Braveheart Resources Key Executives

This section highlights Braveheart Resources's key executives, including their titles and compensation details.

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Braveheart Resources Earnings

This section highlights Braveheart Resources's earnings, including key dates, EPS, earnings reports, and earnings call transcripts.

Next Earnings Date

Date: September 25, 2025
Time: --
Est. EPS: $-
Status: Unconfirmed

Last Earnings Results

Date: April 25, 2025
EPS: $-
Est. EPS: $-
Revenue: $-

Earnings Call Transcripts

Transcript Quarter Year Date Estimated EPS Actual EPS

Braveheart Resources Inc. (RIINF)

Braveheart Resources Inc., an exploration stage company, acquires, develops, and explores for mineral properties primarily in Canada. The company explores for gold, copper, nickel, platinum, palladium, and silver deposits. Its principal project is the 100% owned Bull River Mine located in the Cranbrook, British Colombia. The company was incorporated in 2009 and is headquartered in Calgary, Canada.

Basic Materials Other Precious Metals

$0.02

Stock Price

$5.44M

Market Cap

-

Employees

Calgary, AB

Location

Financial Statements

Access annual & quarterly financial statements for Braveheart Resources, including income statements, balance sheets, and cash flow statements..

Annual Income Statement

Breakdown May 31, 2024 May 31, 2023 May 31, 2022 May 31, 2021 May 31, 2020
Revenue $491.70K $- $123 $11.01K $-
Cost of Revenue $939.21K $198.43K $195.60K $191.58K $179.48K
Gross Profit $-447.52K $-198.43K $-195.48K $-180.58K $-179.48K
Gross Profit Ratio -91.01% - -158926.02% -1640.57% -
Research and Development Expenses $- $- $- $- $-
General and Administrative Expenses $1.19M $1.21M $1.62M $2.18M $2.39M
Selling and Marketing Expenses $12.57K $9.14K $45.19K $176.86K $68.14K
Selling General and Administrative Expenses $1.20M $1.22M $1.67M $2.35M $2.46M
Other Expenses $1.13M $81.67K $16.01K $14.26K $-
Operating Expenses $2.32M $1.73M $2.85M $3.18M $3.89M
Cost and Expenses $3.26M $1.93M $3.04M $3.37M $4.07M
Interest Income $14.21K $20.01K $8.82K $5.72K $26.43K
Interest Expense $399.87K $521.36K $853.33K $1.19M $1.41M
Depreciation and Amortization $345.11K $225.85K $241.57K $229.88K $202.39K
EBITDA $799.31K $-1.71M $-3.31M $-5.87M $-3.86M
EBITDA Ratio 162.56% - -2693278.86% -53352.01% -
Operating Income $-2.77M $-1.83M $-3.90M $-4.57M $-5.48M
Operating Income Ratio -563.81% - -3167868.29% -41499.42% -
Total Other Income Expenses Net $2.83M $3.19M $-465.19K $-2.69M $253.64K
Income Before Tax $54.33K $1.30M $-4.36M $-7.26M $-5.23M
Income Before Tax Ratio 11.05% - -3546070.73% -65942.24% -
Income Tax Expense $-76.60K $-152.15K $-84.45K $-65.99K $-113.84K
Net Income $130.93K $1.45M $-4.28M $-7.19M $-5.11M
Net Income Ratio 26.63% - -3477413.01% -65342.75% -
EPS $0.00 $0.01 $-0.02 $-0.05 $-0.05
EPS Diluted $0.00 $0.01 $-0.02 $-0.05 $-0.05
Weighted Average Shares Outstanding 257.28M 238.79M 215.68M 146.81M 107.21M
Weighted Average Shares Outstanding Diluted 257.28M 238.79M 215.68M 146.81M 107.21M
SEC Filing Source Source Source Source Source


