Red Canyon Resources Ltd. Logo

Red Canyon Resources Ltd. (REDC)

CSE

Currency in CAD
0.1600
+0.03 (+23.08%)

Closed

Aug 24, 2026

Day's Range

0.1600
0.1700

52 wk Range

0.1250
0.3350

Financial Statements - REDC - Red Canyon Resources Ltd.

Revenue

0

Net Income

-1.03M 68.4%

EBITDA

-124.75K 84.8%

Free Cash Flow

-2.41M 14.1%

Income Statement

Period Ending2025-12-312024-12-312023-12-312022-12-312021-12-31
Sales00000
Cost of Goods90570648137866
Gross Profit-905-706-481-378-66
ExpandOperating Expense
-----
Operating Income-593.09K-829.29K-477.55K-298.43K-340.21K
ExpandNon-Operating Interest
-----
Other Income Expense-68.08K589.72K205.56K36.08K-269
Pre Tax Income-622.63K-192.41K-237.50K-258.87K-340.47K
Income Tax416.17K424.44K---
Net Income-1.03M-616.86K-237.50K-258.87K-340.47K
EPS Basic--0.02-0.01-0.00741-0.009745
EPS Diluted--0.02-0.01-0.00741-0.009745
Basic Shares Outstanding-40.45M31.27M34.93M34.93M
Diluted Shares Outstanding-40.45M31.27M34.93M34.93M
Ebit-593.09K-829.29K-477.55K-298.43K-340.21K
Ebitda-124.75K-822.39K-421.98K-334.14K-339.87K
Net Income Continuous Operations-1.03M-616.86K-237.50K-258.87K-340.47K
Minority Interests-----
Preferred Stock Dividends-----

The information on this page is provided for general informational purposes only and is not investment advice.

Market data provided by Twelve Data. Charting by TradingView.

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