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DC Dakota Gold

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  • 2.810
  • -0.060-2.09%
Close May 14 16:00 ET
  • 2.879
  • +0.069+2.44%
Post 19:54 ET
314.41MMarket Cap-9.06P/E (TTM)

Dakota Gold Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
61.36%-3.94M
-0.58%-31.48M
-26.74%-7.6M
2.90%-8.02M
33.98%-5.66M
-20.47%-10.19M
-69.94%-31.3M
-101.19%-6M
-8.26M
-8.57M
Net income from continuing operations
56.42%-3.75M
7.04%-33.88M
31.46%-6.04M
-18.15%-10.09M
6.82%-9.15M
7.25%-8.59M
-89.04%-36.45M
-301.85%-8.82M
---8.54M
---9.82M
Depreciation and amortization
-28.66%48.23K
-15.59%254.98K
-8.09%59.5K
-45.85%61.39K
5.13%66.49K
11.30%67.61K
89.48%302.08K
111.58%64.73K
--113.36K
--63.25K
Deferred tax
--0
93.16%-85.33K
94.28%-21.33K
92.51%-21.33K
93.22%-21.33K
92.23%-21.33K
47.63%-1.25M
92.97%-372.81K
---284.88K
---314.58K
Other non cash items
----
--137.48K
---1.29K
--55.66K
--45.67K
--37.44K
----
----
----
----
Change In working capital
60.71%-978.81K
-194.51%-1.68M
-211.11%-2.51M
298.32%894.33K
899.80%2.43M
-806.60%-2.49M
570.64%1.77M
80.88%2.26M
---450.95K
--242.82K
-Change in prepaid assets
59.77%-118.77K
202.74%152.13K
3,438.84%252.48K
-152.15%-79.64K
86.18%274.53K
-21.82%-295.25K
119.72%50.25K
58.22%-7.56K
--152.72K
--147.46K
-Change in payables and accrued expense
60.46%-860.04K
-194.70%-1.73M
-221.73%-2.76M
291.76%973.97K
2,244.27%2.24M
-6,614.06%-2.17M
1,590.68%1.82M
67.82%2.27M
---507.92K
--95.36K
-Change in other current assets
--0
-4.59%-103.1K
--0
--0
---82.36K
---20.74K
---98.57K
---2.83K
---95.75K
----
Cash from discontinued investing activities
Operating cash flow
61.36%-3.94M
-0.58%-31.48M
-26.74%-7.6M
2.90%-8.02M
33.98%-5.66M
-20.47%-10.19M
-69.94%-31.3M
-101.19%-6M
---8.26M
---8.57M
Investing cash flow
Cash flow from continuing investing activities
0
65.47%-573.58K
100.07%378
67.14%-178.76K
52.45%-241.57K
-113.31%-153.63K
-28.14%-1.66M
77.70%-537.26K
-544.05K
-508.01K
Net PPE purchase and sale
--0
65.47%-573.58K
100.07%378
67.14%-178.76K
53.13%-241.57K
-137.70%-153.63K
-28.14%-1.66M
77.51%-537.26K
---544.05K
---515.4K
Net other investing changes
----
----
----
----
----
-180.73%-20.74K
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
--0
65.47%-573.58K
100.07%378
67.14%-178.76K
52.45%-241.57K
-113.31%-153.63K
-28.14%-1.66M
77.70%-537.26K
---544.05K
---508.01K
Financing cash flow
Cash flow from continuing financing activities
44,570.50%41.14M
-54.00%15.91M
-88.04%2.31M
11.40%6.82M
61.69%6.87M
-101.89%-92.5K
1,456.37%34.59M
19.33M
6.12M
4.25M
Net common stock issuance
43,344.44%40M
-55.21%15.57M
-88.66%2.19M
9.48%6.64M
52.69%6.83M
-101.89%-92.5K
1,159.09%34.77M
--19.33M
--6.06M
--4.47M
Proceeds from stock option exercised by employees
--1.64M
74.76%158.61K
--120.21K
--0
--38.4K
--0
365.35%90.76K
--0
--60K
--0
Net other financing activities
---507.59K
169.43%182.76K
--0
----
----
----
52.83%-263.21K
--3
--0
---225.21K
Cash from discontinued financing activities
Financing cash flow
44,570.50%41.14M
-54.00%15.91M
-88.04%2.31M
11.40%6.82M
61.69%6.87M
-101.89%-92.5K
1,456.37%34.59M
--19.33M
--6.12M
--4.25M
Net cash flow
Beginning cash position
-63.17%9.41M
6.84%25.55M
15.21%14.7M
4.12%16.08M
-25.48%15.11M
6.84%25.55M
-42.24%23.91M
-72.74%12.76M
--15.44M
--20.27M
Current changes in cash
456.27%37.2M
-1,086.17%-16.14M
-141.33%-5.29M
48.54%-1.38M
120.03%968.37K
-186.94%-10.44M
109.36%1.64M
337.37%12.79M
---2.68M
---4.83M
End cash Position
208.48%46.6M
-63.17%9.41M
-63.17%9.41M
15.21%14.7M
4.12%16.08M
-25.48%15.11M
6.84%25.55M
