Silver One Resources Inc.

TSXV:SVE Stock Report

Market Cap: CA$59.2m

Silver One Resources Balance Sheet Health

Financial Health criteria checks 6/6

Silver One Resources has a total shareholder equity of CA$40.5M and total debt of CA$0.0, which brings its debt-to-equity ratio to 0%. Its total assets and total liabilities are CA$41.4M and CA$945.6K respectively.

Key information

0%

Debt to equity ratio

CA$0

Debt

Interest coverage ration/a
CashCA$4.33m
EquityCA$40.47m
Total liabilitiesCA$945.65k
Total assetsCA$41.42m

Recent financial health updates

Recent updates

Will Silver One Resources (CVE:SVE) Spend Its Cash Wisely?

Dec 01
Will Silver One Resources (CVE:SVE) Spend Its Cash Wisely?

Will Silver One Resources (CVE:SVE) Spend Its Cash Wisely?

Aug 18
Will Silver One Resources (CVE:SVE) Spend Its Cash Wisely?

We Think Silver One Resources (CVE:SVE) Needs To Drive Business Growth Carefully

Apr 17
We Think Silver One Resources (CVE:SVE) Needs To Drive Business Growth Carefully

Is Silver One Resources (CVE:SVE) In A Good Position To Deliver On Growth Plans?

Dec 30
Is Silver One Resources (CVE:SVE) In A Good Position To Deliver On Growth Plans?

Is Silver One Resources (CVE:SVE) In A Good Position To Invest In Growth?

Sep 02
Is Silver One Resources (CVE:SVE) In A Good Position To Invest In Growth?

Financial Position Analysis

Short Term Liabilities: SVE's short term assets (CA$5.3M) exceed its short term liabilities (CA$91.2K).

Long Term Liabilities: SVE's short term assets (CA$5.3M) exceed its long term liabilities (CA$854.4K).


Debt to Equity History and Analysis

Debt Level: SVE is debt free.

Reducing Debt: SVE has not had any debt for past 5 years.


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.

Stable Cash Runway: SVE has sufficient cash runway for more than a year based on its current free cash flow.

Forecast Cash Runway: SVE has sufficient cash runway for 1.2 years if free cash flow continues to reduce at historical rates of 3.3% each year.


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