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Bradda Head Lithium Ltd Announces MD&A for 3 Months Ended 31 May 2024

Bradda Head Lithium Ltd Announces MD&A for 3 Months Ended 31 May 2024

Bradda Head鋰礦有限公司公佈了截至2024年5月31日爲止的三個月的MD&A報告。
Accesswire ·  07/24 14:00

BRITISH VIRGIN ISLANDS / ACCESSWIRE / July 24, 2024 / This management's discussion and analysis ("MD&A") reports on the operating results and financial condition of the Company for the three-month ended May 31, 2024, and is prepared as of July 23, 2024. The MD&A should be read in conjunction with Bradda Head Lithium Limited's (the "Company" or "Bradda Head") audited consolidated financial statements for the year ended February 28, 2024, and the notes thereto which were prepared in accordance with International Financial Reporting Standards ("IFRS").

這份管理討論和分析報告(MD&A)報告了公司2024年5月31日結束的三個月的運營結果和財務狀況,並於2024年7月23日編制。 應與Bradda Head Lithium Limited的(“公司”或“Bradda Head”)截至2024年2月28日的審計合併財務報表及其依照國際財務報告準則(IFRS)編制的附註一起閱讀。

All dollar amounts referred to in this MD&A are expressed in United States dollars except where indicated otherwise.

此MD&A中提到的所有金額均以美元表示,除非另有說明。

Overview

概述

Bradda Head Lithium Limited was incorporated on October 28, 2009, in the British Virgin Islands under the British Virgin Islands Companies Act with registered number 1553975 with the name Copper Development Corporation. On October 5, 2015, the Company changed its name from Copper Development Corporation to Life Science Developments Limited, and on April 18, 2018, the Company changed its name to Bradda Head Holdings Limited. On September 15, 2021, the Company changed its name to Bradda Head Lithium Limited.

Bradda Head鋰礦有限公司成立於2009年10月28日,其註冊編號爲1553975,根據英屬維京群島公司法在英屬維京群島註冊,最初名爲銅發展公司。 2015年10月5日,公司將其名稱從銅發展公司更改爲生命科學發展有限公司,2018年4月18日,公司將其名稱更改爲Bradda Head Holdings Limited。2021年9月15日,公司將其名稱更改爲Bradda Head Lithium Limited。

The Company has one business segment, being mineral exploration. The Company is focused on appraising and developing lithium mining projects within North America and currently has interests in a variety of projects in the United States.

該公司只有一個業務板塊,即礦業勘探。該公司專注於評估和開發北美的鋰礦項目,並目前擁有多個位於美國境內的項目。

Corporate and Exploration Highlights

企業和勘探亮點

Exploration Highlights

勘探亮點

Set forth in this section is a description of the Company's material mineral projects. All scientific and technical data contained in this MD&A has been reviewed and approved by Joey Wilkins, B.Sc., P.Geo., who is Chief Operating Officer at Bradda Head and a Qualified Person as defined by National Instrument 43-101 - Standards of Disclosure for Mineral Projects ("NI 43-101").

本節描述了公司的主要礦產項目。此MD&A中包含的所有科學技術數據均經Joey Wilkins,BSc,P.Geo.的審查和批准,他是Bradda Head的首席運營官和符合國家43-101號文 - 礦山項目披露標準(“NI 43-101”)規定的合格人員。

Arizona Sedimentary Hosted Lithium Projects

亞利桑那州沉積岩鋰礦項目

Basin Project
On March 12, 2024, the Company commenced drilling at its Basin North lithium in clay project in Arizona, USA. The six-hole program was designed to significantly expand the Company's existing lithium in clay Mineral Resource Estimate ("MRE").

