Rockhaven Resources Ltd. (V:RK*CA)

Business Focus: Diversified Mining

Sector:  Basic Materials Industry:  Diversified Mining
 
Company Contact
Address: 510-1100 Melville Street
VANCOUVER BC V6E 4A6
Tel: N/A
Website: https://www.rockhavenresources.com
IR: See website
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Key People
Matthew A. T. Turner
President, Chief Executive Officer, Director
Daniel Martino
Chief Financial Officer
Glenn R. Yeadon
Secretary, Director
Business Overview
Rockhaven Resources Ltd. is a Canada-based mineral exploration company. The Company is engaged in the acquisition, exploration, and evaluation of mineral property interests located in Canada. It is focused on the exploration and development of its 100%-owned Klaza Property, which hosts the Klaza Deposit and numerous explored exploration targets. The Company's Klaza Property hosts a gold-silver deposit located in the Mount Nansen Gold Camp in southwestern Yukon. The Klaza project is comprised of 1,478 mineral claims and covers an area of approximately 287 square kilometers (km2). All of the mineral claims comprising the Klaza project are located in the Whitehorse Mining District, approximately 50 km west of the community of Carmacks, in southern Yukon Territory. The Klaza project includes the BBB, Sked, Desk, Dade, Queen and Nor claims located in the Whitehorse Mining District, Yukon Territory. It also includes the Val claims located in the Whitehorse Mining District, Yukon Territory.
Financial Overview
For the nine months ended 30 September 2024, Rockhaven Resources Ltd revenues was not reported. Net loss decreased 68% to C$117K. Lower net loss reflects Share-based payments decrease of 99% to C$1K (expense), Investor relations and shareholder infor decrease of 67% to C$25K (expense), Unrealized gain (loss) on marketable sec increase from C$0K to C$17K (income).
Reporting Currency: Canadian Dollars
Enterprise value: $23.85M as of Sep 30, 2024
Annual revenue (TTM): $0.00M as of Sep 30, 2024
EBITDA (TTM): -$0.33M as of Sep 30, 2024
Net annual income (TTM): -$0.20M as of Sep 30, 2024
Free cash flow (TTM): -$1.02M as of Sep 30, 2024
Net Debt Last Fiscal Year: N/A
Shares outstanding: 292,803,137 as of Jan 2, 2025
TTM: Trailing Twelve Months
EBITDA: Earnings Before Interest, Taxes, Depreciation, & Amortization

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