Seabridge Gold Cash Flow Statement Analysis

Operating, investing, and financing activities in millions CAD

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Cash flow statement showing operating, investing, and financing activities for Seabridge Gold Inc. (SA) - Annual data in millions CAD
BreakdownFY 2024FY 2023FY 2022FY 2021FY 2020
Period EndingDec 2024Dec 2023Dec 2022Dec 2021Dec 2020
Operating Activities
Net Income-31.25-29.27-7.390.90-14.94
Depreciation & Amortization0.140.390.160.170.15
Deferred Income Tax11.38-8.708.274.630.00
Stock Based Compensation3.683.273.143.518.80
Change in Working Capital0.610.10-0.301.03-1.43
Change in Accounts Receivable-0.030.46-0.85-5.06-1.70
Change in Accounts Payable0.00-0.360.546.090.27
Change in Other Working Capital0.6422.13-36.10-0.350.00
Other Operating Activities1.233.77-9.964.38-2.51
Net Cash from Operating Activities-14.22-21.54-13.29-11.74-9.75
Investing Activities
Capital Expenditures-106.28-230.16-177.99-73.61-158.80
Acquisitions0.000.000.00-0.040.00
Purchases of Investments0.0081.69-52.45-9.34-16.23
Sales/Maturities of Investments0.00151.85349.3815.010.00
Other Investing Activities-14.96-54.42-50.69-17.64-5.44
Net Cash from Investing Activities-121.24-202.90-281.13-78.64-180.46
Financing Activities
Debt Repayment-0.64-0.67-0.33-0.080.00
Common Stock Issued101.0262.2943.9084.64199.74
Other Financing Activities0.890.0036.5859.100.00
Net Cash from Financing Activities101.27260.45325.8384.56199.72
Summary
Effect of Forex Changes on Cash1.570.273.22-0.180.00
Net Change in Cash-32.6236.2934.63-6.018.74
Cash at Beginning of Period82.4446.1511.5217.530.00
Cash at End of Period49.8282.4446.1511.520.00
Free Cash Flow-120.50-251.70-191.28-85.35-168.54
Supplemental Disclosures
Interest Paid0.000.0014.740.000.00