71K
54.52%253.19K
11.51%158.32K
42.64%224.67K
-21.47%40.53K
235.91%514.95K
27.09%163.85K
641.01%141.98K
986.56%157.51K
-Change in receivables
152.73%6.95K
-122.30%-1.55K
-755.86%-7K
76.67%-1.74K
-77.99%4.44K
140.15%2.75K
1,069.53%6.95K
124.84%1.07K
-146.39%-7.44K
335.66%20.17K
-Change in prepaid assets
--0
-74.28%1.38K
110.52%137
68.42%3.37K
54.44%3.39K
-324.69%-5.52K
-14.23%5.35K
-154.16%-1.3K
131.31%2K
-44.80%2.2K
-Change in payables and accrued expense
310.95%177.97K
34.66%676.89K
58.48%260.05K
6.28%156.69K
60.45%216.84K
-22.66%43.31K
243.19%502.65K
25.43%164.09K
1,450.98%147.42K
1,124.73%135.14K
Cash from discontinued investing activities
Operating cash flow
100.18%305
-87.34%-429.82K
246.25%31.77K
-69.57%-204.89K
-298.43%-87.42K
-160.71%-169.28K
77.41%-229.43K
93.34%-21.73K
64.71%-120.83K
91.75%-21.94K
Investing cash flow
Cash flow from continuing investing activities
0
270.30%10.91K
-117.5K
2,167.96%132.49K
0
-4.09K
98.09%-6.41K
0
96.90%-6.41K
0
Net PPE purchase and sale
--0
270.30%10.91K
---117.5K
2,167.96%132.49K
--0
---4.09K
98.09%-6.41K
--0
96.90%-6.41K
--0
Cash from discontinued investing activities
Investing cash flow
--0
270.30%10.91K
---117.5K
2,167.96%132.49K
--0
---4.09K
98.09%-6.41K
--0
96.90%-6.41K
--0
Financing cash flow
Cash flow from continuing financing activities
-107.09%-15.54K
103.54%421.44K
229.76%67.6K
-32.07%98.05K
148.32%36.64K
697.66%219.15K
-83.89%207.06K
-91.44%20.5K
-77.20%144.33K
-96.55%14.75K
Net issuance payments of debt
-107.09%-15.54K
117.71%421.44K
137.20%67.6K
-32.07%98.05K
644.71%36.64K
697.66%219.15K
953.18%193.58K
285.96%28.5K
1,060.98%144.33K
-129.66%-6.73K
Net common stock issuance
----
----
----
--0
----
----
----
----
--0
----
Proceeds from stock option exercised by employees
----
--0
--0
--0
----
----
-94.71%13.48K
--0
--0
----
Cash from discontinued financing activities
Financing cash flow
-107.09%-15.54K
103.54%421.44K
229.76%67.6K
-32.07%98.05K
148.32%36.64K
697.66%219.15K
-83.89%207.06K
-91.44%20.5K
-77.20%144.33K
-96.55%14.75K
Net cash flow
Beginning cash position
13.81%20.8K
-61.16%18.28K
99.58%38.93K
449.92%13.28K
567.20%64.06K
-61.16%18.28K
-58.68%47.06K
-90.79%19.5K
-98.11%2.41K
-44.53%9.6K
Current changes in cash
-133.28%-15.23K
108.77%2.53K
-1,379.35%-18.12K
50.09%25.65K
-606.60%-50.78K
222.22%45.78K
56.94%-28.78K
99.26%-1.23K
-79.65%17.09K
-106.51%-7.19K
End cash Position
-91.30%5.57K
13.81%20.8K
13.81%20.8K
99.58%38.93K
449.92%13.28K
567.20%64.06K
-61.16%18.28K
-61.16%18.28K
-90.79%19.5K
-98.11%2.41K
Free cash flow
100.18%305
-89.08%-445.91K
172.20%15.69K
-57.82%-200.81K
-298.43%-87.42K
-167.01%-173.37K
82.55%-235.84K
94.62%-21.73K
76.82%-127.24K
93.08%-21.94K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
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--
--
--
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(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 100.18%305-87.39%-429.92K245.80%31.67K-69.57%-204.89K-298.43%-87.42K-160.71%-169.28K77.41%-229.43K93.34%-21.73K64.71%-120.83K91.75%-21.94K
Net income from continuing operations 10.16%-238.3K-517.48%-6.5M-50.37%-401.84K-8.81%-398.87K-2,027.00%-5.43M-62.64%-265.27K24.01%-1.05M47.61%-267.24K15.70%-366.57K11.97%-255.36K