Breakdown November 30, 2024 August 31, 2024 May 31, 2024 February 29, 2024 November 30, 2023 August 31, 2023 May 31, 2023 February 28, 2023 November 30, 2022 August 31, 2022 May 31, 2022 February 28, 2022 November 30, 2021 August 31, 2021 May 31, 2021 February 28, 2021 November 30, 2020 August 31, 2020 May 31, 2020 February 29, 2020
Revenue $1.33M $822.67K $341.34K $143.59K $- $- $-41.67K $11.54K $27.43K $2.71K $- $- $73 $50 $11.01K $- $- $- $- $-
Cost of Revenue $1.53M $1.07M $760.64K $513.00K $110.39K $50.02K $22.49K $58.00K $58.65K $59.29K $50.02K $48.93K $48.94K $47.72K $52.22K $45.95K $46.45K $46.97K $45.47K $46.78K
Gross Profit $-194.28K $-243.27K $-419.31K $-369.41K $-110.39K $-50.02K $-64.17K $-46.46K $-31.22K $-56.58K $-50.02K $-48.93K $-48.86K $-47.67K $-41.21K $-45.95K $-46.45K $-46.97K $-45.47K $-46.78K
Gross Profit Ratio -14.58% -29.57% -122.84% -257.27% - - - -402.62% -113.85% -2088.67% - - -66935.62% -95344.00% -374.41% - - - - -
Research and Development Expenses $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
General and Administrative Expenses $307.10K $193.56K $207.69K $237.77K $295.60K $445.07K $311.72K $277.28K $342.70K $277.65K $302.27K $624.22K $265.09K $432.85K $642.92K $590.45K $705.13K $236.96K $401.47K $370.32K
Selling and Marketing Expenses $19.64K $14.05K $2.19K $5.46K $4.22K $689 $6.27K $887 $-11.78K $13.75K $32.10K $709 $4.17K $8.21K $46.95K $45.75K $44.80K $39.35K $18.12K $27.76K
Selling General and Administrative Expenses $326.74K $207.61K $209.88K $249.55K $299.82K $445.76K $317.99K $278.17K $342.70K $291.41K $334.37K $624.93K $269.26K $441.06K $689.87K $636.20K $749.94K $276.31K $419.59K $398.08K
Other Expenses $53.51K $-450.88K $- $48.75K $3.81K $38.23K $73.57K $3.78K $2.15K $2.16K $5.47K $-2.17K $6.36K $6.36K $- $- $- $- $- $-
Operating Expenses $380.25K $-243.27K $103.05K $200.80K $404.83K $1.11M $258.64K $429.35K $536.89K $509.10K $788.85K $930.47K $485.97K $642.26K $1.07M $878.09K $886.40K $345.73K $539.72K $844.45K
Cost and Expenses $1.91M $822.67K $863.69K $713.80K $515.22K $1.16M $281.13K $487.35K $595.54K $568.39K $838.86K $979.40K $534.90K $689.98K $1.12M $924.03K $932.86K $392.69K $585.18K $891.23K
Interest Income $- $1.61K $8.55K $981 $1.82K $2.86K $6.67K $4.49K $6.15K $2.71K $2.97K $1.82K $1.43K $2.61K $489 $1.23K $147 $3.85K $- $1.92K
Interest Expense $106.75K $28.94K $84.73K $68.79K $157.28K $89.06K $122.04K $134.07K $106.42K $158.83K $146.43K $371.01K $137.08K $198.81K $298.75K $252.07K $289.14K $354.26K $375.72K $358.72K
Depreciation and Amortization $490.51K $341.55K $196.15K $53.87K $49.47K $57.47K $22.49K $64.97K $65.38K $65.80K $62.10K $60.61K $60.23K $58.64K $68.97K $53.37K $53.63K $53.90K $417.18K $53.27K
EBITDA $-61.22K $-116.95K $1.87M $-516.35K $-460.11K $-1.07M $-220.08K $-892.65K $-540.86K $-499.88K $-780.41K $-901.73K $-478.10K $-687.64K $-1.05M $-876.86K $-886.26K $-342.20K $-439.19K $-1.21M
EBITDA Ratio -4.59% -14.22% 547.61% -359.60% - - - -7735.29% -1972.15% -18452.68% - - -654936.99% -1375278.00% -9503.62% - - - - -
Operating Income $-574.53K $-459.26K $-522.35K $-570.22K $-509.58K $-1.12M $-242.57K $-467.55K $-444.85K $-560.81K $-985.29K $-1.35M $-671.98K $-888.79K $-1.42M $-1.18M $-1.22M $-746.96K $-913.57K $-1.25M
Operating Income Ratio -43.12% -55.83% -153.03% -397.11% - - - -4051.53% -1622.07% -20701.73% - - -920521.92% -1777580.00% -12926.16% - - - - -
Total Other Income Expenses Net $-83.95K $-28.18K $2.11M $-87.25K $787.43K $-97.78K $45.23K $-135.52K $-203.19K $3.50M $-561.61K $-402.87K $-196.10K $-45.38K $-2.70M $-2 $-822 $3.53K $568.06K $-363.39K
Income Before Tax $-658.48K $-487.43K $1.59M $-657.47K $328.25K $-1.20M $-277.58K $-603.06K $-705.92K $3.00M $-1.44M $-1.32M $-670.70K $-934.17K $-4.12M $-1.18M $-1.22M $-743.43K $-330.03K $-1.61M
Income Before Tax Ratio -49.42% -59.25% 465.32% -457.87% - - - -5225.84% -2574.02% 110836.62% - - -918767.12% -1868336.00% -37453.99% - - - - -
Income Tax Expense $-27.27K $-22.49K $-18.00K $-1 $-11.60K $-47.00K $-4.91K $-53.74K $-83.50K $-10.00K $-84.45K $-22.21K $-22.31K $-39.93K $-24.52K $248.91K $-7.58K $346.42K $76.91K $333.72K
Net Income $-631.21K $-464.95K $1.61M $-657.47K $339.85K $-1.16M $-272.67K $-549.32K $-622.42K $3.01M $-1.44M $-1.30M $-648.39K $-894.24K $-4.12M $-1.17M $-1.21M $-735.59K $-365.11K $-1.59M
Net Income Ratio -47.37% -56.52% 470.59% -457.87% - - - -4760.13% -2269.55% 111205.76% - - -888210.96% -1788480.00% -37412.91% - - - - -
EPS $0.00 $0.00 $0.01 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.01 $-0.01 $-0.01 $0.00 $0.00 $-0.02 $-0.01 $-0.01 $-0.01 $0.00 $-0.01
EPS Diluted $0.00 $0.00 $0.01 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.01 $-0.01 $-0.01 $0.00 $0.00 $-0.02 $-0.01 $-0.01 $-0.01 $0.00 $-0.01
Weighted Average Shares Outstanding 265.18M 265.18M 259.38M 257.19M 257.19M 255.44M 250.39M 235.00M 231.53M 226.23M 225.85M 214.58M 213.03M 209.93M 205.55M 134.03M 134.03M 113.32M 118.04M 110.69M
Weighted Average Shares Outstanding Diluted 265.18M 265.18M 259.34M 257.19M 257.19M 255.44M 250.18M 235.00M 231.53M 226.23M 225.85M 214.58M 213.03M 209.93M 205.55M 134.03M 134.03M 113.32M 118.02M 110.69M
SEC Filing Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source

