Goldmoney Inc. Reports Fiscal Year 2024 Annual Results and Publishes Annual Letter to Shareholders

In This Article:

Toronto, Ontario--(Newsfile Corp. - June 19, 2024) - Goldmoney Inc. (TSX: XAU) (US: XAUMF) ("Goldmoney" or the "Company"), today announced financial results for the fiscal year ended March 31, 2024. All amounts are expressed in Canadian dollars unless otherwise noted.

Financial Highlights

  • Group Tangible Capital of $126 million, a decrease of 11% YoY.

  • Group Tangible Capital per Share of $9.60, a decrease of 5.5% YoY.

  • Group Tangible Capital per Share excluding MENE of $8.03, an increase of 4.4% YoY.

  • Adjusted Net Income of $16.7 million, an increase of 15% YoY.

  • Repurchased and cancelled total of 726,160 shares at an average purchase price of $8.46 in fiscal year 2024 with a further 212,600 shares cancelled in relation to the SchiffGold divestiture. In total, shares outstanding were reduced by 6.1% YoY.

Annual Performance Metrics Table

($000s, except earnings per share)

2024

2023

2022

2021

2020

Key Performance Metrics (Balance Sheet)

Shares outstanding

13,137

13,996

15,126

15,118

15,579

Tangible equity exclusive of MENE

105,457

107,599

100,032

90,830

82,931

Tangible equity per share exclusive of MENE

8.03

7.69

6.61

6.01

5.32

Key Performance Metrics (Operational)

Precious metal revenue

59,288

84,844

131,855

359,780

301,787

Investment property rental income

6,286

-

-

-

-

Interest income

2,644

1,789

388

861

1,926

Total revenue

68,217

86,633

132,242

360,641

303,713

Precious metal operating expenses

43,545

65,125

119,064

344,547

296,670

Total operating income

24,672

21,508

13,179

16,094

7,044

Expenses

17,823

17,165

23,162

12,462

12,118

Other (income) expenses

28,427

(1,503)

(2,537)

(6,183)

5,215

Income tax (recovery)

509

501

(218)

-

-

Net income (loss)

(22,087)

5,345

(7,228)

9,815

(10,289)

Non-IFRS adjusted net income (loss)

16,749

14,552

7,242

14,081

(9,602)

Total assets

185,478

176,051

176,963

190,218

184,690

Total liabilities

44,301

3,928

2,027

9,723

12,255

 

Annual Shareholder Letter

Read the full Goldmoney Inc. Fiscal Year 2024 Shareholder Letter here.

About Goldmoney Inc.

Goldmoney Inc. (TSX: XAU) specializes in the investment and custody of enduring real assets. Through its subsidiaries, the Company offers precious metals trading services to clients, including secure custody and storage solutions. Goldmoney also maintains diversified interests in property investment and jewelry manufacturing. For more information about Goldmoney, visit goldmoney.com.

Financial Information and IFRS Standards

The selected financial information included in this release is qualified in its entirety by, and should be read together with, the Company's consolidated financial statements for the fiscal year ended March 31, 2024 and prepared in accordance with IFRS Accounting Standards ("IFRS") and the corresponding management's discussion and analysis ("MD&A"), which are available under the Company's profile on SEDAR at www.sedarplus.ca.