i-80 Gold Corp. (IAUX)

Last Closing Price: 0.50 (2025-05-30)

Cash Flow from Operating Activities (Quarterly)

Cash Flow from Operating Activities: A company's cash flows from operations.

i-80 Gold Corp. (IAUX) had Cash Flow from Operating Activities of $-22.70M for the most recently reported fiscal quarter, ending 2025-03-31.

Figures for fiscal quarter ending 2025-03-31
Income Statement Financials
$14.05M
$-41.20M
$10.77M
$3.28M
$29.82M
$-15.78M
$-25.43M
$-41.20M
$-41.20M
$-41.20M
$-41.20M
$-41.20M
$-41.20M
$-15.78M
$-15.03M
431.34M
431.34M
$-0.10
$-0.10
Balance Sheet Financials
$44.88M
$572.50M
$614.09M
$658.97M
$85.67M
$156.65M
$255.34M
$341.01M
$317.96M
$317.96M
$317.96M
443.36M
Cash Flow Statement Financials
Cash Flow from Operating Activities
$-22.70M
$-0.36M
$18.32M
$59.29M
$54.42M
$-4.87M
$0.69M
--
--
Fundamental Metrics & Ratios
0.52
--
--
0.33
0.62
23.36%
-112.30%
-112.30%
--
-293.32%
-293.32%
$-23.06M
--
--
--
0.02
0.45
6.02
14.95
-12.96%
-12.96%
-6.25%
-8.68%
$0.72
$-0.05
$-0.05