Annual Balance Sheet

Breakdown May 31, 2024 May 31, 2023 May 31, 2022 May 31, 2021 May 31, 2020
Cash and Cash Equivalents $111.88K $605.93K $117.74K $1.47M $108.64K
Short Term Investments $- $- $- $- $-
Cash and Short Term Investments $111.88K $605.93K $117.74K $1.47M $108.64K
Net Receivables $145.43K $- $- $11.55K $-
Inventory $501.98K $- $- $- $42.78K
Other Current Assets $103.92K $106.97K $36.54K $30.50K $386.00K
Total Current Assets $863.21K $982.50K $385.03K $1.68M $494.63K
Property Plant Equipment Net $4.60M $6.96M $7.16M $7.13M $5.06M
Goodwill $- $- $- $- $-
Intangible Assets $- $- $- $- $-
Goodwill and Intangible Assets $- $- $-4.03M $-3.88M $-4.40M
Long Term Investments $2.97M $- $5.04M $5.04M $5.04M
Tax Assets $- $1 $1 $1 $1
Other Non-Current Assets $5.48M $6.03M $5.04M $5.04M $5.04M
Total Non-Current Assets $13.04M $12.99M $13.21M $13.33M $10.74M
Other Assets $- $- $- $- $-
Total Assets $13.90M $13.98M $13.59M $15.01M $11.24M
Account Payables $1.43M $1.28M $727.25K $925.97K $329.92K
Short Term Debt $60.00K $1.94M $5.38M $224.21K $-
Tax Payables $- $- $- $- $-
Deferred Revenue $- $7.68K $14.48K $26.96K $-
Other Current Liabilities $1.50M $679.03K $791.06K $1.96M $69.40K
Total Current Liabilities $2.99M $3.90M $6.90M $3.11M $399.32K
Long Term Debt $- $1.43M $1.25M $974.85K $9.62M
Deferred Revenue Non-Current $- $- $9.77K $13.30K $-
Deferred Tax Liabilities Non-Current $- $- $173.61K $3.51M $-
Other Non-Current Liabilities $1.53M $259.62K $183.38K $97.75K $207.77K
Total Non-Current Liabilities $1.53M $1.69M $1.43M $4.59M $9.82M
Other Liabilities $- $- $- $- $-
Total Liabilities $4.52M $5.59M $8.33M $7.69M $10.22M
Preferred Stock $- $- $- $- $-
Common Stock $24.86M $24.37M $23.35M $22.09M $9.98M
Retained Earnings $-26.39M $-26.53M $-27.98M $-23.70M $-16.51M
Accumulated Other Comprehensive Income Loss $970.11K $3.77M $3.50M $2.78M $3.05M
Other Total Stockholders Equity $9.95M $6.77M $6.39M $6.15M $4.49M
Total Stockholders Equity $9.39M $8.39M $5.27M $7.32M $1.01M
Total Equity $9.39M $8.39M $5.27M $7.32M $1.01M
Total Liabilities and Stockholders Equity $13.90M $13.98M $13.59M $15.01M $11.24M
Minority Interest $- $- $- $- $-
Total Liabilities and Total Equity $13.90M $13.98M $13.59M $15.01M $11.24M
Total Investments $2.97M $- $5.04M $5.04M $5.04M
Total Debt $60.00K $1.49M $1.29M $1.20M $4.12M
Net Debt $-51.88K $887.51K $1.17M $-274.57K $4.01M


