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Group Eleven Resources Corp. (TSE:ZNG)
TSXV:ZNG
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Group Eleven Resources (ZNG) Financial Statements

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Group Eleven Resources Financial Overview

Group Eleven Resources's market cap is currently ―. The company's EPS TTM is C$-0.012; its P/E ratio is -13.67; Group Eleven Resources is scheduled to report earnings on August 23, 2024, and the estimated EPS forecast is C$―. See an overview of income statement, balance sheet, and cash flow financials.
Mar 24Dec 23Sep 23Jun 23Mar 23
Income Statement-
Total Revenue-----
Gross Profit-C$ 1.69K---
EBITC$ -434.24KC$ -907.14KC$ -535.13KC$ -507.42KC$ -586.87K
EBITDAC$ -432.83KC$ -905.02KC$ -534.88KC$ -507.16KC$ -585.69K
Net Income Common StockholdersC$ -430.53KC$ -880.24KC$ -526.12KC$ -504.12KC$ -574.83K
Balance Sheet-
Cash Cash Equivalents And Short Term InvestmentsC$ 2.70MC$ 3.36MC$ 981.87KC$ 1.75MC$ 604.86K
Total AssetsC$ 11.71MC$ 12.34MC$ 9.97MC$ 10.70MC$ 9.61M
Total DebtC$ 0.00C$ 0.00C$ 40.00KC$ 40.00KC$ 40.00K
Net DebtC$ -2.70MC$ -3.36MC$ -941.87KC$ -1.71MC$ -564.86K
Total LiabilitiesC$ 626.41KC$ 896.11KC$ 607.56KC$ 813.50KC$ 824.81K
Stockholders EquityC$ 8.22MC$ 8.57MC$ 6.46MC$ 6.98MC$ 5.87M
Cash Flow-
Free Cash FlowC$ -707.62KC$ -532.92KC$ -772.64KC$ -326.66KC$ -515.95K
Operating Cash FlowC$ -707.62KC$ -512.08KC$ -772.64KC$ -326.66KC$ -515.95K
Investing Cash Flow-C$ -20.85K---
Financing Cash FlowC$ 53.75KC$ 2.91M-C$ 1.48M-
Currency in CAD

Group Eleven Resources Earnings and Revenue History

Group Eleven Resources Debt to Assets

Group Eleven Resources Cash Flow

Group Eleven Resources Forecast EPS vs Actual EPS

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