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WLFE Wolf Minerals

1.40
0.00 (0.00%)
Last Updated: 01:00:00
Delayed by 15 minutes
Share Name Share Symbol Market Type Share ISIN Share Description
Wolf Minerals LSE:WLFE London Ordinary Share AU000000WLF3 ORD NPV (DI)
  Price Change % Change Share Price Bid Price Offer Price High Price Low Price Open Price Shares Traded Last Trade
  0.00 0.00% 1.40 0.00 01:00:00
Industry Sector Turnover Profit EPS - Basic PE Ratio Market Cap
0 0 N/A 0

Wolf Minerals Limited Appendix 5B (3704M)

28/07/2017 7:01am

UK Regulatory


Wolf Minerals (LSE:WLFE)
Historical Stock Chart


From Apr 2019 to Apr 2024

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TIDMWLFE

RNS Number : 3704M

Wolf Minerals Limited

28 July 2017

+Rule 5.5

Appendix 5B

Mining exploration entity and oil and gas exploration entity quarterly report

Introduced 01/07/96 Origin Appendix 8 Amended 01/07/97, 01/07/98, 30/09/01, 01/06/10, 17/12/10, 01/05/13, 01/09/16

 
 Name of entity 
------------------------------------------- 
 WOLF MINERALS LIMITED 
------------------------------------------- 
 ABN                Quarter ended ("current 
                     quarter") 
---------------    ------------------------ 
 11 121 831 472     30 JUNE 2017 
---------------    ------------------------ 
 
 
 Consolidated statement                   Current quarter   Year to date 
  of cash flows                                $A'000        (12 months) 
                                                                $A'000 
---------------------------------------  ----------------  ------------- 
 1.     Cash flows from operating 
         activities 
 1.1    Receipts from customers                     6,746         23,407 
 1.2    Payments for 
        (a) exploration & evaluation                    -              - 
        (b) development                           (3,952)       (17,708) 
        (c) production                           (11,551)       (48,768) 
        (d) staff costs                           (2,333)        (9,942) 
        (e) administration 
         and corporate costs                      (1,063)        (3,424) 
 1.3    Dividends received                              -              - 
         (see note 3) 
 1.4    Interest received                             (5)            255 
        Interest and other 
 1.5     costs of finance paid                    (5,482)       (20,331) 
 1.6    Income taxes paid                               -              - 
        Research and development 
 1.7     refunds                                    1,302          1,302 
 1.8    Other (provide details                          -              - 
         if material) 
                                         ----------------  ------------- 
        Net cash from / (used 
 1.9     in) operating activities                (16,338)       (75,209) 
-----  --------------------------------  ----------------  ------------- 
 
 2.       Cash flows from investing 
           activities 
 2.1      Payments to acquire: 
          (a) property, plant 
           and equipment                              (0)          (133) 
          (b) tenements (see                            -              - 
           item 10) 
          (c) investments                               -              - 
          (d) other non-current                         -              - 
           assets 
 2.2      Proceeds from the disposal 
           of: 
          (a) property, plant 
           and equipment                                -              - 
          (b) tenements (see                            -              - 
           item 10) 
          (c) investments                               -              - 
          (d) other non-current                         -              - 
           assets 
 2.3      Cash flows from loans                         -              - 
           to other entities 
 2.4      Dividends received                            -              - 
           (see note 3) 
 2.5      Other (provide details                        -              - 
           if material) 
                                         ----------------  ------------- 
          Net cash from / (used 
 2.6       in) investing activities                   (0)          (133) 
-------  ------------------------------  ----------------  ------------- 
 
 3.       Cash flows from financing 
           activities 
 3.1      Proceeds from issues 
           of shares                                    -              - 
 3.2      Proceeds from issue                           -              - 
           of convertible notes 
 3.3      Proceeds from exercise                        -              - 
           of share options 
          Transaction costs related 
           to issues of shares, 
           convertible notes or 
 3.4       options                                    (4)           (41) 
 3.5      Proceeds from borrowings                 16,934         55,525 
 3.6      Repayment of borrowings                       -        (4,673) 
          Transaction costs related 
 3.7       to loans and borrowings                  (294)          (550) 
 3.8      Dividends paid                                -              - 
 3.9      Other (provide details                        -              - 
           if material) 
                                         ----------------  ------------- 
          Net cash from / (used 
 3.10      in) financing activities                16,636         50,261 
-------  ------------------------------  ----------------  ------------- 
 
 4.       Net increase / (decrease) 
           in cash and cash equivalents 
           for the period 
          Cash and cash equivalents 
 4.1       at beginning of period                   7,706         35,010 
          Net cash from / (used 
           in) operating activities 
 4.2       (item 1.9 above)                      (16,338)       (75,209) 
          Net cash from / (used 
           in) investing activities 
 4.3       (item 2.6 above)                           (0)          (133) 
          Net cash from / (used 
           in) financing activities 
 4.4       (item 3.10 above)                       16,636         50,261 
          Effect of movement 
           in exchange rates on 
 4.5       cash held                                  330        (1,595) 
                                         ----------------  ------------- 
          Cash and cash equivalents 
 4.6       at end of period                         8,334          8,334 
-------  ------------------------------  ----------------  ------------- 
 
 
 
