Radius Gold Inc. (RDUFF)
OTCMKTS · Delayed Price · Currency is USD
0.1000
0.00 (0.00%)
Feb 11, 2026, 9:30 AM EST

Radius Gold Balance Sheet

Millions CAD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
1.220.840.911.421.532.22
Short-Term Investments
0.810.571.011.870.740.9
Cash & Short-Term Investments
2.031.41.923.292.273.12
Cash Growth
125.58%-26.89%-41.60%44.73%-27.23%-13.75%
Other Receivables
0.030.050.190.080.030.06
Receivables
0.030.050.190.080.030.06
Prepaid Expenses
0.020.020.080.050.060.03
Other Current Assets
-----0
Total Current Assets
2.091.482.193.422.363.22
Property, Plant & Equipment
0.230.20.10.170.320.41
Long-Term Investments
----00
Other Long-Term Assets
0.170.160.060.120.120.12
Total Assets
2.51.842.363.712.83.75
Accounts Payable
0.170.210.060.070.080.09
Accrued Expenses
0.290.130.030.03-0
Current Portion of Leases
0.020.010.080.070.060.06
Total Current Liabilities
0.480.360.170.170.150.15
Long-Term Leases
0.070.08-0.080.150.22
Total Liabilities
0.550.440.170.250.30.37
Common Stock
59.5159.3458.7856.7356.7256.69
Retained Earnings
-61.74-60.78-59.82-57.19-58.26-57.37
Comprehensive Income & Other
4.192.833.243.914.044.05
Shareholders' Equity
1.951.42.193.462.53.38
Total Liabilities & Equity
2.51.842.363.712.83.75
Total Debt
0.090.10.080.150.220.28
Net Cash (Debt)
1.951.311.843.132.052.85
Net Cash Growth
121.30%-28.83%-41.34%52.63%-27.88%-13.60%
Net Cash Per Share
0.020.010.020.040.020.03
Filing Date Shares Outstanding
115.7107.5599.1287.2787.2487.12
Total Common Shares Outstanding
109.05107.4199.1287.2787.2487.12
Working Capital
1.621.122.023.252.223.06
Book Value Per Share
0.020.010.020.040.030.04
Tangible Book Value
1.951.42.193.462.53.38
Tangible Book Value Per Share
0.020.010.020.040.030.04
Machinery
0.150.150.150.160.440.66
Leasehold Improvements
0.010.01----
Source: S&P Global Market Intelligence. Standard template. Financial Sources.