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SPAUF

Spanish Mountain Gold Ltd.

Price Chart
Latest Quote

$0.24

+0.02 (+9.09%)
Current Price
Previous Close $0.22
Open $0.25
Day High $0.27
Day Low $0.24
Volume 152,229
Fetched: 2026-06-15T19:05:27
Stock Information
Note: Financial values converted from CAD to USD
Shares Outstanding 525.32M
Total Debt $106K
Cash Equivalents $982K
Net Income $-1.88M
Sector Basic Materials
Industry Gold
Market Cap $126.08M
EPS (TTM) $-0.01
Exchange OQB
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📊 Comprehensive Analysis
Company Data
Enterprise Value$118.71M
Income$-1.88M
Book/sh$0.16
Cash/sh$0.00
Financial Ratios
Quick Ratio2.79
Current Ratio2.89
Debt/Eq0.13
Returns & Margins
ROA-1.42%
ROE-2.41%
Ownership
Insider Ownership26.05%
Insider & Institutional transactions data not available
Valuation Ratios
P/B1.48
Analyst Data
Recommendationnone
Technical Indicators
SMA20$0.24
SMA50$0.23
SMA200$0.17
RSI45.45
ATR0.0204
Shares Float378.09M
Volatility1.40
Rel Volume0.90
Performance History
Week+4.35%
Month-14.29%
Quarter+33.33%
6 Months+26.32%
YTD+50.00%
Year+100.00%
3 Years+60.00%
5 Years-7.69%
10 Years+242.86%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-06-15 $0.24 152,229
2026-06-12 $0.23 122,700
2026-06-11 $0.22 155,100
2026-06-10 $0.21 784,600
2026-06-09 $0.22 80,500
2026-06-08 $0.23 99,500
2026-06-05 $0.23 71,400
2026-06-04 $0.25 98,300
2026-06-03 $0.24 53,300
2026-06-02 $0.25 60,000
2026-06-01 $0.25 391,100
2026-05-29 $0.25 116,500
2026-05-28 $0.25 81,000
2026-05-27 $0.24 124,500
2026-05-26 $0.25 223,600
2026-05-22 $0.25 0
2026-05-21 $0.25 173,200
2026-05-20 $0.25 109,900
2026-05-19 $0.26 245,200
2026-05-18 $0.29 250,000
2026-05-15 $0.28 263,300
About Spanish Mountain Gold Ltd.

Spanish Mountain Gold Ltd., an exploration and development stage company, engages in the acquisition, exploration, and development of mineral properties in Canada. The company's primary asset includes the 100% owned Spanish Mountain gold project that comprises approximately 60 contiguous mineral claims and 15 placer claims covering an area of approximately 12,380 hectares and 2,240 hectares respectively, which is located in the Cariboo region of central British Columbia. The company was formerly known as Skygold Ventures Ltd. and changed its name to Spanish Mountain Gold Ltd. in January 2010. Spanish Mountain Gold Ltd. was incorporated in 1996 and is headquartered in Vancouver, Canada.