盆地項目
2024年3月12日,公司開始在美國亞利桑那州的盆地北部鑽探其鋰黏土項目。該六孔計劃旨在顯著擴大公司現有的鋰黏土礦產資源估算(MRE)。

Program Summary:

程序總結:

  • Six-hole core drilling program of approximately 8,800 feet (2,680m) planned;

  • Program anticipated to expand LCE from 1.085MT to >2.5MT;

  • Step-out drill holes at 500 to 700m spacing to maintain Inferred category of MRE;

  • One hole will be drilled into Precambrian basement in center of gravity low;

  • Gravity low may represent extensively thick clays both in the Upper, Lower, and Basal Red-Beds; and

  • Holes will test Lower Clay to expand tonnage potential and thicker sequence correlative with gravity low which also has the potential for exceptional lithium grades

  • 計劃進行約8,800英尺(2,680米)的六孔岩心鑽探;

  • 計劃預計將LCE從1.085Mt擴展到>2.5MT;

  • 500至70000萬孔距的一步拓展鑽孔,以維持MRE的推論類別;

  • 一個孔將鑽到重心低處的前寒武紀基底;

  • 重力低可能代表上、下和基底紅層板塊內廣泛的厚黏土;

  • 孔將測試下層粘土以擴大噸位潛力和厚度與重力低相關的序列,後者還具有卓越的鋰品位潛力。

The drill program was successfully completed on May 9, 2024, with two additional holes drilled for a total of eight holes drilled. Average hole depth of 285 meters (934 feet) with a range of 231 to 387 meters (757 to 1,269 feet) in a total of 2,353 meters (7,720 feet) drilled. This was less than the 2,682 meters (8,800 feet) initially envisaged as a result of finding shallower clay targets than anticipated.

該鑽探計劃於2024年5月9日順利完成,共鑽探了兩個額外的鑽孔,總共鑽探了8個鑽孔。平均井深285米(934英尺),範圍爲231到387米(757英尺到1,269英尺),共鑽探了2,353米(7,720英尺)。由於發現比預期更淺的黏土目標,鑽孔深度比最初預計的2,682米(8,800英尺)要少。

Drilling highlights include:

鑽井亮點包括:

  • Further resource increase anticipated following the definition of a window 900 meters wide (east-west) by 1,780 meters in length (north-south), consistent continuous lithium-bearing Upper and Lower Clay units, it has the potential to continue expanding, being wide open in all directions;

  • Thickest Upper Clay unit at 103 meters in the center of the drill pattern discovered at hole BND24-19;

  • Two holes were drilled on State Lands and designed to capture lower clay; substantially increasing the lower clay reach from Basin East to the northern end of Basin North, a linear distance of 3.3km;

  • Program was successfully completed under budget and without any environmental or safety incidents;

  • Completion of this program has produced promising visual results, Bradda Head's geology team are now able to recognise that the clays contained strong characteristics of high lithium values, and are greatly encouraged by the clays seen in the past eight drill holes; and

  • The Qualified Person (QP) has made a site visit and was provided with all the geological and technical information, and the geologic block model has been revised to reflect the new intervals from drill hole lithologies and peripheral surficial geology.

  • 在定義東西900米寬(東-西) x 1,780米長(南北)窗口之後,預計將進一步增加資源,一致連續的含鋰上、下粘土層,具有繼續擴大的潛力,在所有方向上都是敞開的;

  • 在孔BND24-19發現的中央鑽探圖案中,上黏土層最厚爲103米;

  • 在州土地上鑽了兩個孔,旨在捕捉下黏土;從盆地東部到盆地北部,即3.3公里的線性距離,大幅增加了下黏土的到位範圍;

  • 該計劃順利完成,未發生任何環境或安全事故;

  • 完成該計劃已經產生了有希望的視覺效果,Bradda Head的地質團隊現在能夠認識到這些黏土具有高鋰價值的強特徵,並且對過去的八個鑽孔所看到的黏土感到非常鼓舞;

  • 此外,合格人員(QP)已進行了現場訪問,並提供了所有地質和技術信息,地質模型已根據鑽孔岩石學和周邊地表地質的新間隔進行了修訂。

Post period end on July 1, 2024, the Company announced a new MRE at the Company's 100% owned Basin Project in Arizona, USA. The new MRE consists of 99kt of lithium carbonate equivalent ("LCE") at an average grade of 929 ppm lithium in Measured classification, 560kt of LCE at 860ppm Li in the Indicated classification; and 2,175kt of LCE at 808ppm Li in the Inferred classification following the completion of drilling, reception and analysis of geochemical results, and new modelling of the Basin project. As per the Gross Overriding Royalty Agreement ("Royalty Agreement") with the Lithium Royalty Company ("LRC"), the new contained LCE Tonnage surpassed the contracted threshold of 2.5Mt and has enabled the Company to trigger the payment of US$3.0 million from LRC to Bradda Head, with the funds being received on 8 July 2024.

