SANTO MINING CORP. (SANPD)
Q4-CY2025Q3-CY2025Q2-CY2025Q1-CY2025Q4-CY2024Q3-CY2024Q2-CY2024Q1-CY2024Q4-CY2023Q3-CY2023Q2-CY2023Q1-CY2023Q4-CY2022Q3-CY2022Q2-CY2022Q1-CY2022Q4-CY2021Q3-CY2021Q2-CY2021Q1-CY2021Q4-CY2020Q3-CY2020Q2-CY2020Q1-CY2020Q4-CY2019Q3-CY2019Q2-CY2019Q1-CY2019Q4-CY2018Q3-CY2018Q2-CY2018Q1-CY2018Q4-CY2017Q3-CY2017Q2-CY2017Q1-CY2017Q4-CY2016Q3-CY2016Q2-CY2016Q1-CY2016Q4-CY2015Q3-CY2015Q2-CY2015Q1-CY2015Q4-CY2014Q3-CY2014Q2-CY2014Q1-CY2014Q4-CY2013
Balance Sheet Date2025-Jun-302025-Mar-312024-Dec-312014-Apr-302014-Jan-31
Fiscal PeriodQ2-FY2025Q1-FY2025Q4-FY2024Q3-FY2014Q2-FY2014
Operating Cash Flow(90,724$)(1,402,386$)(54,651$)(169,448$)(65,033$)
Investing Cash Flow1,762$1,401,343$
Purchases of Property and Equipment
Financing Cash Flow55,000$212,083$35,417$
End Cash Position1,679$1,141$2,184$441$93$26,842$42,658$23$
Exchange Rate Effect
Dividends Paid
Unlevered Free Cash Flow(90,724$)(1,402,386$)(54,651$)(169,448$)(65,033$)