Period:
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Income Statement (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Revenue
Reconciled Cost Of Revenue $75,203 $76,351 $72,158 $83,724
Cost Of Revenue $75,203 $76,351 $72,158 $83,724
Total Revenue $0 $0 $0 $0
Operating Revenue $0 $0 $0 $0
Expenses
Interest Expense $33,280 $15,988 $9,059 $4,509
Total Expenses $2,856,888 $2,491,101 $1,214,790 $1,231,442
Other Income Expense $322,145 $10,000 $88,571 -
Other Non Operating Income Expenses $267,197 $10,000 - -
Net Non Operating Interest Income Expense $69,497 $135,678 $81,939 $85,348
Interest Expense Non Operating $33,280 $15,988 $9,059 $4,509
Operating Expense $2,781,685 $2,414,750 $1,142,632 $1,147,718
Other Operating Expenses $405,791 $98,461 $55,712 $146,070
General And Administrative Expense $2,375,894 $2,316,289 $1,086,920 $1,001,648
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $-2,465,246 $-2,140,536 $-876,462 $-965,432
Net Interest Income $69,497 $135,678 $81,939 $85,348
Interest Income $102,777 $151,666 $90,998 $89,857
Normalized Income $-2,520,194 $-2,140,536 $-950,799 $-965,432
Net Income From Continuing And Discontinued Operation $-2,465,246 $-2,140,536 $-876,462 $-965,432
Net Income Common Stockholders $-2,465,246 $-2,140,536 $-876,462 $-965,432
Net Income $-2,465,246 $-2,140,536 $-876,462 $-965,432
Net Income Including Noncontrolling Interests $-2,465,246 $-2,140,536 $-876,462 $-965,432
Net Income Continuous Operations $-2,465,246 $-2,140,536 $-876,462 $-965,432
Pretax Income $-2,465,246 $-2,345,423 $-1,044,280 $-1,146,094
Special Income Charges $54,948 $0 $88,571 $0
Interest Income Non Operating $102,777 $151,666 $90,998 $89,857
Operating Income $-2,856,888 $-2,491,101 $-1,214,790 $-1,231,442
Gross Profit $-75,203 $-76,351 $-72,158 $-83,724
Per Share
Diluted EPS $-0.01 $-0.01 $-0.00 $-0.00
Basic EPS $-0.01 $-0.01 $-0.00 $-0.00
Other
Tax Effect Of Unusual Items $0 $0 $14,234 $0
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $-2,411,711 $-2,253,084 $-1,051,634 $-1,057,861
Total Unusual Items $54,948 $0 $88,571 $0
Total Unusual Items Excluding Goodwill $54,948 $0 $88,571 $0
Reconciled Depreciation $75,203 $76,351 $72,158 $83,724
EBITDA (Bullshit earnings) $-2,356,763 $-2,253,084 $-963,063 $-1,057,861
EBIT $-2,431,966 $-2,329,435 $-1,035,221 $-1,141,585
Diluted Average Shares $389,562,102 $361,472,792 $338,241,154 $330,421,517
Basic Average Shares $389,562,102 $361,472,792 $338,241,154 $330,421,517
Diluted NI Availto Com Stockholders $-2,465,246 $-2,140,536 $-876,462 $-965,432
Tax Provision $0 $-204,887 $-167,818 $-180,662
Other Special Charges $-54,948 - - -
Selling General And Administration $2,375,894 $2,316,289 $1,086,920 $1,001,648
Other Gand A $1,194,757 $1,458,316 $281,717 $228,972
Salaries And Wages $1,181,137 $857,973 $805,203 $772,676
Write Off - $0 $-88,571 $0
Provision For Doubtful Accounts - - - $0
Fetched: 2026-02-02
Balance Sheet (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Assets
Net Tangible Assets $104,985,412 $96,558,477 $92,420,126 $91,696,211
Total Assets $106,587,612 $97,254,077 $94,153,847 $93,521,277
Total Non Current Assets $99,383,716 $93,669,093 $90,998,733 $86,256,851
Other Non Current Assets $91,000 $91,000 $91,000 $91,000
Non Current Prepaid Assets $10,444 $10,444 $10,444 $0
Current Assets $7,203,896 $3,584,984 $3,155,114 $7,264,426
Prepaid Assets $193,371 $127,689 $36,417 $114,592
Receivables $136,838 $63,572 $52,712 $211,470
Taxes Receivable $136,838 $63,572 $43,469 $193,997
Cash Cash Equivalents And Short Term Investments $6,873,687 $3,393,723 $3,065,985 $6,938,364
Cash And Cash Equivalents $6,873,687 $3,393,723 $2,815,985 $6,688,364
Cash Equivalents $435,036 $3,285,703 $2,540,308 $4,300,000
Cash Financial $6,438,651 $108,020 $275,677 $2,388,364
Accrued Interest Receivable - $86,721 $9,243 $5,486
Receivables Adjustments Allowances - - $0 $-239,742
Accounts Receivable - - $0 $251,729
Debt
Total Debt $230,960 $290,845 $377,011 $79,788
Long Term Debt And Capital Lease Obligation $165,653 $230,960 $290,845 $40,000
Current Debt And Capital Lease Obligation $65,307 $59,885 $86,166 $39,788
Current Debt - - $40,000 $40,000
Other Current Borrowings - - $40,000 $40,000
Long Term Debt - - - $40,000
Liabilities
Total Liabilities Net Minority Interest $1,602,200 $695,600 $1,733,721 $1,825,066
Total Non Current Liabilities Net Minority Interest $724,299 $230,960 $495,732 $412,705
Other Non Current Liabilities $558,646 - - -
Current Liabilities $877,901 $464,640 $1,237,989 $1,412,361
Payables And Accrued Expenses $812,594 $404,755 $1,151,823 $1,354,573
Payables $713,923 $389,755 - -
Other Payable $80,155 $12,036 - -
Accounts Payable $633,768 $377,719 - -
Non Current Deferred Liabilities - $0 $204,887 $372,705
Non Current Deferred Taxes Liabilities - $0 $204,887 $372,705