Balance Sheet Charts

Breakdown November 30, 2024 August 31, 2024 May 31, 2024 February 29, 2024 November 30, 2023 August 31, 2023 May 31, 2023 February 28, 2023 November 30, 2022 August 31, 2022 May 31, 2022 February 28, 2022 November 30, 2021 August 31, 2021 May 31, 2021 February 28, 2021 November 30, 2020 August 31, 2020 May 31, 2020 February 29, 2020
Cash and Cash Equivalents $501.98K $164.58K $111.88K $86.19K $143.94K $259.91K $605.93K $726.61K $579.02K $342.81K $117.74K $517.04K $175.93K $895.35K $1.47M $538.65K $1.38M $332.02K $108.64K $543.71K
Short Term Investments $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Cash and Short Term Investments $501.98K $164.58K $111.88K $86.19K $143.94K $259.91K $605.93K $726.61K $579.02K $342.81K $117.74K $517.04K $175.93K $895.35K $1.47M $538.65K $1.38M $332.02K $108.64K $543.71K
Net Receivables $295.49K $136.33K $145.43K $114.94K $15.59K $- $- $127.55K $- $- $- $- $- $- $11.55K $- $- $- $- $-
Inventory $1.41M $571.98K $501.98K $459.31K $22.38K $- $-269.61K $- $- $- $- $- $- $- $- $- $-20.95K $-76.90K $-217.85K $-197.22K
Other Current Assets $121.01K $93.78K $103.92K $- $- $126.24K $106.97K $153.74K $78.97K $37.29K $36.54K $221.06K $229.69K $163.86K $30.50K $43.38K $715.35K $886.93K $386.00K $1.15M
Total Current Assets $2.33M $966.67K $863.21K $791.93K $409.50K $498.10K $982.50K $1.01M $735.30K $451.98K $385.03K $903.48K $542.94K $1.17M $1.68M $1.26M $2.09M $1.22M $494.63K $1.69M
Property Plant Equipment Net $4.50M $4.55M $4.60M $10.44M $5.48M $6.91M $6.96M $6.98M $7.04M $7.10M $7.16M $7.17M $7.21M $7.17M $7.13M $7.45M $5.07M $5.02M $5.06M $5.09M
Goodwill $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Intangible Assets $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Goodwill and Intangible Assets $- $- $- $- $- $- $- $- $- $- $-4.03M $-3.90M $-3.90M $-3.90M $-3.88M $-4.00M $-5.04M $-5.04M $-4.40M $-5.04M
Long Term Investments $2.97M $2.97M $2.97M $- $- $- $- $- $- $- $5.04M $5.04M $5.04M $5.04M $5.04M $5.04M $5.04M $5.04M $5.04M $5.04M
Tax Assets $1 $1 $- $1 $1 $1 $1 $1 $1 $1 $1 $1 $1 $1 $1 $1 $1 $1 $1 $1
Other Non-Current Assets $4.75M $5.19M $5.48M $584.71K $5.57M $6.03M $6.03M $6.04M $6.03M $6.05M $5.04M $5.04M $5.04M $5.04M $5.04M $5.04M $5.04M $5.04M $5.04M $5.04M
Total Non-Current Assets $12.21M $12.70M $13.04M $11.02M $11.05M $12.94M $12.99M $13.02M $13.07M $13.15M $13.21M $13.34M $13.38M $13.34M $13.33M $13.53M $10.11M $10.06M $10.74M $10.13M
Other Assets $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Assets $14.54M $13.67M $13.90M $11.82M $11.46M $13.44M $13.98M $14.03M $13.81M $13.60M $13.59M $14.25M $13.93M $14.51M $15.01M $14.79M $12.20M $11.28M $11.24M $11.83M
Account Payables $1.36M $1.44M $1.97M $1.89M $1.18M $1.98M $1.28M $1.93M $1.88M $1.64M $727.25K $966.18K $722.27K $788.08K $925.97K $1.17M $400.95K $512.61K $329.92K $341.61K
Short Term Debt $60.00K $60.00K $60.00K $60.00K $38.56K $1.51M $1.94M $1.47M $1.40M $95.96K $5.38M $- $- $224.21K $224.21K $- $- $- $- $-
Tax Payables $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Deferred Revenue $- $- $- $- $1.44K $4.39K $7.68K $10.97K $13.65K $15.11K $14.48K $- $25.43K $19.07K $26.96K $- $- $- $- $-
Other Current Liabilities $2.02M $1.65M $961.00K $800.00K $600.00K $600.00K $679.03K $450.00K $300.00K $300.00K $791.06K $5.25M $4.18M $2.85M $1.96M $40.00K $40.00K $40.00K $69.40K $52.95K
Total Current Liabilities $3.45M $3.15M $2.99M $2.75M $1.82M $4.09M $3.90M $3.86M $3.59M $2.05M $6.90M $6.21M $4.90M $3.86M $3.11M $1.21M $440.95K $552.61K $399.32K $394.56K
Long Term Debt $- $- $- $1.46M $- $1.34M $1.43M $1.37M $1.53M $2.66M $1.25M $1.03M $1.31M $3.07M $974.85K $7.63M $8.44M $9.97M $9.62M $10.27M
Deferred Revenue Non-Current $- $- $- $- $- $- $- $- $1.10K $4.39K $9.77K $29.71K $2.12K $14.83K $13.30K $- $- $- $- $-
Deferred Tax Liabilities Non-Current $- $- $- $- $- $- $- $- $1.64M $1.57M $173.61K $- $1.13M $2.34M $3.51M $- $- $- $- $-
Other Non-Current Liabilities $1.67M $1.40M $1.53M $121.76K $1.52M $220.08K $259.62K $257.32K $257.70K $306.51K $183.38K $359.19K $24.33K $365.87K $97.75K $1.21M $205.05K $206.87K $207.77K $242.90K
Total Non-Current Liabilities $1.67M $1.40M $1.53M $1.59M $1.52M $1.56M $1.69M $1.62M $1.78M $2.97M $1.43M $1.39M $2.46M $3.44M $4.59M $8.84M $8.64M $10.18M $9.82M $10.51M
Other Liabilities $- $- $- $1 $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Liabilities $5.11M $4.55M $4.52M $4.34M $3.33M $5.65M $5.59M $5.48M $5.38M $5.02M $8.33M $7.61M $7.36M $7.30M $7.69M $10.05M $9.08M $10.73M $10.22M $10.91M
Preferred Stock $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Common Stock $25.81M $24.99M $24.86M $24.65M $24.65M $24.65M $24.37M $24.26M $23.90M $23.59M $23.35M $23.07M $22.57M $22.57M $22.09M $16.32M $13.65M $10.16M $9.98M $10.03M
Retained Earnings $-27.49M $-26.86M $-26.39M $-28.00M $-27.34M $-27.68M $-26.53M $-26.25M $-25.70M $-24.97M $-27.98M $-26.54M $-25.24M $-24.60M $-23.70M $-19.58M $-18.44M $-17.24M $-16.51M $-16.14M
Accumulated Other Comprehensive Income Loss $- $- $970.11K $2.44M $2.70M $3.59M $3.77M $4.00M $3.81M $3.56M $3.50M $3.60M $2.98M $2.98M $2.78M $2.63M $3.04M $3.04M $3.05M $2.96M
Other Total Stockholders Equity $11.10M $10.98M $9.95M $8.39M $8.12M $7.23M $6.77M $6.54M $6.43M $6.39M $6.39M $6.51M $6.26M $6.26M $6.15M $5.37M $4.87M $4.59M $4.49M $4.08M
Total Stockholders Equity $9.43M $9.11M $9.39M $7.48M $8.13M $7.79M $8.39M $8.54M $8.43M $8.58M $5.27M $6.64M $6.56M $7.21M $7.32M $4.73M $3.12M $548.59K $1.01M $920.67K
Total Equity $9.43M $9.11M $9.39M $7.48M $8.13M $7.79M $8.39M $8.54M $8.43M $8.58M $5.27M $6.64M $6.56M $7.21M $7.32M $4.73M $3.12M $548.59K $1.01M $920.67K
Total Liabilities and Stockholders Equity $14.54M $13.67M $13.90M $11.82M $11.46M $13.44M $13.98M $14.03M $13.81M $13.60M $13.59M $14.25M $13.93M $14.51M $15.01M $14.79M $12.20M $11.28M $11.24M $11.83M
Minority Interest $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Liabilities and Total Equity $14.54M $13.67M $13.90M $11.82M $11.46M $13.44M $13.98M $14.03M $13.81M $13.60M $13.59M $14.25M $13.93M $14.51M $15.01M $14.79M $12.20M $11.28M $11.24M $11.83M
Total Investments $2.97M $2.97M $2.97M $- $- $- $- $- $- $- $5.04M $5.04M $5.04M $5.04M $5.04M $5.04M $5.04M $5.04M $5.04M $5.04M
Total Debt $60.00K $60.00K $60.00K $2.32M $38.56K $1.51M $1.49M $1.47M $1.47M $1.37M $1.29M $1.03M $1.31M $1.26M $1.20M $2.65M $2.67M $4.27M $4.12M $4.80M
Net Debt $-441.98K $-104.58K $-51.88K $2.24M $-105.38K $1.25M $887.51K $740.34K $895.16K $1.03M $1.17M $517.72K $1.13M $367.87K $-274.57K $2.11M $1.29M $3.94M $4.01M $4.25M

