Lion One Metals Limited

TSXV:LIO Stock Report

Market Cap: CA$104.9m

Lion One Metals Balance Sheet Health

Financial Health criteria checks 2/6

Lion One Metals hat ein Gesamteigenkapital von CA$173.4M und eine Gesamtverschuldung von CA$26.4M, was einen Verschuldungsgrad von 15.2% ergibt. Die Gesamtaktiva und Gesamtpassiva betragen CA$209.6M bzw. CA$36.2M.

Key information

19.4%

Debt to equity ratio

CA$33.14m

Debt

Interest coverage ration/a
CashCA$13.45m
EquityCA$170.96m
Total liabilitiesCA$45.52m
Total assetsCA$216.48m

Recent financial health updates

Recent updates

Is Lion One Metals (CVE:LIO) A Risky Investment?

Oct 11
Is Lion One Metals (CVE:LIO) A Risky Investment?

We're A Little Worried About Lion One Metals' (CVE:LIO) Cash Burn Rate

Mar 10
We're A Little Worried About Lion One Metals' (CVE:LIO) Cash Burn Rate

Will Lion One Metals (CVE:LIO) Spend Its Cash Wisely?

Nov 22
Will Lion One Metals (CVE:LIO) Spend Its Cash Wisely?

We Think Lion One Metals (CVE:LIO) Can Afford To Drive Business Growth

Jul 12
We Think Lion One Metals (CVE:LIO) Can Afford To Drive Business Growth

We're Not Very Worried About Lion One Metals' (CVE:LIO) Cash Burn Rate

Sep 12
We're Not Very Worried About Lion One Metals' (CVE:LIO) Cash Burn Rate

We're Hopeful That Lion One Metals (CVE:LIO) Will Use Its Cash Wisely

May 12
We're Hopeful That Lion One Metals (CVE:LIO) Will Use Its Cash Wisely

Here's Why We're Not At All Concerned With Lion One Metals' (CVE:LIO) Cash Burn Situation

Jan 27
Here's Why We're Not At All Concerned With Lion One Metals' (CVE:LIO) Cash Burn Situation

Who Has Been Selling Lion One Metals Limited (CVE:LIO) Shares?

Jun 22
Who Has Been Selling Lion One Metals Limited (CVE:LIO) Shares?

Financial Position Analysis

Kurzfristige Verbindlichkeiten: LIODie kurzfristigen Aktiva des Unternehmens (CA$36.9M) übersteigen seine kurzfristigen Passiva (CA$5.8M).

Langfristige Verbindlichkeiten: LIODie kurzfristigen Vermögenswerte des Unternehmens (CA$25.8M) decken seine langfristigen Verbindlichkeiten (CA$38.7M) nicht.


Debt to Equity History and Analysis

Verschuldungsgrad: LIODie Nettoverschuldung im Verhältnis zum Eigenkapital (11.5%) wird als zufriedenstellend angesehen.

Schulden abbauen: LIODas Verhältnis von Schulden zu Eigenkapital ist in den letzten 5 Jahren von 0% auf 15.2% gestiegen.


Balance Sheet


Cash Runway Analysis

For companies that have on average been loss-making in the past, we assess whether they have at least 1 year of cash runway.

Stabile Start- und Landebahn für Bargeld: LIO hat auf der Grundlage seines derzeitigen freier Cashflows weniger als ein Jahr Liquiditätsspielraum.

Vorhersage Cash Runway: LIO hat weniger als ein Jahr Liquiditätsreserven, wenn der freie Cashflow weiterhin mit den historischen Raten von 32.8% pro Jahr abnimmt


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