Annual reports filed by certain Canadian issuers pursuant to Section 15(d) and Rule 15d-4

Consolidated Statements of Cash Flow

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Consolidated Statements of Cash Flow (CAD)
12 Months Ended 93 Months Ended
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2009
Dec. 31, 2011
Cash provided by (used in) Operating activities        
Net loss for the period (16,256,876) (16,418,088) (19,178,318) (109,325,354)
Items not affecting cash:        
Stock based compensation 2,450,734 702,762 950,874 18,866,567
Depreciation of capital assets 475,595 526,041 526,551 2,154,251
Provision for reclamation 44,932 26,578 75,526 589,632
Write-off of mineral properties   381,252 102,439 803,336
Loss on equity investment 310,941     310,941
Foreign exchange loss (gain) (183,927) 1,554,906 3,506,180 (691,080)
Loss (gain) on sale of assets 3,997 7,915 (1,073,635) (1,067,084)
Non-cash exploration costs (credits)       2,726,280
Other loss (income) 80,250 (64,125) (13,250) 17,873
Future income taxes     (830,000)  
Change in non-cash working capital items:        
Amounts receivable 3,509 (255) 107,230 (5,081)
Prepaid expenses (5,893) (2,902) (46,734) (116,460)
Accounts payable and accrued liabilities 132,090 (189,803) (1,090,163) 820,239
Net Cash Provided by (Used in) Operating Activities, Total (12,944,648) (13,475,719) (16,963,300) (84,915,940)
Investing activities        
Mineral property costs (155,855) (755,329) (497,761) (13,885,913)
Purchase of short-term investments (6,896,348) (18,930,806) (37,206,445) (190,714,090)
Sale of short-term investments 5,131,139 24,609,301 64,971,242 185,333,600
Decrease (increase) in restricted cash (441,959) (1,103,629) (31,151) (4,536,700)
Funding of equity investment (29,155)     (29,155)
Payments from venture partner     146,806 146,806
Proceeds from sale of property and equipment 149 17,769 1,082,956 1,127,218
Purchase of capital assets (761,587) (1,022,231) (1,317,221) (5,659,891)
Net Cash Provided by (Used in) Investing Activities, Total (3,153,616) 2,815,075 27,148,426 (28,218,125)
Financing activities        
Issuance of common shares and warrants for cash   5,000,000   127,056,538
Share issue costs   (279,849)   (2,848,874)
Proceeds from exercise of warrants and stock options 3,357,307 3,519,256 1,393 25,445,887
Payment of New Frontiers obligation       (17,565,125)
Net Cash Provided by (Used in) Financing Activities, Total 3,357,307 8,239,407 1,393 132,088,426
Effects of foreign exchange rate changes on cash 191,621 (1,317,271) (2,680,324) (2,784,882)
Net change in cash and cash equivalents (12,549,336) (3,738,508) 7,506,195 16,169,479
Beginning cash and cash equivalents 28,718,815 32,457,323 24,951,128  
Ending cash and cash equivalents 16,169,479 28,718,815 32,457,323 16,169,479
Non-cash financing and investing activities:        
Common shares issued for properties     452,250 1,164,750