Annual Cash Flow

Breakdown May 31, 2024 May 31, 2023 May 31, 2022 May 31, 2021 May 31, 2020
Net Income $130.93K $1.45M $-4.28M $-7.19M $-5.11M
Depreciation and Amortization $345.11K $198.43K $195.60K $191.58K $179.48K
Deferred Income Tax $-31.60K $-152.15K $-84.45K $-65.99K $-113.84K
Stock Based Compensation $236.11K $31.84K $267.36K $750.04K $989.67K
Change in Working Capital $471.00K $469.60K $258.63K $209.09K $53.73K
Accounts Receivables $108.72K $-38.86K $-51.43K $187.26K $5.91K
Inventory $-501.98K $38.86K $51.43K $-187.26K $-5.91K
Accounts Payables $- $564.09K $287.23K $17.71K $38.92K
Other Working Capital $864.27K $-94.48K $-28.60K $191.38K $14.81K
Other Non Cash Items $-2.90M $-3.15M $1.37M $3.95M $1.20M
Net Cash Provided by Operating Activities $-1.75M $-1.14M $-2.27M $-2.16M $-2.81M
Investments in Property Plant and Equipment $- $- $-459.00K $-339.56K $-410.13K
Acquisitions Net $- $- $- $- $-
Purchases of Investments $- $- $- $- $-
Sales Maturities of Investments $- $- $- $- $-
Other Investing Activities $1.82M $- $- $- $-
Net Cash Used for Investing Activities $1.82M $- $-459.00K $-339.56K $-410.13K
Debt Repayment $-1.45M $-97.42K $-268.03K $938.64K $200.00K
Common Stock Issued $682.01K $1.73M $1.54M $2.78M $1.29M
Common Stock Repurchased $- $- $- $- $-
Dividends Paid $- $- $- $- $-
Other Financing Activities $882.01K $- $108.00K $152.00K $1.14M
Net Cash Used Provided by Financing Activities $-571.43K $1.63M $1.38M $3.87M $2.63M
Effect of Forex Changes on Cash $- $- $-6.18K $-3.17K $-
Net Change in Cash $-494.05K $488.18K $-1.36M $1.36M $-587.55K
Cash at End of Period $111.88K $605.93K $117.74K $1.47M $108.64K
Cash at Beginning of Period $605.93K $117.74K $1.47M $108.64K $696.18K
Operating Cash Flow $-1.75M $-1.14M $-2.27M $-2.16M $-2.81M
Capital Expenditure $- $- $-459.00K $-339.56K $-410.13K
Free Cash Flow $-1.75M $-1.14M $-2.73M $-2.50M $-3.22M

Cash Flow Charts

Breakdown November 30, 2024 August 31, 2024 May 31, 2024 February 29, 2024 November 30, 2023 August 31, 2023 May 31, 2023 February 28, 2023 November 30, 2022 August 31, 2022 May 31, 2022 February 28, 2022 November 30, 2021 August 31, 2021 May 31, 2021 February 28, 2021 November 30, 2020 August 31, 2020 May 31, 2020 February 29, 2020
Net Income $-631.21K $-464.95K $1.61M $-657.47K $339.85K $-1.16M $-272.67K $-549.32K $-737.38K $3.01M $-1.44M $-1.30M $-648.39K $-894.24K $-4.12M $-1.14M $-1.20M $-735.59K $-365.11K $-1.59M
Depreciation and Amortization $-242.06K $341.55K $196.15K $53.87K $49.47K $50.02K $22.49K $58.00K $58.65K $59.29K $50.02K $48.93K $48.94K $47.72K $52.22K $45.95K $46.45K $46.97K $45.47K $46.78K
Deferred Income Tax $162.73K $-288 $27.00K $- $-11.60K $-47.00K $-4.91K $-53.74K $-83.50K $-10.00K $26.25K $-22.21K $-22.31K $-39.93K $-103.80K $- $- $- $- $-
Stock Based Compensation $- $- $15.73K $12.23K $- $208.15K $- $236.88K $31.84K $- $-16.08K $236.88K $16.40K $46.56K $439.52K $- $295.37K $15.15K $146.88K $-
Change in Working Capital $-739.04K $-45.82K $28.85K $223.77K $53.51K $164.87K $41.04K $-71.86K $211.69K $288.72K $635.33K $222.67K $-155.94K $-443.43K $-44.51K $38.94K $-81.35K $296.01K $-46.75K $50.09K
Accounts Receivables $-159.61K $9.10K $-30.49K $-99.35K $80.90K $157.66K $-142.06K $-50.25K $-5.43K $158.88K $-65.37K $-28.06K $-22.87K $64.87K $-13.72K $5.21K $54.84K $140.94K $-19.51K $-37.31K
Inventory $-838.40K $-69.99K $-42.67K $-436.93K $-22.38K $- $- $- $- $- $65.37K $- $- $- $- $- $- $- $- $-
Accounts Payables $- $- $- $713.96K $37.46K $22.66K $- $57.64K $- $- $512.09K $243.92K $- $- $-48.03K $24.11K $-111.65K $153.29K $17.71K $87.40K
Other Working Capital $258.97K $15.07K $102.02K $46.09K $-42.46K $-15.46K $183.10K $-79.25K $217.13K $129.84K $123.24K $-21.25K $-133.07K $-508.30K $3.52K $14.83K $30.30K $142.73K $-64.46K $-37.31K
Other Non Cash Items $843.48K $32.92K $-2.26M $52.13K $160.89K $85.72K $125.96K $110.65K $169.91K $-3.59M $586.02K $345.38K $158.41K $257.37K $2.77M $470.70K $287.18K $353.36K $-130.23K $976.81K
Net Cash Provided by Operating Activities $-606.10K $-136.59K $-389.88K $-257.75K $-402.99K $-696.02K $-88.66K $-493.82K $-348.79K $-212.82K $-153.60K $-467.80K $-619.29K $-1.03M $-901.39K $-583.47K $-651.94K $-24.10K $-349.74K $-514.66K
Investments in Property Plant and Equipment $- $- $- $- $- $- $- $- $- $- $-297.96K $-8.50K $-90.23K $-62.30K $174.80K $-408.42K $-95.69K $-10.25K $-126.33K $-357.51K
Acquisitions Net $- $- $- $- $1.82M $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Purchases of Investments $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Sales Maturities of Investments $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Other Investing Activities $- $- $- $- $1.82M $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Net Cash Used for Investing Activities $- $- $- $- $1.82M $- $- $- $- $- $-297.96K $-8.50K $-90.23K $-62.30K $174.80K $-408.42K $-95.69K $-10.25K $-126.33K $-357.51K
Debt Repayment $- $- $83.56K $200.00K $- $- $-32.03K $- $- $- $55.48K $-16.34K $-9.90K $-204.24K $1.09M $-40.00K $60.00K $- $- $-
Common Stock Issued $943.50K $189.30K $332.01K $- $- $350.00K $1 $706.80K $585.00K $437.89K $96.00K $821.75K $- $714.21K $501.09K $303.21K $1.78M $197.74K $998 $659.76K
Common Stock Repurchased $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Dividends Paid $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Other Financing Activities $- $- $- $- $-1.54M $- $- $-65.39K $- $- $2.97K $12.00K $- $714.21K $70.00K $-111.00K $18.00K $- $40.00K $199.38K
Net Cash Used Provided by Financing Activities $943.50K $189.30K $415.57K $200.00K $-1.54M $350.00K $-32.03K $641.41K $585.00K $437.89K $58.45K $817.41K $-9.90K $509.97K $1.66M $152.22K $1.85M $197.74K $41.00K $859.14K
Effect of Forex Changes on Cash $- $- $- $- $-1 $- $- $- $- $- $-6.18K $- $- $- $-3.17K $- $- $- $- $-
Net Change in Cash $337.40K $52.71K $25.69K $-57.76K $-115.96K $-346.02K $-120.68K $147.59K $236.21K $225.07K $-399.30K $341.11K $-719.42K $-578.28K $934.99K $-839.67K $1.11M $163.39K $-435.07K $-13.03K
Cash at End of Period $501.98K $164.58K $111.88K $86.19K $143.94K $259.91K $605.93K $726.61K $579.02K $342.81K $117.74K $517.04K $175.93K $895.35K $1.47M $538.65K $1.38M $272.02K $108.64K $543.71K
Cash at Beginning of Period $164.58K $111.88K $86.19K $143.94K $259.91K $605.93K $726.61K $579.02K $342.81K $117.74K $517.04K $175.93K $895.35K $1.47M $538.65K $1.38M $272.02K $108.64K $543.71K $556.74K
Operating Cash Flow $-606.10K $-136.59K $-389.88K $-257.75K $-402.99K $-696.02K $-88.66K $-493.82K $-348.79K $-212.82K $-153.60K $-467.80K $-619.29K $-1.03M $-901.39K $-583.47K $-651.94K $-24.10K $-349.74K $-514.66K
Capital Expenditure $- $- $- $- $- $- $- $- $- $- $-297.96K $-8.50K $-90.23K $-62.30K $174.80K $-408.42K $-95.69K $-10.25K $-126.33K $-357.51K
Free Cash Flow $-606.10K $-136.59K $-389.88K $-257.75K $-402.99K $-696.02K $-88.66K $-493.82K $-348.79K $-212.82K $-451.56K $-476.30K $-709.52K $-1.09M $-726.58K $-991.89K $-747.63K $-34.35K $-476.07K $-872.17K

