Pure Gold Mining Inc. | Balance Sheet
Fiscal year is April-March. All values CAD Thousands.
2014
2015
2016
2017
2018
Cash & Short Term Investments
9,131.10
6,529.90
5,327.50
16,531.80
7,443.10
Total Accounts Receivable
99.40
164.80
210.40
813.30
685.10
Other Current Assets
100.80
83.20
77.40
912.30
434.80
Total Current Assets
9,331.40
6,777.90
5,615.30
18,257.50
8,563.00
Net Property, Plant & Equipment
6,864.90
6,604.50
6,590.70
6,262.70
6,539.80
Total Investments and Advances
1,407.70
1,747.50
2,427.00
2,822.30
1,740.00
Other Assets
7,635.80
11,208.80
7,064.70
7,969.30
7,818.80
Total Assets
25,239.80
26,338.70
21,697.70
35,311.80
24,661.60
Accounts Payable
587.40
-
-
-
-
Other Current Liabilities
2,604.20
1,787.20
1,408.40
5,103.50
3,317.80
Total Current Liabilities
3,191.60
1,787.20
1,408.40
5,103.50
3,317.80
Provision for Risks & Charges
2,320.20
2,568.50
2,459.80
2,480.50
2,373.00
Other Liabilities
-
3.30
3.30
48.50
-
Total Liabilities
5,511.90
4,358.90
3,871.50
7,632.50
5,690.70
Common Equity (Total)
19,727.90
21,979.70
17,826.20
27,679.30
18,970.80
Total Shareholders' Equity
19,727.90
21,979.70
17,826.20
27,679.30
18,970.80
Total Equity
19,727.90
21,979.70
17,826.20
27,679.30
18,970.80
Liabilities & Shareholders' Equity
25,239.80
26,338.70
21,697.70
35,311.80
24,661.60
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