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SGLD

Scorpio Gold Corporation

Price Chart

No historical data available

Latest Quote

$5.08

-0.14 (-2.68%)
Current Price
Previous Close $5.22
Open $5.22
Day High $5.22
Day Low $4.71
Volume 16,902
Fetched: 2026-09-02T04:00:35
Stock Information
Shares Outstanding 17.31M
Total Debt $490K
Cash Equivalents $2.59M
Net Income $2.34M
Sector Basic Materials
Industry Gold
Market Cap $87.93M
Exchange NCM
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Recent Price History
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About Scorpio Gold Corporation

Scorpio Gold Corporation, together with its subsidiaries, engages in the exploitation, exploration, and development of mineral resource properties in the United States. The company holds a 100% interest in the Manhattan District, located in the Walker Lane Trend of Nevada, USA, spanning approximately 4,780 hectares. This project also comprises the advanced exploration-stage Goldwedge Mine, the Kinross Manhattan properties, and the Keystone and Jumbo deposits located in Nevada. Scorpio Gold Corporation is based in Vancouver, Canada.

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Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Revenue
Total Revenue $0 $0 $0 $0
Operating Revenue $0 $0 $0 $0
Reconciled Cost Of Revenue - - - $0
Cost Of Revenue - - - $0
Expenses
Interest Expense $402,875 $630,209 $751,805 $537,411
Total Expenses $6,122,551 $4,356,583 $2,246,296 $3,000,893
Rent Expense Supplemental $43,218 $2,992 - -
Other Income Expense $9,254,937 $-10,696,435 $365,794 $1,232,737
Net Non Operating Interest Income Expense $-26,471 $-198,499 $-392,555 $-442,340
Interest Expense Non Operating $402,875 $630,209 $751,805 $537,411
Operating Expense $6,122,551 $4,356,583 $2,246,296 $3,000,893
Other Operating Expenses $700,346 $1,266,118 $1,175,471 $1,252,259
General And Administrative Expense $5,167,843 $3,065,165 $1,028,712 $1,692,933
Total Other Finance Cost - $14,153 $3,214 -
Other Non Operating Income Expenses - - $295,981 $770,215
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $3,105,915 $-15,251,517 $-2,273,057 $-2,210,496
Net Interest Income $-26,471 $-198,499 $-392,555 $-442,340
Interest Income $376,404 $445,863 $362,464 $95,071
Normalized Income $-4,760,781 $-4,555,082 $-2,638,851 $-2,673,018
Net Income From Continuing And Discontinued Operation $3,105,915 $-15,251,517 $-2,273,057 $-2,210,496
Net Income Common Stockholders $3,105,915 $-15,251,517 $-2,273,057 $-2,210,496
Net Income $3,105,915 $-15,251,517 $-2,273,057 $-2,210,496
Net Income Including Noncontrolling Interests $3,105,915 $-15,251,517 $-2,273,057 $-2,210,496
Net Income Continuous Operations $3,105,915 $-15,251,517 $-2,273,057 $-2,210,496
Pretax Income $3,105,915 $-15,251,517 $-2,273,057 $-2,210,496
Special Income Charges $9,253,223 $-10,662,429 $440,488 $182,625
Interest Income Non Operating $376,404 $445,863 $362,464 $95,071
Operating Income $-6,122,551 $-4,356,583 $-2,246,296 $-3,000,893
Depreciation Amortization Depletion Income Statement $254,362 $25,300 $42,113 $55,701
Depreciation And Amortization In Income Statement $254,362 $25,300 $42,113 $55,701
Depreciation Income Statement $254,362 $25,300 $42,113 $55,701
Gross Profit - - - $0
Total Operating Income As Reported - - - -
Per Share
Diluted EPS $0.01 $-0.17 $-0.10 $-0.11
Basic EPS $0.01 $-0.17 $-0.10 $-0.11
Other
Tax Effect Of Unusual Items $1,388,241 $0 $0 $0
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $-5,491,785 $-3,899,573 $-1,844,933 $-2,079,906
Total Unusual Items $9,254,937 $-10,696,435 $365,794 $462,522
Total Unusual Items Excluding Goodwill $9,254,937 $-10,696,435 $365,794 $462,522
Reconciled Depreciation $254,362 $25,300 $42,113 $55,701
EBITDA (Bullshit earnings) $3,763,152 $-14,596,008 $-1,479,139 $-1,617,384
EBIT $3,508,790 $-14,621,308 $-1,521,252 $-1,673,085