-38.29%25.55M
--12.76M
--15.44M
Free cash flow
61.94%-3.94M
2.75%-32.05M
-16.31%-7.6M
6.87%-8.2M
35.07%-5.9M
-21.36%-10.35M
-67.19%-32.96M
-21.67%-6.53M
---8.81M
---9.09M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 61.36%-3.94M-0.58%-31.48M-26.74%-7.6M2.90%-8.02M33.98%-5.66M-20.47%-10.19M-69.94%-31.3M-101.19%-6M-8.26M-8.57M
Net income from continuing operations 56.42%-3.75M7.04%-33.88M31.46%-6.04M-18.15%-10.09M6.82%-9.15M7.25%-8.59M-89.04%-36.45M-301.85%-8.82M---8.54M---9.82M
Depreciation and amortization -28.66%48.23K-15.59%254.98K-8.09%59.5K-45.85%61.39K5.13%66.49K11.30%67.61K89.48%302.08K111.58%64.73K--113.36K--63.25K
Deferred tax --093.16%-85.33K94.28%-21.33K92.51%-21.33K93.22%-21.33K92.23%-21.33K47.63%-1.25M92.97%-372.81K---284.88K---314.58K
Other non cash items ------137.48K---1.29K--55.66K--45.67K--37.44K----------------
Change In working capital 60.71%-978.81K-194.51%-1.68M-211.11%-2.51M298.32%894.33K899.80%2.43M-806.60%-2.49M570.64%1.77M80.88%2.26M---450.95K--242.82K
-Change in prepaid assets 59.77%-118.77K202.74%152.13K3,438.84%252.48K-152.15%-79.64K86.18%274.53K-21.82%-295.25K119.72%50.25K58.22%-7.56K--152.72K--147.46K
-Change in payables and accrued expense 60.46%-860.04K-194.70%-1.73M-221.73%-2.76M291.76%973.97K2,244.27%2.24M-6,614.06%-2.17M1,590.68%1.82M67.82%2.27M---507.92K--95.36K
-Change in other current assets --0-4.59%-103.1K--0--0---82.36K---20.74K---98.57K---2.83K---95.75K----
Cash from discontinued investing activities
Operating cash flow 61.36%-3.94M-0.58%-31.48M-26.74%-7.6M2.90%-8.02M33.98%-5.66M-20.47%-10.19M-69.94%-31.3M-101.19%-6M---8.26M---8.57M
Investing cash flow
Cash flow from continuing investing activities 065.47%-573.58K100.07%37867.14%-178.76K52.45%-241.57K-113.31%-153.63K-28.14%-1.66M77.70%-537.26K-544.05K-508.01K
Net PPE purchase and sale --065.47%-573.58K100.07%37867.14%-178.76K53.13%-241.57K-137.70%-153.63K-28.14%-1.66M77.51%-537.26K---544.05K---515.4K
Net other investing changes ---------------------180.73%-20.74K----------------
Cash from discontinued investing activities
Investing cash flow --065.47%-573.58K100.07%37867.14%-178.76K52.45%-241.57K-113.31%-153.63K-28.14%-1.66M77.70%-537.26K---544.05K---508.01K
Financing cash flow
Cash flow from continuing financing activities 44,570.50%41.14M-54.00%15.91M-88.04%2.31M11.40%6.82M61.69%6.87M-101.89%-92.5K1,456.37%34.59M19.33M6.12M4.25M
Net common stock issuance 43,344.44%40M-55.21%15.57M-88.66%2.19M9.48%6.64M52.69%6.83M-101.89%-92.5K1,159.09%34.77M--19.33M--6.06M--4.47M
Proceeds from stock option exercised by employees --1.64M74.76%158.61K--120.21K--0--38.4K--0365.35%90.76K--0--60K--0
Net other financing activities ---507.59K169.43%182.76K--0------------52.83%-263.21K--3--0---225.21K
Cash from discontinued financing activities
Financing cash flow 44,570.50%41.14M-54.00%15.91M-88.04%2.31M11.40%6.82M61.69%6.87M-101.89%-92.5K1,456.37%34.59M--19.33M--6.12M--4.25M
Net cash flow
Beginning cash position -63.17%9.41M6.84%25.55M15.21%14.7M4.12%16.08M-25.48%15.11M6.84%25.55M-42.24%23.91M-72.74%12.76M--15.44M--20.27M
Current changes in cash 456.27%37.2M-1,086.17%-16.14M-141.33%-5.29M48.54%-1.38M120.03%968.37K-186.94%-10.44M109.36%1.64M337.37%12.79M---2.68M---4.83M
End cash Position 208.48%46.6M-63.17%9.41M-63.17%9.41M15.21%14.7M4.12%16.08M-25.48%15.11M6.84%25.55M-38.29%25.55M--12.76M--15.44M
Free cash flow 61.94%-3.94M2.75%-32.05M-16.31%-7.6M6.87%-8.2M35.07%-5.9M-21.36%-10.35M-67.19%-32.96M-21.67%-6.53M---8.81M---9.09M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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