Net Cash position of $75m achieved at year-end, marking a Net Debt reduction of $250m during Q4-2020 and $603m during FY-2020 $200m La Mancha investment expected to close in Q1-2021. Operating Cash Flow before working capital of $311m or $1.91/share in Q4-2020, up 40% from Q3-2020 Operating Cash Flow before working capital for FY-2020 up 145% over FY-2019 to $705m or $5.14/share.Record FY-2020 production of 908koz, a 40% increase over FY-2019, while AISC increased by 7% to $873/oz.Record Q4-2020 production of 344koz, a 41% increase over Q3-2020 while AISC decreased by 11% to $803/oz.
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