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ODVWZOsisko Development Corp. Warrant expiring 5/27/2027
$0.06$7M
Overview & Verdict
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Osisko Development Corp. Warrant expiring 5/27/2027 (ODVWZ) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Osisko Development Corp. Warrant expiring 5/27/2027 (ODVWZ) quarterly cash flow statement — complete operating, investing & financing history

ODVWZ Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21
Cash from Operations1.89M11.94M-3.85M-20.59M-12.5M-17.73M-12.26M-13.25M-9.06M-10.14M-9.08M-11.73M-12.84M-11.26M13.08M-35.19M-16.9M-22.35M-2.94M-6.42M
Operating CF Margin %85.37%49.3%-87.23%-300.12%---7615.53%-503.31%-512.79%-146.77%-87.14%-108.13%-372.04%-58.55%57.41%-273.58%-184.31%-749.97%-75.24%-828.9%
Operating CF Growth %115.12%167.3%68.63%-55.39%-38%-74.97%-35.02%-12.94%29.43%9.95%-169.41%66.67%24.01%49.64%545.19%-447.79%-74.11%-1425.53%-144.31%-
Net Income32.22M61.23M-150.28M-47.4M-37.33M-15.81M-33.86M-28.68M-7.99M-138.09M-7.12M-13.32M-23.34M-64.9M-103.73M-1.5M-22.33M-56.45M-31.75M-41.4M
Depreciation & Amortization452K01.64M2.46M2M2.5M2.53M3.04M2.94M2.5M2.65M2.83M3.55M1.69M2.57M3.87M3.45M2.43M16K43K
Stock-Based Compensation1.1M01.01M1.5M378K1.73M1.54M165K94K1.59M1.86M2.32M2.08M2.05M2.19M1.32M1.88M469K1.93M472K
Deferred Taxes-291K0-149K-253K-3K-648K589K439K268K-22.15M458K-222K-729K216K01.52M-31K-6.28M-3.95M-1.56M
Other Non-Cash Items-37.86M-41.65M148.36M20.79M20.02M-2.81M16.17M14.13M-6.55M143.06M-7.29M-1.15M1.97M63.17M98.69M-30.13M-233K45.19M27.85M38.74M
Working Capital Changes6.27M-7.64M-4.42M2.32M2.42M-2.68M773K-2.34M2.17M2.96M365K-2.2M3.63M-13.48M13.36M-10.27M372K-7.71M2.96M-2.72M
Change in Receivables4.08M-8.34M3K465K1.09M-59K-521K951K1.21M2.6M-1.4M-510K7.6M6.53M1.68M-1.02M214K3.05M-2.55M772K
Change in Inventory-2.28M-1.24M1.49M2.27M44K-258K55K849K21K-3.06M-292K629K693K-6.28M15.38M472K-6.42M-4.72M-762K1.1M
Change in Payables01.13M0896K1.45M-2.81M283K-3.55M1.94M1.68M1.4M510K-7.6M-6.53M-1.68M1.02M0000
Cash from Investing-63.32M-66.6M-8.48M-13.26M-14.44M-6.55M-12.27M-9.62M-6.79M-16.45M-4.53M-22M-23.09M-30.93M-20.54M-97.76M3.31M-18.66M-69.15M-47.46M
Capital Expenditures-63.66M-63.39M-11.19M-13.26M-15.33M-13.11M-10.79M-11.97M-10.14M-11.37M-7.76M-17.36M-18.66M-25M-18.36M-20.97M-13.03M98.01M-55.92M-53.83M
CapEx % of Revenue2875.47%261.84%253.87%193.35%--6700.62%454.94%573.68%164.64%74.5%160.08%540.57%130.03%80.56%163.03%142.18%3288.96%1431.64%6945.42%
Acquisitions0-532K000-448K716K246K3.81M2.76M-24K24K0-804K0-62.19M00-2.2M-46.6M
Investments--------------------
Other Investing-700K-2.68M1K0531K2.49M-660K-46K-1.12M-5.87M788K-5.05M-5.01M-6.08M-2.32M-5.89M-269K-136.55M-3.29M45.37M
Cash from Financing225.8M80.23M369.36M-807K-1.95M86.02M31.88M-1.55M29.12M-979K-1.7M-1.58M52.05M7.33M-162K210.22M37.14M2.43M-1.59M-1.72M
Debt Issued (Net)3.92M3.11M102.43M-832K-1.72M-36.62M31.91M-1.46M29.09M-570K-1.65M-775K3.03M7.19M-276K784K1.87M1.98M-1.59M-1.72M
Equity Issued (Net)221.88M77.29M280.4M25K24K126.88M24K25K33K-86K0-470K49.02M203K0208.04M40.26M919K00
Dividends Paid00000000000000000000
Share Repurchases00000000000000000000
Other Financing0-168K-13.47M0-253K-4.24M-58K-119K33K-323K-58K-337K0-61K114K1.4M-4.99M-463K03K
Net Change in Cash172M-258.27M355.05M-31.3M-29.06M65.84M7.13M-23.85M14.07M-28.04M-15.41M-35.26M16.22M-27.19M-3.16M79.5M23.39M-38.74M-72.47M-56.36M
Free Cash Flow-61.77M-49.7M-15.04M-33.85M-27.84M-29.33M-21.94M-25.22M-19.2M-21.51M-16.84M-29.09M-31.49M-36.26M-5.28M-56.16M-29.93M75.66M-58.86M-60.25M
FCF Margin %-2790.11%-205.27%-341.1%-493.47%---13624.84%-958.24%-1086.47%-311.41%-161.64%-268.21%-912.6%-188.58%-23.15%-436.6%-326.5%2538.99%-1506.89%-7774.32%
FCF Growth %-121.91%-69.44%31.44%-34.2%-45%-36.38%-30.22%13.31%39.04%40.68%-219.22%48.2%-5.23%-147.92%91.03%6.79%34.22%395.02%-240.97%-
FCF per Share-0.20-0.19-0.11-0.25-0.20-0.24-0.26-0.30-0.23-0.26-0.20-0.35-0.40-0.48-0.07-0.97-1.982.00-1.33-1.36
FCF Conversion (FCF/Net Income)0.03x0.18x0.03x0.43x0.33x1.12x0.36x0.46x1.13x0.07x1.27x0.88x0.55x0.17x-0.13x23.46x0.76x0.40x0.09x0.16x
Interest Paid00000000000000000000
Taxes Paid00000000000000000000