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WRLGF

West Red Lake Gold Mines Ltd.

Price Chart
Latest Quote

$0.48

-0.01 (-2.53%)
Current Price
Previous Close $0.49
Open $0.48
Day High $0.48
Day Low $0.47
Volume 133,021
Fetched: 2026-06-04T05:49:24
Stock Information
Note: Financial values converted from CAD to USD
Shares Outstanding 412.96M
Total Debt $92.43M
Cash Equivalents $25.83M
Revenue $102.97M
Net Income $4.62M
Sector Basic Materials
Industry Gold
Market Cap $197.19M
P/E Ratio 47.75
EPS (TTM) $0.01
Exchange OQX
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📊 Comprehensive Analysis
Company Data
Enterprise Value$289.82M
Sales$102.97M
Income$4.62M
Book/sh$0.16
Cash/sh$0.09
Financial Ratios
Quick Ratio0.84
Current Ratio1.05
Debt/Eq120.60
Returns & Margins
Gross Margin46.11%
Operating Margin20.47%
Profit Margin4.49%
Ownership
Insider Ownership6.74%
Institutional Ownership15.13%
Insider & Institutional transactions data not available
Valuation Ratios
P/S1.38
P/B3.07
Analyst Data
Recommendationnone
Technical Indicators
SMA20$0.50
SMA50$0.62
SMA200$0.72
RSI34.26
ATR0.0369
Shares Float362.70M
Volatility1.34
Rel Volume0.46
Performance History
Week+0.32%
Month-9.91%
Quarter-49.57%
6 Months-29.57%
YTD-36.33%
Year-30.29%
3 Years+13.69%
5 Years+26.99%
10 Years+297.92%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-06-03 $0.48 415,148
2026-06-02 $0.49 360,745
2026-06-01 $0.49 597,044
2026-05-29 $0.50 639,836
2026-05-28 $0.49 820,342
2026-05-27 $0.48 1,493,938
2026-05-26 $0.49 692,960
2026-05-22 $0.50 470,460
2026-05-21 $0.50 750,289
2026-05-20 $0.48 535,672
2026-05-19 $0.47 1,374,221
2026-05-18 $0.49 803,830
2026-05-15 $0.49 1,356,989
2026-05-14 $0.51 698,974
2026-05-13 $0.52 813,879
2026-05-12 $0.53 1,266,889
2026-05-11 $0.53 1,727,492
2026-05-08 $0.53 946,859
2026-05-07 $0.52 813,319
2026-05-06 $0.53 1,298,282
2026-05-05 $0.52 686,213
2026-05-04 $0.53 1,167,382
About West Red Lake Gold Mines Ltd.

West Red Lake Gold Mines Ltd., a mineral exploration company, acquires, explores, evaluates, and develops gold properties in Canada. Its flagship property is the Madsen gold mine project, which comprises 241 mining leases, mining patents, and unpatented mining claims covering an aggregate area of 4,648 hectares located in the Red Lake Gold District of Northwestern Ontario. West Red Lake Gold Mines Ltd. is headquartered in Vancouver, Canada.