2024年7月1日以後,公司宣佈了美國亞利桑那州盆地項目的新MRE。新的MRE由權益量99kt的碳酸鋰等值物(LCE)組成,平均品位爲929ppm鋰,屬於已測量分類;560kt的LCE,鋰品位860ppm,在指示分類中;以及2,175kt的LCE,鋰品位808ppm,在推論分類中,在完成鑽探、接收和地球化學結果分析以及盆地項目的新建模後。根據與鋰版權公司(LRC)的總復位版稅協議(Royalty Agreement),新的含有LCE噸位超過了2.5Mt的合同門檻,已使公司觸發從LRC到Bradda Head的300萬美元付款,資金在2024年7月8日到賬。

Basin Project Permitting Update

盆地項目許可更新

A Basin West drilling permit kick-off meeting was also held with the BLM in April and organised to initiate the NEPA (National Environmental Policy Act) process for development of the EA (Environmental Assessment) Report that, once approved, will allow the Company to commence drilling. This process follows the BLM's letter of EPO (Exploration Plan of Operations) completeness which the Company received earlier this year and marks an important step on expanding our ability to extend exploration over the very promising Basin West target.

今年4月,BLm還舉行了Basin West鑽探許可證啓動會議,並組織開展了NEPA(國家環境政策法案)過程,以開發EA(環境評估)報告,一旦獲得批准,公司就可以開始鑽探。這個過程遵循了BLM的EPO(探礦經營計劃)完整性信函,這是公司本年度早些時候收到的,並標誌着我們擴展探索非常有前途的盆地西部目標的能力的重要一步。

Wikieup Project

Wikieup 項目

No significant work has been undertaken on this project during the 3-month period.

在這個項目中,未有重大工作在三個月期間內得以展開。

Arizona Pegmatite District
San Domingo Project

聖多明戈項目
San Domingo 項目

On April 8, 2024, the Company released results from its channel sampling program. The results included 5.00 meters of 2.33%, 4.10 meters of 2.81%, and 4.00 meters of 1.26% Li2O at the White Ridge Target and 5.30 meters of 1.25% Li2O at Morning Star. These and other surface samples collected were designed to augment the Phase II, 2023 drilling program as well as determine that this technique can and will be applied to future surface exploration programs planned in Q3 of this year.

2024年4月8日,公司發佈了其採樣計劃的結果。結果包括白山目標地區 5.00 米 2.33%、4.10 米 2.81% 和 4.00 米 1.26% 的 Li2O,以及星光礦區的 5.30 米 1.25% 的 Li2O 和其他表層採樣。收集採樣的目的是爲了補充2023年第二階段的鑽探計劃,並確定這種技術將應用於今年第三季度計劃的未來表層探測計劃。

Highlights

亮點

  • A total of 77 samples were collected from strategic targets across the San Domingo project, with locations designed to supplement drill holes that contain lithium (spodumene) mineralization, particularly those that could result in mineable resources;

  • Some locations were chosen as a result of newly exposed spodumene bearing pegmatites at new drill sites;

  • White Ridge channel samples correspond to drill hole SD-DH23-072, confirming continuity of spodumene rich pegmatite, indicates mineralization is open to the north and at depth;

  • Channel samples at Morning Star drill site SD-DH23-090 cut, 5.30 meters at 1.25% Li2O, clearly connect and add confidence in continuity, building on resource potential;

  • The channel samples at Midnight Owl likely connect to drill hole SD-DH23-049 which had an intercept of 6.35 meters @ 0.83% Li2O and 3.05 meters of 1.03% (see 11 Nov 2023 Press Release for details), a distance of 55 meters from surface; and

  • The Company is capitalizing on surface lithium mineralization exposures through channel sample techniques and by connecting to drill holes; this continues to demonstrate open cut potential and in part, will drive the next exploration program.

