Gold Mountain Mining Corp. (DE:5XFA)
FRANKFURT:5XFA
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Gold Mountain Mining Corp. (5XFA) Financial Statements

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Gold Mountain Mining Corp. Financial Overview

Gold Mountain Mining Corp.'s market cap is currently ―. The company's EPS TTM is €-0.072; its P/E ratio is -0.39; Gold Mountain Mining Corp. is scheduled to report earnings on December 13, 2024, and the estimated EPS forecast is €―. See an overview of income statement, balance sheet, and cash flow financials.
Jul 24Apr 24Jan 24Oct 23Jul 23
Income Statement-
Total RevenueC$ 105.01KC$ 888.55KC$ 424.10KC$ 1.78MC$ 2.20M
Gross ProfitC$ -1.17MC$ -2.42MC$ -1.84MC$ -2.51MC$ -134.61K
EBITC$ -1.78MC$ -7.30MC$ -2.33MC$ -3.09MC$ -812.02K
EBITDAC$ -1.63MC$ -7.14MC$ -2.17MC$ -2.91MC$ -610.06K
Net Income Common StockholdersC$ -2.17MC$ -7.83MC$ -2.63MC$ -3.28MC$ -977.55K
Balance Sheet-
Cash Cash Equivalents And Short Term InvestmentsC$ 66.33KC$ 125.29KC$ 71.38KC$ 71.59KC$ 395.16K
Total AssetsC$ 50.22MC$ 50.62MC$ 50.35MC$ 48.36MC$ 48.15M
Total DebtC$ 5.32MC$ 6.77MC$ 1.38MC$ 1.41MC$ 429.28K
Net DebtC$ 5.26MC$ 6.65MC$ 1.31MC$ 1.34MC$ 34.11K
Total LiabilitiesC$ 16.41MC$ 18.60MC$ 18.70MC$ 14.11MC$ 10.58M
Stockholders EquityC$ 33.81MC$ 32.02MC$ 31.65MC$ 34.25MC$ 37.57M
Cash Flow-
Free Cash FlowC$ 336.00C$ -641.79KC$ 647.00KC$ -1.83MC$ -2.33M
Operating Cash FlowC$ 208.60KC$ 622.69KC$ 3.41MC$ -1.52MC$ -276.49K
Investing Cash FlowC$ -208.26KC$ -1.26MC$ -2.51MC$ 242.89KC$ -2.06M
Financing Cash FlowC$ -59.30KC$ 695.70KC$ -894.71KC$ 953.20KC$ -182.32K
Currency in CAD

Gold Mountain Mining Corp. Earnings and Revenue History

Gold Mountain Mining Corp. Debt to Assets

Gold Mountain Mining Corp. Cash Flow

Gold Mountain Mining Corp. Forecast EPS vs Actual EPS

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