Period:
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Income Statement (Annual)
Metric 2023-11-30 2022-11-30 2021-11-30
Revenue
Reconciled Cost Of Revenue $250,402 $0 -
Cost Of Revenue $250,402 $0 -
Total Revenue $0 $0 $0
Operating Revenue $0 $0 $0
Expenses
Interest Expense $6,128 $0 -
Total Expenses $32,664,804 $227,846 $203,878
Other Income Expense $-311,157 - $15,000
Net Non Operating Interest Income Expense $469,322 $35,537 $11,599
Interest Expense Non Operating $6,128 $0 -
Operating Expense $32,414,402 $227,846 $203,878
Other Operating Expenses $23,221,348 $22,684 $17,846
Selling And Marketing Expense $2,708,425 $0 -
General And Administrative Expense $6,484,629 $205,162 $186,032
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $-32,506,639 $-192,309 $-177,279
Net Interest Income $469,322 $35,537 $11,599
Interest Income $475,450 $35,537 $11,599
Normalized Income $-32,195,482 $-192,309 $-192,279
Net Income From Continuing And Discontinued Operation $-32,506,639 $-192,309 $-177,279
Net Income Common Stockholders $-32,506,639 $-192,309 $-177,279
Net Income $-32,506,639 $-192,309 $-177,279
Net Income Including Noncontrolling Interests $-32,506,639 $-192,309 $-177,279
Net Income Continuous Operations $-32,506,639 $-192,309 $-177,279
Pretax Income $-32,506,639 $-192,309 $-177,279
Special Income Charges $0 $0 $15,000
Interest Income Non Operating $475,450 $35,537 $11,599
Operating Income $-32,664,804 $-227,846 $-203,878
Gross Profit $-250,402 $0 -
Per Share
Diluted EPS $-0.30 $-0.01 $-0.01
Basic EPS $-0.30 $-0.01 $-0.01
Other
Tax Effect Of Unusual Items $0 $0 $0
Tax Rate For Calcs $0 $0 $0
Normalized EBITDA (Bullshit earnings) $-31,938,952 $-192,309 $-218,878
Total Unusual Items $-311,157 $0 $15,000
Total Unusual Items Excluding Goodwill $-311,157 $0 $15,000
Reconciled Depreciation $250,402 $0 -
EBITDA (Bullshit earnings) $-32,250,109 $-192,309 $-203,878
EBIT $-32,500,511 $-192,309 $-203,878
Diluted Average Shares $108,640,544 $14,868,066 $14,868,066
Basic Average Shares $108,640,544 $14,868,066 $14,868,066
Diluted NI Availto Com Stockholders $-32,506,639 $-192,309 $-177,279
Gain On Sale Of Security $-311,157 - -
Selling General And Administration $9,193,054 $205,162 $186,032
Other Gand A $2,007,223 $44,162 $186,032
Salaries And Wages $4,477,406 $161,000 -
Gain On Sale Of Ppe - $0 $15,000
Fetched: 2026-02-02
Balance Sheet (Annual)
Metric 2023-11-30 2022-11-30 2021-11-30
Assets
Net Tangible Assets $66,034,404 $1,788,024 $1,980,333
Total Assets $98,012,760 $1,859,457 $2,019,831
Total Non Current Assets $78,823,393 $0 $0
Other Non Current Assets $169,913 - -
Current Assets $19,189,367 $1,859,457 $2,019,831
Current Deferred Assets $0 $204,477 $0
Prepaid Assets $1,502,794 $0 -
Inventory $350,026 $0 -
Receivables $1,027,689 $13,750 $2,499
Taxes Receivable $1,027,689 $13,750 -
Cash Cash Equivalents And Short Term Investments $16,308,858 $1,641,230 $2,017,332
Cash And Cash Equivalents $16,308,858 $1,641,230 $2,017,332
Accounts Receivable - $13,750 $2,499
Cash Financial - $1,641,230 $2,017,332
Debt
Total Debt $7,803,257 $0 -
Current Debt And Capital Lease Obligation $7,803,257 - -
Current Debt $7,515,048 - -
Liabilities
Total Liabilities Net Minority Interest $31,978,356 $71,433 $39,498
Total Non Current Liabilities Net Minority Interest $18,913,016 $0 $0
Current Liabilities $13,065,340 $71,433 $39,498
Current Notes Payable $7,515,048 $0 -
Payables And Accrued Expenses $5,262,083 $71,433 $39,498
Payables - $71,433 $39,498
