ORETERRA METALS CORP (OTMC.CA) Stock Cash Flow

TSX-V:OTMCCA68616A1003

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0.6 CAD
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TTM
(2025-12-31)
2025
(2025-6-30)
2024
(2024-6-30)
2023
(2023-6-30)
2022
(2022-6-30)
CASH FLOWS FROM OPERATING ACTIVITIES
Net Income
OTMC.CA Net Income ChartOTMC.CA Net Income over time chart
-99.60K-443.40K-828.30K-2.70M-1.28M
Depreciation Amortization
OTMC.CA Depreciation Amortization ChartOTMC.CA Depreciation Amortization over time chart
63.00K63.00K63.00K52.10K18.80K
Income Taxes - Deferred
OTMC.CA Income Taxes - Deferred ChartOTMC.CA Income Taxes - Deferred over time chart
N/AN/AN/A0.00-140.40K
Change In Working Capital
OTMC.CA Change In Working Capital ChartOTMC.CA Change In Working Capital over time chart
-230.20K242.50K152.50K-99.10K63.70K
Other non cash items
OTMC.CA Other non cash items ChartOTMC.CA Other non cash items over time chart
-241.10K-55.70K147.10K1.16M503.50K
OPERATING CASH FLOW
OTMC.CA OPERATING CASH FLOW ChartOTMC.CA OPERATING CASH FLOW over time chart
-507.90K-193.60K-465.70K-1.59M-829.70K
 
CASH FLOWS FROM INVESTING ACTIVITIES
Capital Expenditure
OTMC.CA Capital Expenditure ChartOTMC.CA Capital Expenditure over time chart
N/AN/AN/A-13.10K-87.70K
Other Investing Activity
OTMC.CA Other Investing Activity ChartOTMC.CA Other Investing Activity over time chart
N/A90.20K219.20KN/AN/A
INVESTING CASH FLOW
OTMC.CA INVESTING CASH FLOW ChartOTMC.CA INVESTING CASH FLOW over time chart
N/A90.20K219.20K-13.10K-87.70K
 
CASH FLOWS FROM FINANCING ACTIVITIES
Debt Issued/Reduced
OTMC.CA Debt Issued/Reduced ChartOTMC.CA Debt Issued/Reduced over time chart
-73.80K-73.60K-72.20K-64.00K-23.20K
Stock Issued/Repurchased
OTMC.CA Stock Issued/Repurchased ChartOTMC.CA Stock Issued/Repurchased over time chart
810.00K150.00K307.30K208.00K1.01M
Other Financing Activity
OTMC.CA Other Financing Activity ChartOTMC.CA Other Financing Activity over time chart
-129.10K-3.50K-3.50K449.80K76.60K
FINANCING CASH FLOW
OTMC.CA FINANCING CASH FLOW ChartOTMC.CA FINANCING CASH FLOW over time chart
607.10K72.90K231.60K593.90K1.06M
 
CHANGE IN CASH
OTMC.CA CHANGE IN CASH ChartOTMC.CA CHANGE IN CASH over time chart
204.70K-30.50K-15.00K-1.01M146.90K
 
FREE CASH FLOW
Operating Cash Flow
OTMC.CA Operating Cash Flow ChartOTMC.CA Operating Cash Flow over time chart
-507.90K-193.60K-465.70K-1.59M-829.70K
Capital Expenditure
OTMC.CA Capital Expenditure ChartOTMC.CA Capital Expenditure over time chart
N/AN/AN/A-13.10K-87.70K
FREE CASH FLOW
OTMC.CA FREE CASH FLOW ChartOTMC.CA FREE CASH FLOW over time chart
-519.60K-193.60K-465.70K-1.60M-917.40K

All data in CAD

Charts

OTMC.CA Operating and Free Cash Flow chartOTMC.CA OCF and FCF ChartOperating And Free Cash Flow 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 TTM -500K -1M -1.5M