Rokmaster Resources Corp. (V:RKR*CA)

Business Focus: Diversified Mining

Sector:  Basic Materials Industry:  Diversified Mining
See Regulatory Filings on SEDAR
Company Contact
Address: Suite 1150 - 625 Howe Street
Tel: N/A
IR: See website
Key People
John M. Mirko
President, Chief Executive Officer, Director
Dennis Cojuco
Chief Financial Officer, Corporate Secretary
Michael Kordysz
Vice President - Business Development and Strategy
Business Overview
Rokmaster Resources Corp. is a Canada-based mineral exploration company. The Company is focused on acquiring and developing mineral resource properties and exploring such properties for precious metals, base metals and industrial minerals in North, Central and South America. The Company's projects include Revel Ridge Project, Duncan Lake Zinc-Lead Property, and Big Copper Property. The Revel Ridge Project is located approximately 45 kilometers (km) from the city of Revelstoke in British Columbia, Canada. Its flagship Revel Ridge Project is host to a high-grade gold and polymetallic orogenic sulphide deposit. It owns 100% of the Duncan Lake Zinc-Lead Property and a 55% interest in the Big Copper Property, both located in the Slocan Mining Division in southeast British Columbia, Canada. The Big Copper Property is located in the Fort Steele and Slocan Mining Divisions, British Columbia, Canada and is approximately 45 km by road west of Kimberly, British Columbia.
Financial Overview
For the nine months ended 30 September 2022, Rokmaster Resources Corp revenues was not reported. Net loss decreased 22% to C$5.6M. Lower net loss reflects Exploration and evaluation expenditures decrease of 31% to C$4.2M (expense), Selling/General/Admin. Expense decrease of 67% to C$123K (expense), Corporate listing and filings fees decrease of 25% to C$30K (expense).
Employees: 1 as of Aug 15, 2011
Reporting Currency: Canadian Dollars
Enterprise value: $11.41M as of Sep 30, 2022
Annual revenue (TTM): $0.00M as of Sep 30, 2022
EBITDA (TTM): -$7.53M as of Sep 30, 2022
Net annual income (TTM): -$5.88M as of Sep 30, 2022
Free cash flow (TTM): -$10.45M as of Sep 30, 2022
Net Debt Last Fiscal Year: N/A
Shares outstanding: 139,695,023 as of Sep 30, 2022
TTM: Trailing Twelve Months
EBITDA: Earnings Before Interest, Taxes, Depreciation, & Amortization

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