Diluted Average Shares $223,339,041 $92,085,868 $23,603,981 $20,161,126
Basic Average Shares $212,083,150 $92,085,868 $23,603,981 $20,161,126
Diluted NI Availto Com Stockholders $3,105,915 $-15,251,517 $-2,273,057 $-2,210,496
Gain On Sale Of Ppe $79,950 $0 $144,507 $39,468
Gain On Sale Of Business $9,158,869 $0 - -
Other Special Charges $-14,404 $-1,395,297 - $-65,622
Write Off $0 $33,677 $0 -
Impairment Of Capital Assets $0 $12,024,049 $-295,981 $-77,535
Gain On Sale Of Security $1,714 $-34,006 $-74,694 $279,897
Selling General And Administration $5,167,843 $3,065,165 $1,028,712 $1,692,933
Other Gand A $2,982,946 $1,453,301 $341,115 $338,205
Insurance And Claims $459,341 $309,578 $159,397 $51,271
Rent And Landing Fees $43,218 $2,992 - -
Salaries And Wages $1,682,338 $1,299,294 $528,200 $1,303,457
Fetched: 2026-09-02
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Assets
Net Tangible Assets $19,316,415 $349,087 $2,770,338 $4,825,882
Total Assets $22,190,994 $17,128,077 $14,689,068 $14,448,328
Total Non Current Assets $11,779,805 $16,805,899 $14,023,365 $13,710,460
Other Non Current Assets $1,134,836 $9,839,371 $8,180,549 $7,818,085
Non Current Accounts Receivable $58,337 - - -
Investmentin Financial Assets $764 $764 $764 $764
Financial Assets Designatedas Fair Value Through Profitor Loss Total $764 $764 $764 $764
Current Assets $10,411,189 $322,178 $665,703 $737,868
Prepaid Assets $253,116 $311,075 $338,098 $344,088
Receivables $1,820,296 $11,103 $32,759 $61,881
Other Receivables $1,680,485 - - -
Accounts Receivable $139,811 $11,103 $32,759 $61,881
Cash Cash Equivalents And Short Term Investments $8,337,777 $0 $294,846 $331,899
Cash And Cash Equivalents $8,337,777 $0 $294,846 $331,899
Cash Financial $8,337,777 $0 $294,846 $331,899
Inventory - - - -
Debt
Total Debt $507,601 $1,019,960 $4,468,500 $3,050,526
Current Debt And Capital Lease Obligation $507,601 $1,019,960 $4,468,500 $3,050,526
Current Debt $507,601 $1,019,960 $4,468,500 $3,050,526
Other Current Borrowings $507,601 $1,014,918 $4,468,500 $3,050,526
Net Debt - $1,019,960 $4,173,654 $2,718,627
Long Term Debt And Capital Lease Obligation - - - $2,519,526
Long Term Debt - - - $2,519,526
Liabilities
Total Liabilities Net Minority Interest $2,874,579 $16,778,990 $11,918,730 $9,622,446
Total Non Current Liabilities Net Minority Interest $669,689 $14,155,881 $5,595,939 $5,862,850
Current Liabilities $2,204,890 $2,623,109 $6,322,791 $3,759,596
Payables And Accrued Expenses $1,697,289 $1,603,149 $1,376,546 $664,875
Other Current Liabilities - - $269,310 $44,195
Current Notes Payable - - $3,012,393 $2,519,526
Derivative Product Liabilities - - - $0
Payables - - - $664,875
Accounts Payable - - - $664,875
Equity
Common Stock Equity $19,316,415 $349,087 $2,770,338 $4,825,882
Total Equity Gross Minority Interest $19,316,415 $349,087 $2,770,338 $4,825,882
Stockholders Equity $19,316,415 $349,087 $2,770,338 $4,825,882
Other Equity Interest $913,848 $1,090,293 $72,630 $72,630
Gains Losses Not Affecting Retained Earnings $9,132,935 $8,153,380 $7,167,690 $7,163,688
Other Equity Adjustments $8,773,897 $7,866,118 $7,361,894 $7,357,892
Retained Earnings $-77,857,995 $-80,963,910 $-65,712,393 $-63,439,336
Other
Ordinary Shares Number $281,440,144 $130,833,244 $26,637,406 $23,437,407
Share Issued $281,440,144 $130,833,244 $26,637,406 $23,437,407
Tangible Book Value $19,316,415 $349,087 $2,770,338 $4,825,882
Invested Capital $19,824,016 $1,369,047 $7,238,838 $7,876,408
Working Capital $8,206,299 $-2,300,931 $-5,657,088 $-3,021,728
Total Capitalization $19,316,415 $349,087 $2,770,338 $4,825,882
Foreign Currency Translation Adjustments $359,038 $287,262 $-194,204 $-194,204
Capital Stock $87,127,627 $72,069,324 $61,242,411 $61,028,900
Common Stock $87,127,627 $72,069,324 $61,242,411 $61,028,900
Long Term Provisions $669,689 $14,155,881 $5,595,939 $5,862,850
Line Of Credit $0 $5,042 $0 -
