1. | Cash flows from operating activities | 5 | 42 |
1.1 | Receipts from customers |
1.2 | Payments for | (4,239) | (11,845) |
| (a) exploration & evaluation |
| (b) development | (620) | (689) |
| (c) production | - | - |
| (d) staff costs | - | - |
| (i) exploration | (668) | (2,415) |
| (ii) corporate | (323) | (1,052) |
| (e)administration and corporate costs | (921) | (2,188) |
1.3 | Dividends received (see note 3) | - | - |
1.4 | Interest received | 73 | 425 |
1.5 | Interest and other costs of finance paid | (10) | (33) |
1.6 | Income taxes paid | - | - |
1.7 | Government grants and tax incentives | - | 521 |
1.8 | Other (provide details if material) | - | - |
1.9 | Net cash from / (used in) operating activities | (6,703) | (17,235) |
|
2. | Cash flows from investing activities | - | - |
2.1 | Payments to acquire or for: |
| (a) entities |
| (b) tenements | - | (200) |
| (c) property, plant and equipment | (123) | (251) |
| (d) exploration & evaluation | - | - |
| (e) investments | - | - |
| (f) other non-current assets | 169 | - |
2.2 | Proceeds from the disposal of: | - | - |
| (a) entities |
| (b) tenements | - | - |
| (c) property, plant and equipment | - | - |
| (d) investments | - | - |
| (e) other non-current assets | - | - |
2.3 | Cash flows from loans to other entities | - | - |
2.4 | Dividends received (see note 3) | - | - |
2.5 | Other (provide details if material) | - | (30) |
2.6 | Net cash from / (used in) investing activities | 46 | (481) |
|
3. | Cash flows from financing activities | 25,900 | 41,560 |
3.1 | Proceeds from issues of equity securities (excluding convertible debt securities) |
3.2 | Proceeds from issue of convertible debt securities | - | - |
3.3 | Proceeds from exercise of options | - | - |
3.4 | Transaction costs related to issues of equity securities or convertible debt securities | (662) | (893) |
3.5 | Proceeds from borrowings | - | - |
3.6 | Repayment of borrowings | - | - |
3.7 | Transaction costs related to loans and borrowings | - | - |
3.8 | Dividends paid | - | - |
3.9 | Other (provide details if material) Repayment of lease liability
| (17) | (78) |
3.10 | Net cash from / (used in) financing activities | 25,221 | 40,589 |
| | | |
4. | Net increase / (decrease) in cash and cash equivalents for the period | | |
4.1 | Cash and cash equivalents at beginning of period | 13,300 | 8,991 |
4.2 | Net cash from / (used in) operating activities (item 1.9 above) | (6,703) | (17,235) |
4.3 | Net cash from / (used in) investing activities (item 2.6 above) | 46 | (481) |
4.4 | Net cash from / (used in) financing activities (item 3.10 above) | 25,221 | 40,589 |
4.5 | Effect of movement in exchange rates on cash held | - | - |
4.6 | Cash and cash equivalents at end of period | 31,864 | 31,864 |