Accounts Payable - $71,433 $39,498
Equity
Common Stock Equity $66,034,404 $1,788,024 $1,980,333
Total Equity Gross Minority Interest $66,034,404 $1,788,024 $1,980,333
Stockholders Equity $66,034,404 $1,788,024 $1,980,333
Gains Losses Not Affecting Retained Earnings $6,810,651 $198,059 $198,059
Other Equity Adjustments $6,810,651 - -
Retained Earnings $-51,622,158 $-19,115,519 $-18,923,210
Other
Treasury Shares Number $0 - -
Ordinary Shares Number $215,172,729 $14,868,066 $14,868,065
Share Issued $215,172,729 $14,868,066 $14,868,065
Tangible Book Value $66,034,404 $1,788,024 $1,980,333
Invested Capital $73,549,452 $1,788,024 $1,980,333
Working Capital $6,124,027 $1,788,024 $1,980,333
Capital Lease Obligations $288,209 $0 -
Total Capitalization $66,034,404 $1,788,024 $1,980,333
Capital Stock $110,845,911 $20,705,484 $20,705,484
Common Stock $110,845,911 $20,705,484 $20,705,484
Long Term Capital Lease Obligation $0 - -
Long Term Provisions $18,913,016 - -
Current Capital Lease Obligation $288,209 $0 -
Net PPE $78,653,480 $0 -
Accumulated Depreciation $-250,402 $0 -
Gross PPE $78,903,882 $0 -
Construction In Progress $0 - -
Other Properties $25,646,380 - -
Machinery Furniture Equipment $53,257,502 $0 -
Fetched: 2026-02-02
Cash Flow Statement (Annual)
Metric 2023-11-30 2022-11-30 2021-11-30
Free Cash Flow
Free Cash Flow $-26,346,405 $-203,086 $-196,194
Operating Activities
Operating Cash Flow $-26,145,558 $-203,086 $-196,194
Cash Flow From Continuing Operating Activities $-26,145,558 $-203,086 $-196,194
Operating Gains Losses $241,614 - $-15,000
Investing Activities
Capital Expenditure $-200,847 - -
Investing Cash Flow $-4,392,679 $-173,016 $15,000
Cash Flow From Continuing Investing Activities $-4,392,679 $-173,016 $15,000
Net Other Investing Changes - $-173,016 -
Financing Activities
Issuance Of Capital Stock $47,680,150 $0 -
Financing Cash Flow $45,205,865 $0 -
Cash Flow From Continuing Financing Activities $45,205,865 $0 -
Net Other Financing Charges $-3,082,891 - -
Cash Dividends Paid $0 - -
Net Common Stock Issuance $47,680,150 $0 -
Common Stock Issuance $47,680,150 $0 -
Other
Repayment Of Debt $-98,894 $0 -
Issuance Of Debt $0 - -
End Cash Position $16,308,858 $1,641,230 $2,017,332
Beginning Cash Position $1,641,230 $2,017,332 $2,198,526
Effect Of Exchange Rate Changes $0 - -
Changes In Cash $14,667,628 $-376,102 $-181,194
Interest Paid Cff $0 - -
Proceeds From Stock Option Exercised $707,500 $0 -
Net Issuance Payments Of Debt $-98,894 $0 -
Net Long Term Debt Issuance $-98,894 $0 -
Long Term Debt Payments $-98,894 $0 -
Long Term Debt Issuance $0 - -
Net Business Purchase And Sale $-4,191,832 $0 -
Sale Of Business $3,322,299 $0 -
Purchase Of Business $-7,514,131 $0 -
Net PPE Purchase And Sale $-200,847 $0 $15,000
Purchase Of PPE $-200,847 $0 -
Change In Working Capital $1,977,209 $-10,777 $-3,915
Change In Payables And Accrued Expense $2,452,502 $474 $-3,991
Change In Inventory $-350,026 $0 -
Change In Receivables $-125,267 $-11,251 $76
Other Non Cash Items $268,980 - -
Stock Based Compensation $3,622,876 $0 -
Unrealized Gain Loss On Investment Securities $0 - -
Depreciation Amortization Depletion $250,402 $0 -
Depreciation And Amortization $250,402 $0 -
Depreciation $250,402 $0 -
Net Foreign Currency Exchange Gain Loss $241,614 $0 -
Net Income From Continuing Operations $-32,506,639 $-192,309 $-177,279
Sale Of PPE - $0 $15,000
Change In Payable - $474 $-3,991
Gain Loss On Sale Of PPE - $0 $-15,000
Fetched: 2026-02-02