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Golden Arrow Resources Corporation (DE:G6A)
FRANKFURT:G6A
Germany Market

Golden Arrow Resources (G6A) Financial Statements

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Golden Arrow Resources Financial Overview

Golden Arrow Resources's market cap is currently €11.09M. The company's EPS TTM is €0.4663; its P/E ratio is 0.23; Golden Arrow Resources is scheduled to report earnings on August 25, 2026, and the estimated EPS forecast is €―. See an overview of income statement, balance sheet, and cash flow financials.
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Income Statement
Total RevenueC$ 0.00C$ 0.00C$ 0.00C$ 0.00C$ 0.00
Gross ProfitC$ -93.54KC$ -38.18KC$ -122.54KC$ -121.55KC$ -126.69K
Operating IncomeC$ -4.68MC$ -8.63MC$ -7.86MC$ -6.13MC$ -6.80M
EBITDAC$ -1.39MC$ -8.57MC$ -7.81MC$ -5.89MC$ -6.67M
Net IncomeC$ -1.16MC$ -8.37MC$ -5.82MC$ -6.05MC$ -6.05M
Balance Sheet
Cash & Short-Term InvestmentsC$ 2.93MC$ 868.62KC$ 115.80KC$ 6.23MC$ 16.03M
Total AssetsC$ 8.04MC$ 6.72MC$ 6.51MC$ 11.44MC$ 17.24M
Total DebtC$ 0.00C$ 0.00C$ 190.77KC$ 427.46KC$ 346.88K
Net DebtC$ -215.91KC$ -868.62KC$ 74.97KC$ -179.25KC$ -556.69K
Total LiabilitiesC$ 929.91KC$ 1.25MC$ 935.64KC$ 1.01MC$ 734.13K
Stockholders' EquityC$ 5.47MC$ 5.47MC$ 5.57MC$ 10.43MC$ 16.50M
Cash Flow
Free Cash FlowC$ -5.19MC$ -3.75MC$ -7.60MC$ -9.76MC$ -5.54M
Operating Cash FlowC$ -4.99MC$ -3.57MC$ -7.59MC$ -5.52MC$ -5.28M
Investing Cash FlowC$ 3.89MC$ -18.11KC$ 6.45MC$ 5.36MC$ -89.33K
Financing Cash FlowC$ 450.00KC$ 4.34MC$ 649.63KC$ -143.76KC$ -332.01K
Currency in CAD

Golden Arrow Resources Earnings and Revenue History

Golden Arrow Resources Debt to Assets

Golden Arrow Resources Cash Flow

Golden Arrow Resources Forecast EPS vs Actual EPS