Operating gains losses 2,296.49%13.75K8,976.28%5.08M-10.61%-1.73K-96.08%1.82K24,404.63%5.08M93.49%-62611,268.46%55.95K28.32%-1.56K129.40%46.41K281.35%20.73K
Depreciation and amortization -14.03%14.68K-1.53%67.28K-9.43%15.47K3.30%17.65K0.01%17.08K0.00%17.08K17.83%68.32K-0.13%17.08K13.77%17.08K32.06%17.08K
Other non cash items -35.23%25.26K-38.13%100.66K-50.94%22.19K-59.78%16.19K-38.90%23.28K-0.24%38.99K8.05%162.68K12.27%45.22K7.72%40.27K-0.08%38.11K
Change In working capital 356.22%184.92K31.41%676.71K54.52%253.19K11.51%158.32K42.64%224.67K-21.47%40.53K235.91%514.95K27.09%163.85K641.01%141.98K986.56%157.51K
-Change in receivables 152.73%6.95K-122.30%-1.55K-755.86%-7K76.67%-1.74K-77.99%4.44K140.15%2.75K1,069.53%6.95K124.84%1.07K-146.39%-7.44K335.66%20.17K
-Change in prepaid assets --0-74.28%1.38K110.52%13768.42%3.37K54.44%3.39K-324.69%-5.52K-14.23%5.35K-154.16%-1.3K131.31%2K-44.80%2.2K
-Change in payables and accrued expense 310.95%177.97K34.66%676.89K58.48%260.05K6.28%156.69K60.45%216.84K-22.66%43.31K243.19%502.65K25.43%164.09K1,450.98%147.42K1,124.73%135.14K
Cash from discontinued investing activities
Operating cash flow 100.18%305-87.34%-429.82K246.25%31.77K-69.57%-204.89K-298.43%-87.42K-160.71%-169.28K77.41%-229.43K93.34%-21.73K64.71%-120.83K91.75%-21.94K
Investing cash flow
Cash flow from continuing investing activities 0270.30%10.91K-117.5K2,167.96%132.49K0-4.09K98.09%-6.41K096.90%-6.41K0
Net PPE purchase and sale --0270.30%10.91K---117.5K2,167.96%132.49K--0---4.09K98.09%-6.41K--096.90%-6.41K--0
Cash from discontinued investing activities
Investing cash flow --0270.30%10.91K---117.5K2,167.96%132.49K--0---4.09K98.09%-6.41K--096.90%-6.41K--0
Financing cash flow
Cash flow from continuing financing activities -107.09%-15.54K103.54%421.44K229.76%67.6K-32.07%98.05K148.32%36.64K697.66%219.15K-83.89%207.06K-91.44%20.5K-77.20%144.33K-96.55%14.75K
Net issuance payments of debt -107.09%-15.54K117.71%421.44K137.20%67.6K-32.07%98.05K644.71%36.64K697.66%219.15K953.18%193.58K285.96%28.5K1,060.98%144.33K-129.66%-6.73K
Net common stock issuance --------------0------------------0----
Proceeds from stock option exercised by employees ------0--0--0---------94.71%13.48K--0--0----
Cash from discontinued financing activities
Financing cash flow -107.09%-15.54K103.54%421.44K229.76%67.6K-32.07%98.05K148.32%36.64K697.66%219.15K-83.89%207.06K-91.44%20.5K-77.20%144.33K-96.55%14.75K
Net cash flow
Beginning cash position 13.81%20.8K-61.16%18.28K99.58%38.93K449.92%13.28K567.20%64.06K-61.16%18.28K-58.68%47.06K-90.79%19.5K-98.11%2.41K-44.53%9.6K
Current changes in cash -133.28%-15.23K108.77%2.53K-1,379.35%-18.12K50.09%25.65K-606.60%-50.78K222.22%45.78K56.94%-28.78K99.26%-1.23K-79.65%17.09K-106.51%-7.19K
End cash Position -91.30%5.57K13.81%20.8K13.81%20.8K99.58%38.93K449.92%13.28K567.20%64.06K-61.16%18.28K-61.16%18.28K-90.79%19.5K-98.11%2.41K
Free cash flow 100.18%305-89.08%-445.91K172.20%15.69K-57.82%-200.81K-298.43%-87.42K-167.01%-173.37K82.55%-235.84K94.62%-21.73K76.82%-127.24K93.08%-21.94K
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion with Explanatory Notes----------------

Analysis

Analyst Rating

No Data

Price Target

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