  • 共收集了77個樣本,這些樣本來自聖多明戈項目的戰略性目標,這些位置旨在補充含鋰(碎鋰石)礦化的鑽孔,特別是那些可能會導致可採資源的鑽孔。

  • 一些地點的選擇是由於新鑽探站點暴露的含碎鋰石軸脈。

  • 白山目標地區的採樣對應於鑽孔 SD-DH23-072,確認了碎鋰石豐富脈石的連續性,表明礦化在北部和深部都很開放。

  • 星光礦區的溝採樣 SD-DH23-090,截取了1.25%的Li2O,確定了連續性和資源潛力,增強了信懇智能。

  • 午夜貓的溝採樣可能對應於鑽孔SD-DH23-049,該鑽孔的截獲結果爲6.35米@0.83% Li2O和3.05米@1.03%(詳見2023年11月11日的新聞稿),表層距離爲55米。

  • 公司正在利用表層鋰礦化暴露和溝採樣技術,並連接鑽孔。這繼續展示了露天開採的潛力,並將在一定程度上推動下一階段的勘探。

As at period end, the Company is diligently working on the next phase of exploration at the 100% owned San Domingo pegmatite project. The team believe that there is excellent potential to find new lithium bearing pegmatites given the extensive size of the nearly 33 square kilometer property and limited amount of ground coverage to date. In addition, to developing new targets, there will be follow-up on last year's drill hole intercepts, as well as this year's excellent channel sampling at Morning Star, White Ridge, and Midnight Owl. The future plan will be to strategically place drill holes to test channel sample mineralization and offset down-hole mineralization in order to grow resource potential at all three targets.

截至期末,公司正在努力開展100%擁有的聖多明戈脈石項目的下一階段勘探工作。團隊認爲,鑑於近33平方公里的物業規模和有限的地表覆蓋範圍,有很大的潛力找到新的含鋰脈石。除了開發新目標外,還將跟進去年的鑽孔截獲,以及今年在星光、白山和午夜貓進行的優秀溝採樣。未來的計劃是在三個目標的所有潛在區域策略性地佈置鑽孔,以測試地表礦化和井下礦化的偏移量,以擴大三個目標的資源潛力。

Lithium Brine and Oil Brine Projects

鋰滷和油滷項目

Wilson Project

威爾遜項目

No field work has transpired over the last 3 months.

過去3個月沒有進行現場工作。

Eureka Project

尤里卡項目

No field work has transpired over the last 3 months.

過去3個月沒有進行現場工作。

Oil Brine Projects - Pennsylvania & Texas
Additional legal documents were filed in Pennsylvania to update various leases and bring them up to date with the county.

油滷項目 - 賓夕法尼亞和德克薩斯
在賓夕法尼亞提交了補充法律文件,以更新各種租約並使之與縣保持一致。

A forgotten lease from 2018 in Texas was executed with another member of the Cooner family to further lock-up our position on the 40-acre lease in Cass County. All legal documents were signed by both Zenolith USA LLC and the lessor, then filed with the county. The Company continues to track activity in the area, notably exploration drilling by Standard Lithium and a newcomer named Terravolt, a privately financed company. Both have significant tenure and licenses in East Texas and within the Smackover Formation.

德克薩斯州的一份2018年的遺忘租約與 Cooner 家族的另一位成員簽署,以進一步固定我們在 Cass 縣40英畝租約上的位置。Zenolith USA LLC 和出租方都已簽署所有法律文件,並提交給市縣。公司繼續跟蹤該地區的活動,特別是由標準鋰和名爲Terravolt的新公司進行的勘探鑽井。兩者在東德克薩斯州和Smackover地層均擁有重要許可證和執照。

Corporate Highlights

企業要聞

On May 20, 2024, the Company announced that it entered into a settlement agreement regarding the fraudulent payment made to an unidentified party, as disclosed in the prior year accounts. Pursuant to the settlement agreement, the Company has been partially reimbursed for the fraudulent funds transfer. The partial settlement is consistent with Company's expectations at the time of initiating enforcement proceedings with gross recovery of approximately 40% of total misappropriated funds.

