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enCore Energy Corp. (V:EU)

Business Focus: N/A

Sector:  Energy Industry:  Uranium
See Regulatory Filings on SEDAR
Company Contact
Address: Suite 250 -200 Burrard Street
Tel: N/A
IR: See website
Key People
William Morris Sheriff
Executive Chairman of the Board
W. Paul Goranson
Chief Executive Officer, Director
Carrie Mierkey
Chief Financial Officer
Dennis Eugene Stover
Chief Technical Officer, Director
Business Overview
enCore Energy Corp. is a uranium developer. The Company's projects include Crownpoint and Hosta Butte Project, Marquez project, Nose Rock project and Moonshine Springs project. The Crownpoint and Hosta Butte Projects are located in the Grants Uranium District of McKinley County, New Mexico. The Marquez project consists of private mineral leases located in McKinley and Sandoval counties of New Mexico on the eastern end of the Grants Uranium District in northern New Mexico. The Nose Rock project is located in McKinley County New Mexico on the northern edge of the Grants Uranium District, approximately 10 miles north-northeast of the Company's Crownpoint Project. The Moonshine Springs project is located in Mohave County and comprises approximately 1000 acres. In the White Canyon District, Utah property package includes the Geitus, Blue Jay, Marcy Look and Cedar Mountain projects. It also owns approximately two licensed Texas-based in-situ recovery uranium production facilities.
Financial Overview
For the six months ended 30 June 2021, enCore EnergyCorp revenues was not reported. Net loss increased fromC$414K to C$4.9M. Higher net loss reflects Stock OptionExpense increase from C$102K to C$1M (expense),Amortization increase from C$13K to C$689K (expense), Staffcosts increase from C$147K to C$781K (expense). BasicEarnings per Share excluding Extraordinary Items totaled to-C$0.03.
Reporting Currency: Canadian Dollars
Enterprise value: $364.47M as of Jun 30, 2021
Annual revenue (TTM): $0.00M as of Jun 30, 2021
EBITDA (TTM): -$6.37M as of Jun 30, 2021
Net annual income (TTM): -$6.73M as of Jun 30, 2021
Free cash flow (TTM): -$7.47M as of Jun 30, 2021
Net Debt Last Fiscal Year: N/A
Shares outstanding: 200,296,303 as of Oct 5, 2021
TTM: Trailing Twelve Months
EBITDA: Earnings Before Interest, Taxes, Depreciation, & Amortization