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Sandstorm Gold Ltd (SAND)

Sandstorm Gold Ltd (SAND)
7.30 x 200 7.41 x 200
Post-market by (Cboe BZX)
7.37 +0.52 (+7.59%) 03/25/25 [NYSE]
7.30 x 200 7.41 x 200
Post-market 7.33 -0.04 (-0.54%) 19:56 ET
Cash Flow for Tue, Mar 25th, 2025
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Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2024 12-2023 12-2022 12-2021 12-2020
Cash Flows From Operating Activities
Net Income 15,504 42,709 78,450 27,622 13,817
Depreciation Amortization 97,238 115,327 77,432 38,249 35,546
Income taxes - deferred 5,540 -4,503 4,058 14,202 7,595
Accounts receivable -2,577 1,494 -5,498 -4,213 -553
Accounts payable and accrued liabilities -1,014 203 2,608 1,872 -2,169
Other Working Capital -3,591 1,697 -2,890 -2,341 -2,722
Other Operating Activity 24,278 -4,173 -47,244 5,748 14,102
Operating Cash Flow $135,378 $152,754 $106,916 $81,139 $65,616
Cash Flows From Investing Activities
PPE Investments 1,387 23,554 38,113 N/A 40,465
Net Acquisitions N/A -20,943 -620,790 -152,697 -3,476
Purchase Of Investment -11,112 -30,534 -37,250 -13,577 -3,312
Sale Of Investment 20,669 5,741 7,255 22,362 N/A
Investing Cash Flow $10,944 $-22,182 $-612,672 $-143,912 $33,677
Cash Flows From Financing Activities
Change In Short Term Borrowing 22,000 41,500 653,122 N/A 41,000
Common Stock Issued N/A N/A 86,031 N/A 77,579
Common Stock Repurchased -16,557 -15,970 -421 -33,051 -23,524
Dividend Paid -17,509 -17,736 -13,637 N/A N/A
Other Financing Activity -134,669 -139,720 -227,531 -1,169 -87,361
Financing Cash Flow $-146,735 $-131,926 $497,564 $-34,220 $7,694
Exchange Rate Effect -195 -672 -945 -617 -182
Beginning Cash Position 5,003 7,029 16,166 113,776 6,971
End Cash Position 4,395 5,003 7,029 16,166 113,776
Net Cash Flow $-608 $-2,026 $-9,137 $-97,610 $106,805
Free Cash Flow
Operating Cash Flow 135,378 152,754 106,916 81,139 65,616
Capital Expenditure -13,000 N/A N/A N/A -15,916
Free Cash Flow 122,378 152,754 106,916 81,139 49,700
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