2024年5月20日,公司宣佈就向一個未具名的公司支付欺詐性款項達成和解協議,該情況在去年年終賬目中披露。根據和解協議,公司已部分獲得欺詐性資金轉移的賠償。這部分和解款與公司在啓動執行程序時的預期相一致,總共回收了約40%的被侵佔資金。

Selected Financial Information

財務精選信息

The following table sets forth selected financial information with respect to the Company for the 3-month period ended May 31, 2024 and the year ended February 28, 2024. The selected financial information has been derived from the audited financial statements for the period indicated. The following should be read in conjunction with the said financial statements and related notes that are available on the Company's website - .

下表列出了截至2024年5月31日的三個月期間和截至2024年2月28日的全年有關公司的精選財務信息。所選財務信息來源於所示時間段的已審計財務報表。以下內容應結合公司網站上提供的財務報表和相關說明閱讀。

The annual financial statements and quarterly financial statements are presented in US dollars and are prepared in accordance with IFRS, See "Summary Financial Data" and "Currency Information".

年度財務報表和季度財務報表以美元爲單位,按照IFRS準備,詳見“摘要財務數據”和“貨幣信息”。

Period ended May 31, 2024

Year ended February 28, 2024

(Audited)

(US$)

(Audited)

(US$)

Statement of Operations:

Total Operating Expenses (net of other income)

(576,593)

(1,143,294)

Net Finance income

7,185

59,102

Net Loss

(569,408)

(1,084,192)

Loss per Share (cents)

(0.146)

(0.278)

Balance Sheet Data:

Cash & cash equivalents, including cash deposits

534,437

1,664,662

Total Assets

15,903,541

15,848,063

Total Liabilities

811,245

186,359

Accumulated Deficit

(15,524,077)

(14,954,669)

Total Shareholder's Equity

15,092,296

15,661,704

期末截至2024年5月31日

截至2024年2月28日的全年

(已審計)

-

(已審計)

-

損益表:

淨營業費用總額(扣除其他收入)

(576,593)

(1,143,294)

淨金融收入

7,185

59,102

淨虧損

(569,408)

(1,084,192)

每股虧損(分)

(0.146)

(0.278)

資產負債表數據:

現金及現金等價物,包括存款

534,437

1,664,662

總資產

15,903,541

15,848,063

總負債

811,245

186,359

累計赤字

(15,524,077)

(14,954,669)

股東權益總計

15,092,296

15,661,704

MANAGEMENT DISCUSSION AND ANALYSIS: QUARTER ENDED MAY 31, 2024

管理層討論和分析:截至2024年5月31日的季度

Introduction

介紹

This Quarterly Management Discussion and Analysis (the "quarterly MD&A") should be read in conjunction with the audited financial statements of the Company for the year ended February 28, 2024, and related notes. This MD&A is made as of July 23, 2024.

這份季度管理層討論和分析(以下簡稱“季度MD&A”)應與公司截至2024年2月28日的審計財務報表及相關附註一起閱讀。本MD&A截至2024年7月23日發佈。

Results of Operations for the three-months ended May 31, 2024

2024年5月31日爲期三個月的經營業績

The Company's net loss before and after tax for the three-month period to May 31, 2024 was US$ 569,408, compared to a loss of US$ 1,084,192 for the comparative period ended May 31, 2023. The major expenses for the three-month period ended May 31, 2024 were operational expenses incurred on the Company's exploration projects, and are broken down in the respective projects as follows:

截至2024年5月31日的三個月淨虧損爲569,408美元,此前年度同期虧損爲1,084,192美元。2024年5月31日爲期三個月的主要支出是公司勘探項目的營業支出,並在各自的項目中拆分,如下所示:

