middle.news
Barton Gold Holdings Faces $1.74M Cash Drain Amid $7M Reserve
7:03pm on Monday 2nd of June, 2025 AEST
•
Mining
Read Story
Barton Gold Holdings Faces $1.74M Cash Drain Amid $7M Reserve
7:03pm on Monday 2nd of June, 2025 AEST
Key Points
Net cash used in operating activities: $1.74 million for Q4 2024
Cash and cash equivalents at quarter end: $7.01 million
Unused financing facilities total $4.52 million
Estimated funding runway of approximately 4 quarters
Read Story
middle.
Tap to Read
Tap the card to read the full analysis
about
Barton Gold Holdings (ASX:BGD)
OPEN ARTICLE