Katoro Gold PLC (KAT)

Industry Gold

This stock can be held in an Investment ISA, SIPP and Investment Account
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0.04p

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0.045p

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Katoro Gold PLC is developer gold projects in Tanzania. The company has two major projects: Imweru and Lubando. Imweru project is in the Lake Victoria Goldfields region of northern Tanzania and forms part of the Imweru Licence Portfolio.
Prices updated at 21 Feb 2025, 15:38 GMT
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Prices in GBX

Income statement

Year20162017201820192020202120222023
--------
--------
-16,514-177,205-423,121-707,969-3m-1m-950,056-613,988
--------
-184,122-2m-479,205-661,902-2m-1m-1m-576,141
-16,514-177,205-423,121-668,659-3m-1m-950,056-613,988
Sales, General and administrative16,514177,205400,505514,220894,872689,396664,682450,540
Interest expenses----22,303---
Provision for income taxes------61-
Operating expenses16,514177,205423,121707,9693m1m950,056613,988
Income before taxes-184,122-2m-479,205-668,659-3m-1m-1m-613,860
Net income available to common shareholders-184,122-2m-479,205-661,902-2m-1m-1m-576,141
-0.0036-0.042-0.0039-0.0039-0.0091-0.0027-0.0023-0.0009
Net interest income-----12,73310,1215,26012
Advertising and promotion--------
Net investment income, net--36,00521,6561,649-76,88915,471-407-311
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)-0.0036-0.042-0.0039-0.0039-0.0091-0.0027-0.0023-0.0009
Free cash flow per share--0.0113-0.0214-0.0042-0.0027-0.0035-0.0022-0.0009
Book value/share-0.01210.00170.00180.00470.00110.0016-0.0001
Debt equity ratio--------

Balance sheet

Year20162017201820192020202120222023
Current assets713,305566,658412,73147,955144,182876,65865,93616,330
Current liabilities133,285175,284175,499117,402231,806163,732296,844654,618
Total capital580,020391,374446,732144,442191,3111m61,732-346,345
Total debt--------
Total equity580,020391,374446,732144,442191,3111m61,732-346,345
Total non current liabilities--------
Loans--------
Total assets713,305566,658622,231295,116353,6821m65,93616,330
Total liabilities--------
Cash and cash equivalents597,664564,840412,73127,97297,777827,95649,596414
Common stock17m108m149m180m329m460m460m669m

Cash flow

Year20162017201820192020202120222023
Cash at beginning of period813,45511,257564,840412,73134,93897,777827,95649,596
Cash dividends paid--------
-215,791-1m-465,669-580,727-1m-915,880-893,310-200,388
Investments (gains) losses-----1m-125,866--
597,664564,840412,73134,93897,777827,95649,596414
Net income--------
-215,791-1m-465,669-580,727-1m-915,880-893,310-200,388
--------
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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