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Freehill Mining Secures New Site and Funding Amid Seasonal Sales Dip

Freehill Mining reported a seasonal slowdown in sales and logistical challenges in Q3 FY2025 but strengthened its position with a new site acquisition and a $700,000 capital raise to fuel growth in Chile’s construction materials market.
Maxwell Dee
30 Apr 2025

Freehill Mining Reports $114K Operating Cash Outflow, Holds $301K Financing Buffer

Freehill Mining Ltd’s December quarter cash flow report reveals a $114,000 net cash outflow from operations but highlights a solid liquidity position with $301,000 in unused financing facilities.
Maxwell Dee
31 Jan 2025

Freehill Mining Doubles Sales, Boosts Cash Flow in December Quarter

Freehill Mining has reported a record-breaking December quarter with gross sales doubling to $954,000 and a significant improvement in operating cash flow, positioning the company for sustained growth in 2025.
Maxwell Dee
31 Jan 2025