 5.    Reconciliation of cash           Current quarter   Previous 
        and cash equivalents                 $A'000        quarter 
        at the end of the quarter                          $A'000 
        (as shown in the consolidated 
        statement of cash flows) 
        to the related items 
        in the accounts 
----  -------------------------------  ----------------  --------- 
 5.1   Bank balances                              8,256      7,628 
 5.2   Call deposits                                 78         78 
 5.3   Bank overdrafts 
 5.4   Other (provide details) 
                                       ----------------  --------- 
       Cash and cash equivalents 
        at end of quarter (should 
 5.5    equal item 4.6 above)                     8,334      7,706 
----  -------------------------------  ----------------  --------- 
 
 
 6.    Payments to directors of the entity     Current quarter 
        and their associates                        $A'000 
                                              ---------------- 
       Aggregate amount of payments to 
        these parties included in item 
 6.1    1.2                                                121 
                                              ---------------- 
 6.2   Aggregate amount of cash flow                         - 
        from loans to these parties included 
        in item 2.3 
                                              ---------------- 
 6.3   Include below any explanation necessary 
        to understand the transactions included 
        in items 6.1 and 6.2 
----  -------------------------------------------------------- 
  1. Payment of directors remuneration. 
-------------------------------------------------------------- 
 
 
 7.    Payments to related entities of         Current quarter 
        the entity and their associates             $A'000 
                                              ---------------- 
 7.1   Aggregate amount of payments to                       - 
        these parties included in item 
        1.2 
                                              ---------------- 
 7.2   Aggregate amount of cash flow                         - 
        from loans to these parties included 
        in item 2.3 
                                              ---------------- 
 7.3   Include below any explanation necessary 
        to understand the transactions included 
        in items 7.1 and 7.2 
----  -------------------------------------------------------- 
 
 
 
 8.    Financing facilities          Total facility   Amount drawn 
        available                       amount at      at quarter 
        Add notes as necessary         quarter end         end 
        for an understanding             $A'000          $A'000 
        of the position 
                                    ---------------  ------------- 
 8.1   Loan facilities                       67,736         55,882 
                                    ---------------  ------------- 
 8.2   Credit standby arrangements 
                                    ---------------  ------------- 
 8.3   Other 
                                    ---------------  ------------- 
 8.4   Include below a description of each facility 
        above, including the lender, interest rate 
        and whether it is secured or unsecured. 
        If any additional facilities have been entered 
        into or are proposed to be entered into 
        after quarter end, include details of those 
        facilities as well. 
----  ------------------------------------------------------------ 
 GBP40 million (A$68 million) Bridge Loan facility 
  with Resource Capital Fund VI L.P. as announced 
  on 24 October 2016, 13 March 2017 and 29 June 
  2017. The applicable interest rates is 4.25% 
  + LIBOR. 
  GBP5 million (A$8.5 million) uncommitted Bridge 
  Loan facility with Resource Capital Fund VI 
  L.P as announced on 29 June 2017. The applicable 
  interest rates is 4.25% + LIBOR. 
------------------------------------------------------------------ 
 
 
 9.    Estimated cash outflows         $A'000 
        for next quarter 
----  ------------------------------  ------- 
 9.1   Exploration and evaluation           - 
 9.2   Development                     10,000 
 9.3   Production                      16,500 
 9.4   Staff costs                      2,500 
       Administration and corporate 
 9.5    costs                           1,000 
       Other (interest & finance 
 9.6    costs)                          4,000 
                                      ------- 
 9.7   Total estimated cash outflows   34,000 
----  ------------------------------  ------- 
 
 
 10.    Changes in              Tenement        Nature of interest   Interest        Interest 
         tenements               reference                            at beginning    at end 
         (items 2.1(b)           and location                         of quarter      of quarter 
         and 2.2(b) 
         above) 
-----  ----------------------  --------------  -------------------  --------------  ------------ 
 10.1   Interests               N/A             N/A 
         in mining 
         tenements 
         and petroleum 
         tenements 
         lapsed, relinquished 
         or reduced 
-----  ----------------------  --------------  -------------------  --------------  ------------ 
 10.2   Interests               N/A             N/A 
         in mining 
         tenements 
         and petroleum 
         tenements 
         acquired 
         or increased 
-----  ----------------------  --------------  -------------------  --------------  ------------ 
 

Compliance statement

1 This statement has been prepared in accordance with accounting standards and policies which comply with Listing Rule 19.11A.

   2        This statement gives a true and fair view of the matters disclosed. 
   Sign here:                     RICHARD LUCAS                      Date: 28 July 2017 

(Interim Managing Director)

   Print name:                   RICHARD LUCAS 

Notes

1. The quarterly report provides a basis for informing the market how the entity's activities have been financed for the past quarter and the effect on its cash position. An entity that wishes to disclose additional information is encouraged to do so, in a note or notes included in or attached to this report.

2. If this quarterly report has been prepared in accordance with Australian Accounting Standards, the definitions in, and provisions of, AASB 6: Exploration for and Evaluation of Mineral Resources and AASB 107: Statement of Cash Flows apply to this report. If this quarterly report has been prepared in accordance with other accounting standards agreed by ASX pursuant to Listing Rule 19.11A, the corresponding equivalent standards apply to this report.

3. Dividends received may be classified either as cash flows from operating activities or cash flows from investing activities, depending on the accounting policy of the entity.

This information is provided by RNS

The company news service from the London Stock Exchange

END

MSCPGUBWMUPMPGM

(END) Dow Jones Newswires

July 28, 2017 02:01 ET (06:01 GMT)

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