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Dakota Gold DC Cash Flow Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
-$8.46M+4.2%-$8.83M+15.8%-$10.49M-62.3%-$6.47M-72.6%-$3.75M+38.0%
$46.7K-18.1%$57.02K+22.4%$46.57K-0.8%$46.94K-2.7%$48.23K-18.9%
$11.63K
-$199.36K-$860.04K-99.3%
$89.69K$350.25K$118.77K+147%
-$8.15M-15.0%-$7.08M+27.5%-$9.78M-110%-$4.65M-18.0%-$3.94M+48.2%
$73.79K-13.7%$85.55K-22.8%$110.89K$0$0
$13K
-$810.82K-848%-$85.55K+69.0%-$276.24K-1,281%-$20K$0
$299.6K$32.68M+20,534%
$283.57K$507.59K
$86.18M+2,148%$3.83M+247%$1.1M+3,240%$33.04K-99.9%$41.14M+1,679%
$77.22M$37.2M+804%
-$15.75K0.0%-$15.75K0.0%-$15.75K0.0%-$15.75K+26.2%
$46.7K-18.1%$57.02K+22.4%$46.57K-0.8%$46.94K-2.7%$48.23K-18.9%
$89.69K$350.25K$118.77K+147%
$750.03K+1,519%$46.34K0.0%$46.34K0.0%$46.34K0.0%$46.34K-56.9%
$13K
$10.9M+777%$1.24M+12.6%$1.1M+371%$234.11K-85.6%$1.62M+779,948%
-$25.73K-$37.29K+41.2%
$567.42K-47.4%$1.08M+7.0%$1.01M+60.8%$627.35K-14.9%$737.28K-19.6%
$28.49K0.0%$28.49K0.0%$28.49K0.0%$28.49K
$113.96K-84.8%
-$15.75K0.0%-$15.75K0.0%-$15.75K0.0%-$15.75K+26.2%
-$8.22M-14.7%-$7.17M+27.5%-$9.89M-113%-$4.65M-18.0%-$3.94M+48.2%
-$8.22M-14.7%-$7.17M+27.5%-$9.89M-113%-$4.65M-18.0%-$3.94M+48.2%

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Questions, answered.

How much cash does Dakota Gold generate?
Dakota Gold (DC) generated -$29.7M in operating cash flow over the trailing twelve months.
What is Dakota Gold's free cash flow?
After $270.2K of capital expenditures, Dakota Gold's free cash flow was -$29.9M over the trailing twelve months, down 18.6% year over year.
Where does Dakota Gold's cash flow data come from?
Every line is extracted from Dakota Gold's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.