Other Current Liabilities - - - $18,000
Equity
Common Stock Equity $104,985,412 $96,558,477 $92,420,126 $91,696,211
Total Equity Gross Minority Interest $104,985,412 $96,558,477 $92,420,126 $91,696,211
Stockholders Equity $104,985,412 $96,558,477 $92,420,126 $91,696,211
Gains Losses Not Affecting Retained Earnings $2,277,422 $592,621 $1,301,992 -
Retained Earnings $-18,975,542 $-16,658,829 $-15,157,765 $-14,444,887
Other Equity Interest - - $1,301,992 $1,047,613
Other
Ordinary Shares Number $444,742,340 $372,936,980 $341,815,551 $333,974,051
Share Issued $444,742,340 $372,936,980 $341,815,551 $333,974,051
Tangible Book Value $104,985,412 $96,558,477 $92,420,126 $91,696,211
Invested Capital $104,985,412 $96,558,477 $92,460,126 $91,736,211
Working Capital $6,325,995 $3,120,344 $1,917,125 $5,852,065
Capital Lease Obligations $230,960 $290,845 $337,011 $39,788
Total Capitalization $104,985,412 $96,558,477 $92,420,126 $91,736,211
Capital Stock $121,683,532 $112,624,685 $106,275,899 $105,093,485
Common Stock $121,683,532 $112,624,685 $106,275,899 $105,093,485
Long Term Capital Lease Obligation $165,653 $230,960 $290,845 $0
Current Capital Lease Obligation $65,307 $59,885 $46,166 $39,788
Current Accrued Expenses $98,671 $15,000 - -
Net PPE $99,282,272 $93,567,649 $90,897,289 $86,165,851
Accumulated Depreciation $-1,180,575 $-1,071,523 $-958,784 $-1,149,688
Gross PPE $100,462,847 $94,639,172 $91,856,073 $87,315,539
Other Properties $98,675,682 $92,854,430 $90,086,632 $85,584,010
Machinery Furniture Equipment $546,985 $544,562 $529,261 $491,349
Buildings And Improvements $1,112,739 $1,112,739 $1,112,739 $1,112,739
Land And Improvements $127,441 $127,441 $127,441 $127,441
Other Short Term Investments - $0 $250,000 $250,000
Non Current Deferred Revenue - - - $0
Fetched: 2026-02-02
Cash Flow Statement (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Free Cash Flow
Free Cash Flow $-7,309,483 $-5,728,877 $-4,952,476 $-6,601,074
Operating Activities
Operating Cash Flow $-1,761,197 $-2,189,405 $-464,791 $-465,757
Cash Flow From Continuing Operating Activities $-1,761,197 $-2,189,405 $-464,791 $-465,757
Operating Gains Losses $-54,948 - $45 -
Investing Activities
Capital Expenditure $-5,548,286 $-3,539,472 $-4,487,685 $-6,135,317
Investing Cash Flow $-5,548,286 $-3,289,472 $-4,487,685 $4,499,608
Cash Flow From Continuing Investing Activities $-5,548,286 $-3,289,472 $-4,487,685 $4,499,608
Capital Expenditure Reported $-5,548,286 $-3,539,472 $-4,487,685 $-6,071,422
Net Other Investing Changes - - - $1,269,765
Financing Activities
Issuance Of Capital Stock $11,809,984 $6,000,000 $1,138,225 $820,500
Financing Cash Flow $10,789,447 $6,056,615 $1,080,097 $723,811
Cash Flow From Continuing Financing Activities $10,789,447 $6,056,615 $1,080,097 $723,811
Net Other Financing Charges $-963,448 $-90,231 - -
Net Common Stock Issuance $11,809,984 $6,000,000 $1,138,225 $820,500
Common Stock Issuance $11,809,984 $6,000,000 $1,138,225 $820,500
Other
Repayment Of Debt $-73,089 $-92,154 $-58,128 $-96,689
Interest Paid Supplemental Data $20,076 $0 - -
End Cash Position $6,873,687 $3,393,723 $2,815,985 $6,688,364
Beginning Cash Position $3,393,723 $2,815,985 $6,688,364 $1,930,702
Changes In Cash $3,479,964 $577,738 $-3,872,379 $4,757,662
Proceeds From Stock Option Exercised $16,000 $239,000 $0 $0
Net Issuance Payments Of Debt $-73,089 $-92,154 $-58,128 $-96,689
Net Short Term Debt Issuance $0 $-30,000 $0 -
Short Term Debt Payments $0 $-30,000 $0 -
Net Long Term Debt Issuance $-73,089 $-62,154 $-58,128 $-96,689
Long Term Debt Payments $-73,089 $-62,154 $-58,128 $-96,689
Net Investment Purchase And Sale $0 $250,000 $0 $9,365,160
Sale Of Investment $0 $250,000 $0 -
Change In Working Capital $396,665 $-37,676 $192,767 $211,450
Change In Payables And Accrued Expense $535,613 $64,456 $-15,722 $-62,121
Change In Prepaid Assets $-65,682 $-91,272 $49,731 $192,436
Change In Receivables $-73,266 $-10,860 $158,758 $81,135
Other Non Cash Items $-201,081 $5,988 $9,059 $4,509
Stock Based Compensation $488,210 $111,355 $305,460 $380,654
Deferred Tax $0 $-204,887 $-167,818 $-180,662
Deferred Income Tax $0 $-204,887 $-167,818 $-180,662
Depreciation Amortization Depletion $75,203 $76,351 $72,158 $83,724
Depreciation And Amortization $75,203 $76,351 $72,158 $83,724
Depreciation $75,203 $76,351 $72,158 $83,724
Net Income From Continuing Operations $-2,465,246 $-2,140,536 $-876,462 $-965,432
Changes In Account Receivables - $-97,581 $158,758 $81,135
Gain Loss On Sale Of PPE - $0 $45 $0
Net PPE Purchase And Sale - - $-23,874 $-63,895
Purchase Of PPE - - $-23,874 $-63,895
Change In Other Working Capital - - $-18,000 -
Issuance Of Debt - - - $0
Long Term Debt Issuance - - - $0
Provisionand Write Offof Assets - - - $0
Fetched: 2026-02-02