Spanish Mountain Gold Ltd. | Balance Sheet
Fiscal year is January-December. All values CAD Thousands.
2013
2014
2015
2016
2017
2018
Cash & Short Term Investments
373.60
182.40
413.10
2,796.80
3,207.90
1,538.50
Total Accounts Receivable
2,255.90
14.90
2.50
29.80
165.40
113.10
Other Current Assets
98.40
38.00
21.10
22.10
95.30
29.10
Total Current Assets
2,727.90
235.30
436.60
2,848.70
3,468.60
1,680.70
Net Property, Plant & Equipment
76,813.80
77,909.10
77,917.30
74,471.60
74,743.60
76,214.60
Total Investments and Advances
-
-
110.00
110.00
110.00
110
Other Assets
117.00
110.00
-
-
-
-
Total Assets
86,230.80
85,990.70
86,347.30
84,158.00
85,431.20
85,315.20
Accounts Payable
1,285.50
-
-
-
-
Other Current Liabilities
106.20
791.40
1,066.40
399.40
285.20
Total Current Liabilities
1,391.70
791.40
1,066.40
399.40
285.20
Deferred Taxes
3,282.20
2,126.30
1,952.40
63.40
1,092.70
Other Liabilities
-
18.00
18.00
18.00
55.50
Total Liabilities
11,245.90
10,671.90
10,920.20
7,208.50
8,542.40
Common Equity (Total)
74,984.90
75,318.80
75,427.10
76,949.40
76,888.80
Total Shareholders' Equity
74,984.90
75,318.80
75,427.10
76,949.40
76,888.80
Total Equity
74,984.90
75,318.80
75,427.10
76,949.40
76,888.80
Liabilities & Shareholders' Equity
86,230.80
85,990.70
86,347.30
84,158.00
85,431.20
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