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FMSTForemost Clean Energy Ltd.
$1.61$20M
Overview & Verdict
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Valuation & Forecasts
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Financial Statements
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HomeStocksFMSTQuarterly Cash Flow

Foremost Clean Energy Ltd. (FMST) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Foremost Clean Energy Ltd. (FMST) quarterly cash flow statement — complete operating, investing & financing history

FMST Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ4'26Q3'26Q2'26Q1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22
Cash from Operations-1.47M-1.71M-2.83M-1.61M192.21K-2.36M-44.75K-1.57M-989.39K-839.85K-1.77M-212.73K-3.87M2.53M-607.27K-519.26K-632.89K-283.49K-146.86K-339.23K
Operating CF Margin %--------------------
Operating CF Growth %-862.51%27.32%-6217.15%-2.57%119.43%-180.47%97.47%-639.1%74.47%-133.26%-191.27%59.03%-512.23%990.75%-313.51%-53.07%-12.58%-390.08%-4.53%-699.56%
Net Income-2.74M-1.92M-2.65M405.84K778.57K-2.01M-1.52M-857.09K-1.51M-654.94K-1.7M-608.18K321.95K2.15M-751.62K-767.99K-3.03M-746.58K-123.15K-246.76K
Depreciation & Amortization00000000000000000000
Stock-Based Compensation0386.96K409.82K34.73K166.44K594.24K112.2K055.24K144.69K694.99K15.79K-501.46K776.92K208.43K331.55K2.33M149.2K00
Deferred Taxes00000000000000000000
Other Non-Cash Items1.08M-125.84K-526.39K-2.19M-2.07M-143.05K-17.16K-209.54K194.21K-324.12K40.19K7.58K-4.01M-457.46K-147.09K5.27K136.89K344387425
Working Capital Changes188.84K-51.75K-61.17K134.15K1.32M-793.81K1.38M-505.65K274.56K-5.48K-808.32K372.08K317.31K51.5K83.01K-88.09K-68.37K313.55K-24.09K-92.9K
Change in Receivables-145.53K-18.73K-177.49K46.49K-88.98K-120.61K203.53K-79.58K012.64K72.73K02895.88K73.95K-6.17K0036.27K0
Change in Inventory00000000000000000000
Change in Payables00000000000000000000
Cash from Investing-1.41M-3.89M-1.22M-2.23M-1.53M-648.06K-292.94K-204.9K-1.04M-155.62K-853.16K-299.28K2.36M-644.72K-1.14M-1.38M-317.72K-373.17K-208.83K33.31K
Capital Expenditures-1.42M-3.9M-75K-150K-638-89.73K-18.69K-140.9K-1.14M-155.62K-58.98K-187.85K-1.04M-451.37K-76.5K-100K-413.76K-97.81K-134.88K0
CapEx % of Revenue--------------------
Acquisitions00000000000000000000
Investments--------------------
Other Investing6.28K10.88K-1.15M-2.08M-1.53M-558.32K-274.24K-64.01K100K-180.23K-796.5K-111.44K2.36M-193.34K-1.06M-1.28M96.04K-275.35K-73.95K33.31K
Cash from Financing5.15M3.12M4.72M4.73M-35.29K9.21M-10.84K1.29M1.47M68.89K4.96M-33.91K-226.96K126.09K1.78M1.93M765.65K963.8K-1.48K384.15K
Debt Issued (Net)021.41K-343.51K-38.88K0-556.66K-10.84K-32.51K-174.8K-30K-17.91K-17.91K-226.96K32.59K-33.8K1.14M-1.48K-1.48K-1.48K-1.48K
Equity Issued (Net)5.15M3.1M4.97M0010.5M01.35M005.42M000984.25K677.56K0250.95K0341.42K
Dividends Paid00000000000000000000
Share Repurchases00000000000000000000
Other Financing00-247.48K4.73M-35.29K-731.32K-10.84K-22.87K1.47M98.89K-443.49K-16K-226.96K93.5K831.24K112.4K767.13K714.33K-1.17K44.22K
Net Change in Cash2.22M-2.39M668.3K887.33K-1.37M6.21M-348.52K-482.44K-454.88K-926.57K2.34M-529.92K-1.74M2.01M36.22K34.22K-184.96K307.14K-357.17K78.23K
Free Cash Flow-1.47M-1.71M-2.9M-1.76M191.57K-2.45M121.56K-1.98M-2.02M-815.23K-1.83M-384.58K-4.17M2.07M-683.77K-619.26K-620.23K-381.31K-281.74K-339.23K
FCF Margin %--------------------
FCF Growth %-865.06%29.99%-2487.13%10.85%109.48%-199.95%106.65%-414.12%51.51%-139.31%-167.31%37.9%-572.29%643.87%-142.7%-82.55%-7.17%-234.37%-22.2%-608.46%
FCF per Share-0.10-0.12-0.23-0.150.02-0.280.02-0.37-0.41-0.17-0.42-0.10-1.040.51-0.18-0.17-0.18-0.12-0.09-0.11
FCF Conversion (FCF/Net Income)0.54x0.89x1.07x-3.97x0.25x1.17x0.03x1.83x0.65x1.28x1.04x0.35x-12.04x1.17x0.81x0.68x0.21x0.38x1.19x1.37x
Interest Paid00-38.78K52.94K35.29K35.29K10.84K0000000000000
Taxes Paid00000000000000000000