Investments And Advances $764 $764 $764 $764
Net PPE $10,585,868 $6,965,764 $5,842,052 $5,891,611
Accumulated Depreciation $-1,069,111 $-18,647,346 $-18,399,175 $-18,397,234
Gross PPE $11,654,979 $25,613,110 $24,241,227 $24,288,845
Other Properties $1,479,453 $18,902,656 $18,902,656 $19,001,321
Machinery Furniture Equipment $250,871 $1,099,545 $1,099,545 $1,099,545
Buildings And Improvements $487,282 $3,078,725 $3,078,725 $3,078,725
Properties $9,437,373 $2,532,184 $1,160,301 $1,109,254
Current Provisions - - $208,435 -
Construction In Progress - - - -
Finished Goods - - - -
Work In Process - - - -
Raw Materials - - - -
Fetched: 2026-09-02
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $-11,457,130 $-5,446,489 $-1,513,385 $-2,554,995
Operating Activities
Operating Cash Flow $-5,289,641 $-4,355,971 $-1,440,905 $-1,690,518
Cash Flow From Continuing Operating Activities $-5,289,641 $-4,355,971 $-1,440,905 $-1,690,518
Operating Gains Losses $-9,253,223 $-1,395,297 $-51,631 $-365,176
Investing Activities
Capital Expenditure $-6,167,489 $-1,090,518 $-72,480 $-864,477
Investing Cash Flow $-331,470 $-2,303,505 $130,520 $-687,562
Cash Flow From Continuing Investing Activities $-331,468 $-2,303,505 $130,520 $-687,562
Net Other Investing Changes $-2 $-1,212,959 - -
Financing Activities
Issuance Of Capital Stock $10,586,752 $5,853,973 $350,972 $0
Financing Cash Flow $13,794,217 $6,371,420 $1,273,332 $2,431,000
Cash Flow From Continuing Financing Activities $13,794,217 $6,371,420 $1,273,332 $2,431,000
Net Common Stock Issuance $10,586,752 $5,853,973 $350,972 $0
Common Stock Issuance $10,586,752 $5,853,973 $350,972 $0
Other
Repayment Of Debt $-547,917 $-519,101 $0 $0
Issuance Of Debt $0 $992,790 $922,360 $2,431,000
End Cash Position $8,337,777 $-5,042 $294,846 $331,899
Beginning Cash Position $-5,042 $294,846 $331,899 $278,979
Effect Of Exchange Rate Changes $169,713 $-11,832 $0 -
Changes In Cash $8,173,106 $-288,056 $-37,053 $52,920
Proceeds From Stock Option Exercised $3,755,382 $43,758 $0 -
Net Issuance Payments Of Debt $-547,917 $473,689 $922,360 $2,431,000
Net Short Term Debt Issuance $0 $992,790 $922,360 $2,431,000
Short Term Debt Issuance $0 $992,790 $922,360 $2,431,000
Net Long Term Debt Issuance $-547,917 $-519,101 $0 $2,431,000
Long Term Debt Payments $-547,917 $-519,101 $0 $0
Net Investment Purchase And Sale $0 $-28 $0 -
Purchase Of Investment $0 $-28 $0 -
Net Business Purchase And Sale $5,756,071 $0 - -
Sale Of Business $5,756,071 $0 - -
Net PPE Purchase And Sale $-6,087,539 $-1,090,518 $130,520 $-687,562
Sale Of PPE $79,950 $0 $203,000 $176,915
Purchase Of PPE $-6,167,489 $-1,090,518 $-72,480 $-864,477
Change In Working Capital $-763,493 $-490,838 $746,783 $313,668
Change In Payables And Accrued Expense $-473,591 $-507,085 $711,671 $199,100
Change In Prepaid Assets $-106,839 $11,254 $5,990 $32,645
Change In Receivables $-183,063 $4,993 $29,122 $81,923
Changes In Account Receivables $-125,802 $4,993 - $81,923
Other Non Cash Items $-349,462 $-58,149 $131,930 $308,756
Stock Based Compensation $1,313,385 $514,309 $0 $216,603
Provisionand Write Offof Assets $402,875 $242,495 $258,938 $67,961
Asset Impairment Charge $0 $12,057,726 $-295,981 $-77,535
Depreciation Amortization Depletion $254,362 $25,300 $42,113 $55,701
Depreciation And Amortization $254,362 $25,300 $42,113 $55,701
Depreciation $254,362 $25,300 $42,113 $55,701
Gain Loss On Sale Of PPE $-79,950 $0 - -
Gain Loss On Sale Of Business $-9,158,869 $0 - -
Net Income From Continuing Operations $3,105,915 $-15,251,517 $-2,273,057 $-2,210,496
Net Foreign Currency Exchange Gain Loss - $0 $3,391 $-11,083
Interest Paid Supplemental Data - - $0 $0
Income Tax Paid Supplemental Data - - $0 $0
Gain Loss On Investment Securities - - $89,485 $-314,625
Long Term Debt Issuance - - - $2,431,000
Change In Inventory - - - $0
Taxes Refund Paid - - - -
Change In Payable - - - -
Fetched: 2026-09-02