Braveheart Resources Dividends

Explore Braveheart Resources's dividend history, including dividend yield, payout ratio, and historical payments.

Braveheart Resources does not currently pay a dividend.

Braveheart Resources News

Read the latest news about Braveheart Resources, including recent articles, headlines, and updates.

Canadian Critical Minerals Generates USD$79,000 in Revenue from Bull River Mine

Calgary, Alberta--(Newsfile Corp. - April 28, 2025) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to report revenues for the Company from the sale of stockpiled copper, gold and silver mineralized material at the Bull River Mine ("BRM") project near Cranbrook, BC. During the month of March 2025, the Company trucked 254 dry metric tonnes ("dmt") of sorted mineralized material to New Afton and the Company received a provisional payment of approximately USD$79,000 for the March 2025 shipments.

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Canadian Critical Minerals Generates USD$185,000 in Revenue from Bull River Mine

Calgary, Alberta--(Newsfile Corp. - March 13, 2025) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to report revenues for the Company from the sale of stockpiled copper, gold and silver mineralized material at the Bull River Mine ("BRM") project near Cranbrook, BC. During the month of February 2025, the Company trucked 542 dry metric tonnes ("dmt") of sorted mineralized material to New Afton and the Company received a provisional payment of approximately USD$185,000 for the February 2025 shipments.

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Canadian Critical Minerals Announces Increases of Indicated Metal of 11% for Copper and 17% for Gold at the Bull River Mine

Calgary, Alberta--(Newsfile Corp. - March 4, 2025) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to announce a 10% increase in copper and a 15% increase in gold in a new Mineral Resource for the Bull River Mine, near Cranbrook, B.C. The Mineral Resource Estimate ("MRE") was independently prepared by Moose Mountain Technical Services ("MMTS") under the supervision of Sue Bird, P.Eng.

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Canadian Critical Minerals Generates USD$159,000 in Revenue from Bull River Mine

Calgary, Alberta--(Newsfile Corp. - February 25, 2025) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to report revenues for the Company from the sale of stockpiled copper, gold and silver mineralized material at the Bull River Mine ("BRM") project near Cranbrook, BC. During the month of January 2025, the Company trucked 415 dry metric tonnes ("dmt") of sorted mineralized material to New Afton and the Company received a provisional payment of approximately USD$159,000 for the January 2025 shipments.

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Canadian Critical Minerals Generates USD$167,000 in Revenue from Bull River Mine

Calgary, Alberta--(Newsfile Corp. - January 28, 2025) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to report revenues for the Company from the sale of stockpiled copper, gold and silver mineralized material at the Bull River Mine ("BRM") project near Cranbrook, BC. During the month of December 2024, the Company trucked 424 dry metric tonnes ("dmt") of sorted mineralized material to New Afton and the Company received a provisional payment of approximately USD$167,000 for the December 2024 shipments.

