Golden Arrow Resources Corporation (GARWF)
OTHER OTC:GARWF
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Golden Arrow Resources (GARWF) Financial Statements

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Golden Arrow Resources Financial Overview

Golden Arrow Resources's market cap is currently ―. The company's EPS TTM is $-0.023; its P/E ratio is -1.68; Golden Arrow Resources is scheduled to report earnings on November 22, 2024, and the estimated EPS forecast is $―. See an overview of income statement, balance sheet, and cash flow financials.
Jun 24Mar 24Dec 23Sep 23Jun 23
Income Statement-
Total Revenue-----
Gross Profit--C$ 59.23KC$ -29.61K-
EBITC$ -2.37MC$ -592.34KC$ -1.05MC$ -266.18KC$ -2.27M
EBITDAC$ -2.36MC$ -578.59KC$ -1.02MC$ -236.57KC$ -2.24M
Net Income Common StockholdersC$ -2.38MC$ -598.06KC$ -1.06MC$ -275.84KC$ -2.28M
Balance Sheet-
Cash Cash Equivalents And Short Term InvestmentsC$ 791.42KC$ 507.69KC$ 115.80KC$ 1.93MC$ 1.31M
Total AssetsC$ 6.87MC$ 7.08MC$ 6.51MC$ 7.38MC$ 6.55M
Total DebtC$ 0.00C$ 178.33KC$ 190.77KC$ 348.59KC$ 375.48K
Net DebtC$ -791.42KC$ -329.36KC$ 74.97KC$ -1.59MC$ -930.72K
Total LiabilitiesC$ 3.40MC$ 1.24MC$ 935.64KC$ 751.51KC$ 719.15K
Stockholders EquityC$ 3.47MC$ 5.84MC$ 5.57MC$ 6.63MC$ 5.83M
Cash Flow-
Free Cash FlowC$ 295.84KC$ -460.51KC$ -582.63KC$ -1.33MC$ -2.86M
Operating Cash FlowC$ 297.28KC$ -456.60KC$ -641.97KC$ -1.25MC$ -2.86M
Investing Cash FlowC$ -1.44KC$ -3.91KC$ 59.34KC$ 673.80KC$ 3.00M
Financing Cash FlowC$ -12.11KC$ 852.40KC$ -36.54KC$ 759.24KC$ -36.54K
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

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