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Canadian Critical Minerals Closes $100,000 Flow-Through Financing

Calgary, Alberta--(Newsfile Corp. - December 30, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") has closed a $100,000 financing composed of 1,666,667 flow-through units with an issue price of six cents per unit. Each flow-through unit consists of one common share and one-half of one common share purchase warrant that is exercisable into a common share at an exercise price of nine cents per share for a period of two years.

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Canadian Critical Minerals Generates USD$198,000 in Revenue from Bull River Mine

Calgary, Alberta--(Newsfile Corp. - December 18, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to report revenues for the Company from the sale of stockpiled copper, gold and silver mineralized material at the Bull River Mine ("BRM") project near Cranbrook, BC. During the month of November 2024, the Company trucked 524 dry metric tonnes ("dmt") of sorted mineralized material to New Afton and the Company received a provisional payment of approximately USD$198,000 for the November 2024 shipments.

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Canadian Critical Minerals Confirms 10.4% Interest in XXIX Metal Corp

Calgary, Alberta--(Newsfile Corp. - December 16, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") hereby confirms that it now holds 26,837,388 shares in XXIX Metal Corp. (previously named QC Copper and Gold Inc.) (TSXV: XXIX) representing 10.4% of the issued and outstanding shares of XXIX. XXIX recently announced the closing of its acquisition of a 100% interest in Cuprum Corp ("Cuprum") (see XXIX press release dated December 9, 2024, on Sedar Plus).

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Canadian Critical Minerals Closes $300,000 Flow-Through Financing

Calgary, Alberta--(Newsfile Corp. - December 9, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") has closed a flow-through financing for gross proceeds of $300,000, comprised of 6,000,000 flow-through shares with an issue price of $0.05 per share. In connection with the financing, the Company paid finders cash commissions totalling $21,000 and issued 420,000 non-transferrable broker warrants.

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Canadian Critical Minerals Engages Third Party Investor Relations Services

Calgary, Alberta--(Newsfile Corp. - November 22, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to announce that it has engaged the services of ImpactDeck, a leading investor relations firm specializing in resource companies. ImpactDeck will assist the Company in increasing its visibility within the investment community and enhancing engagement with key investors.

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Canadian Critical Minerals Generates Record Revenue from Bull River Mine

Calgary, Alberta--(Newsfile Corp. - November 21, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to report record revenues for the Company from the sale of stockpiled copper, gold and silver mineralized material at the Bull River Mine ("BRM") project near Cranbrook, BC. During the month of October 2024, the Company trucked 1,064 dry metric tonnes ("dmt") of sorted mineralized material to New Afton and the Company received a provisional payment of approximately USD$378,000 for the October 2024 shipments.

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Canadian Critical Minerals Announces Debt Settlement Agreement

Calgary, Alberta--(Newsfile Corp. - November 18, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") has entered into an agreement with an arm's length vendor to settle $250,000 of accounts payable through the issuance of 5,000,000 units, with each unit comprised of one common share of the Company and one-half of one warrant, with each full warrant exercisable into a common share at an exercise price of $0.075 per share for two years. The debt settlement is subject to approval by the TSX Venture Exchange.

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Canadian Critical Minerals Closes $950,000 Flow-Through Financing

Calgary, Alberta--(Newsfile Corp. - November 13, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") has closed a flow-through financing for gross proceeds of $950,000, comprised of 19,000,000 flow-through shares with an issue price of $0.05 per share. In connection with the financing, the Company paid finders cash commissions totalling $66,500 and issued 1,330,000 non-transferrable broker warrants.

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Canadian Critical Minerals Generates USD$179,000 in Revenue from Bull River Mine

Calgary, Alberta--(Newsfile Corp. - October 16, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to report revenues for the Company from the sale of stockpiled copper, gold and silver mineralized material at the Bull River Mine ("BRM") project near Cranbrook, BC. During the month of September 2024, the Company trucked 879 dry metric tonnes ("dmt") of sorted mineralized material to New Afton and the Company received a provisional payment of approximately USD$179,000 for the September 2024 shipments.

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Canadian Critical Minerals Receives Offer to Purchase Interest in Thierry Mine Project

Calgary, Alberta--(Newsfile Corp. - October 1, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") hereby reports that QC Copper and Gold (TSXV: QCCU) (QCCUF) ("QC Copper") has made an offer to purchase all the outstanding shares of Cuprum Corp. ("Cuprum") in an all-share deal (the "Acquisition"). Cuprum is a private company (formerly Pickle Lake Minerals Inc.) which owns 100% of the Thierry Mine project ("Thierry").

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Canadian Critical Minerals Generates USD$95,000 in Revenue from Bull River Mine

Calgary, Alberta--(Newsfile Corp. - September 19, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to report revenues for the Company from the sale of stockpiled copper, gold and silver mineralized material at the Bull River Mine ("BRM") project near Cranbrook, BC. During the month of August 2024, the Company trucked 434 dry metric tonnes ("dmt") of sorted mineralized material to New Afton and the Company received a provisional payment of approximately USD$95,000 for the August 2024 shipments.

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Canadian Critical Minerals Generates USD$143,000 in Revenue from Bull River Mine

Calgary, Alberta--(Newsfile Corp. - August 14, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to report revenues for the Company from the sale of stockpiled copper, gold and silver mineralized material at the Bull River Mine ("BRM") project near Cranbrook, BC. During the month of July 2024, the Company trucked 550 wet metric tonnes ("wmt") of sorted mineralized material to New Afton and the Company received a provisional payment of approximately USD$143,000 for the July 2024 shipments.

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Canadian Critical Minerals Closes $222,000 Financing

Calgary, Alberta--(Newsfile Corp. - July 25, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") has closed a financing for proceeds of $222,000, comprised of 3,700,000 Flow-Through Units with an issue price of $0.06 per unit. Each Flow-Through Unit consists of one common share and one half of one common share purchase warrant that is exercisable into a common share at an exercise price of $0.09 per share for a period of two years.

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Canadian Critical Minerals Generates USD$246,000 in Revenue from Bull River Mine

Calgary, Alberta--(Newsfile Corp. - July 10, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to report record revenues for the Company from the sale of stockpiled copper, gold and silver mineralized material at the Bull River Mine ("BRM") project near Cranbrook, BC. During the month of June 2024, the Company trucked 694 wet metric tonnes ("wmt") of mineralized material to New Afton and the Company received a provisional payment of approximately USD$246,000 for the June 2024 shipments versus approximately USD$103,000 for May 2024 shipments.

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Canadian Critical Minerals Receives Update on Drill Results from Thierry Copper Project

Calgary, Alberta--(Newsfile Corp. - June 20, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") has received results from the remaining five drill holes at the Thierry Copper Project near Pickle Lake, Ontario that were drilled by CCMI in July 2023 as part of a 2,600 metre drill program. The Thierry Copper Project is 100% owned by Cuprum Corp. CCMI owns 23.2 million shares of Cuprum and is the second largest shareholder with approximately 30% of the issued shares of Cuprum.

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Nevada Organic Phosphate Applauds Addition of Phosphate to Canadian Critical Minerals List

Similar Bill Moving Through U.S. Senate Vancouver, British Columbia--(Newsfile Corp. - June 18, 2024) - Nevada Organic Phosphate Inc. (CSE: NOP) ("NOP" or the "Company), a B.C. based company engaged in the exploration, in Nevada, for organic, sedimentary raw rock phosphate, is pleased to report that phosphate has been added the Canadian Critical Minerals list, expanding the total to thirty-four materials deemed 'essential' for Canada's economic future.

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Canadian Critical Minerals Increases Revenue from Bull River Mine Project

Calgary, Alberta--(Newsfile Corp. - June 17, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to report that revenues for the Company have continued to increase from the sale of stockpiled copper, gold and silver mineralized material at the Bull River Mine ("BRM") project near Cranbrook, BC. During the month of May 2024, the Company trucked 360 wet metric tonnes ("wmt") of mineralized material to New Afton and the Company received a provisional payment of approximately US$103,000 for the May 2024 shipments versus approximately US$72,000 for April 2024 shipments.

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Canadian Critical Minerals Closes Financing

Calgary, Alberta--(Newsfile Corp. - May 15, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") has closed a financing, consisting of 2,008,648 units ("Units") priced at $0.05 per Unit for proceeds of $100,432 (the "Offering"). Each Unit consists of one common share and one common share purchase warrant.

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Canadian Critical Minerals Provides Progress Report on Bull River Mine Project

Calgary, Alberta--(Newsfile Corp. - May 14, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) is pleased to report that it has received additional revenues for the Company from the sale of stockpiled copper, gold and silver mineralized material at the Bull River Mine ("BRM") project near Cranbrook, BC. During the month of April 2024, the Company trucked 362 wet metric tonnes ("wmt") of mineralized material to New Afton and the Company received a provisional payment of approximately US$72,445 for the April shipments.

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Canadian Critical Minerals Closes $247,500 Flow-Through Financing

Calgary, Alberta--(Newsfile Corp. - April 24, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") has closed a flow-through financing for gross proceeds of $247,500, comprised of 4,500,002 Flow-Through Shares with an issue price of $0.055 per share. All securities issued are subject to a statutory hold period that expires four months and one day from issuance.

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Canadian Critical Minerals Achieving Positive Results from Ore Sorting at Bull River Mine

Calgary, Alberta--(Newsfile Corp. - April 16, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to report that it is achieving positive results from ore sorting at the Bull River Mine ("BRM") project near Cranbrook, BC. The Company is using a Steinert KSS 100 X-Ray Transmissive Ore Sorter ("Ore Sorter") to pre-concentrate coarse mineralized material from a large surface stockpile at the BRM prior to transporting to New Afton for processing under an Ore Purchase Agreement ("OPA") (see press release dated October 5, 2023, on Sedar+).

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Canadian Critical Minerals Completes Commissioning of Ore Sorter at Bull River Mine Project

Calgary, Alberta--(Newsfile Corp. - March 21, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to report that it has completed commissioning of a Steinert KSS 100 ore sorter ("ore sorter") at the Bull River Mine ("BRM") project near Cranbrook, BC. The ore sorter is being used to pre-concentrate mineralized copper material from a large surface stockpile prior to trucking to New Afton under an Ore Purchase Agreement ("OPA") (see press release dated October 5, 2023, on Sedar+).

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Canadian Critical Minerals Receives Additional Revenues from the Bull River Mine Project

Calgary, Alberta--(Newsfile Corp. - March 12, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to report that it has received additional revenues for the Company from the sale of stockpiled copper, gold and silver mineralized material at the Bull River Mine ("BRM") project near Cranbrook, BC. During the month of February 2024, the Company trucked 897 wet metric tonnes ("wmt") of mineralized material to New Afton under an Ore Purchase Agreement ("OPA") (see press release dated October 5, 2023, on Sedar+) and the Company received a provisional payment of approximately US$66,000 for the February shipments.

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Canadian Critical Minerals Receives First Revenues from Bull River Mine Project

Calgary, Alberta--(Newsfile Corp. - February 29, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to report that it has received first revenues for the Company from the sale of stockpiled copper, gold and silver mineralized material at the Bull River Mine ("BRM") project near Cranbrook, BC. During the month of January 2024, the Company trucked 80 wet metric tonnes ("wmt") of mineralized material to New Afton under an Ore Purchase Agreement ("OPA") (see press release dated October 5, 2023, on Sedar+) and the Company received a provisional payment of approximately US$6,500 for the January shipments.

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Canadian Critical Minerals Receives Amended Operating Permit for Bull River Mine Project

Calgary, Alberta--(Newsfile Corp. - February 26, 2024) - Canadian Critical Minerals Inc. (TSXV: CCMI) (OTCQB: RIINF) ("CCMI" or the "Company") is pleased to report that it has received an amended operating permit for its Bull River Mine ("BRM") project near Cranbrook, BC from the Major Mines Permitting Office ("MMPO") of the Ministry of Energy, Mines and Low Carbon Innovation ("EMLI") of British Columbia. The amended Mine Permit M-33 provides authorization for the Company to perform screening, crushing and sorting activities in addition to current activities that include care and maintenance, exploration drilling and ground water well installation and monitoring.

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