Project

Expensed Exploration Expenditure

Three-Month Period Ended May 31, 2024

(Unaudited)

US$

Three-Month Period Ended May 31, 2023

(Unaudited)

US$

Basin Project

153,084

249,399

San Domingo Project

-

286,782

Other projects

11,194

15,687

TOTAL

164,278

551,868

項目

勘探支出費用

截至2024年5月31日的三個月期間

(未經審計)

美元

截至2023年5月31日的三個月期間

(未經審計)

美元

盆地項目

153,084

249,399

San Domingo 項目

-

286,782

其他項目

11,194

15,687

TOTAL

164,278

551,868

During this time period, the Company incurred and capitalised exploration expenditures of US$ 1,191,930, compared to US$ 1,228,739 for the comparative three-month period to May 31, 2024.

在此期間內,公司發生並資本化了1,191,930美元的勘探支出,相比之下截至2024年5月31日的三個月期間爲1,228,739美元。

The capitalised exploration costs for the three-month period ended May 31, 2024 have been allocated amongst the Company's exploration projects in approximately the following amounts:

2024年5月31日結束的三個月期間內,資本化的勘探成本已按以下約略比例分配到公司的勘探項目中:

Project

Capitalised exploration costs

Capitalised expenditures for licences and permits

Capitalised exploration costs

Capitalised expenditires for licences and permits

Three-Month Period Ended May 31, 2024

(Unaudited)

US$

Three-Month Period Ended May 31, 2024

(Unaudited)

US$

Three-Month Period Ended May 31, 2023

(Unaudited)

US$

Three-Month Period Ended May 31, 2023

(Unaudited)

US$

Basin Project

1,178,072

9,823

421,013

-

San Domingo Project

4,036

-

527,432

250,000

Other Project

-

-

-

30,294

TOTAL

1,182,108

9,823

948,445

280,294

項目

資本化的勘探成本

許可證和許可證的資本化支出

資本化的勘探成本

許可證和許可支出的資本化支出

截至2024年5月31日的三個月期間

(未經審計)

美元

截至2024年5月31日的三個月期間

(未經審計)

美元

截至2023年5月31日的三個月期間

(未經審計)

美元

截至2023年5月31日的三個月期間

(未經審計)

美元

盆地項目

1,178,072

9,823

421,013

-

San Domingo 項目

4,036

-

527,432

250,000

其他項目收入

-

-

-

30,294

TOTAL

1,182,108

9,823

948,445

280,294

The exploration expenditures have been primarily costs associated with drilling, assaying, resource and mining consultants, metallurgical testing, environmental studies, project team fees, acquisition of new leases, and annual renewal of existing leases.

勘探支出主要涵蓋鑽探、化驗、資源和礦業顧問、冶金測試、環境研究、項目團隊費用、新租賃合約購置以及現有租賃年度更新的成本。

General and administrative expenses for the three-month period to May 31, 2024 totalled US$ 1,258,841, compared to US$ 1,258,841 for the comparative three-month period to May 31, 2023. General and administrative expenses are broken down as follows:

2024年5月31日爲止的三個月期間的總管理費用爲1,258,841美元,而2023年5月31日爲止的三個月期間的總管理費用爲1,258,841美元。總管理費用細分如下:

Project

General and administrative expenditures

Three-Month Period Ended May 31, 2023

(Unaudited)

US$

Three-Month Period Ended May 31, 2023

(Unaudited)

US$

Auditors' fees

19,600

19,600

Directors and management fees and salaries

114,675

137,541

Legal and accounting

12,414

83,613

Contractor costs

164,278

551,868

Professional and marketing costs

66,456

204,203

Other administrative costs

218,199

262,016

TOTAL

595,622

1,258,841

項目

總行政支出

2023年5月31日爲止的三個月期間

(未經審計)

美元

2023年5月31日爲止的三個月期間

(未經審計)

美元

核數師費用

19,600

19,600

董事和管理費用及薪金

114,675

137,541

法律與會計

12,414

83,613

承包商費用

164,278

551,868

專業和市場費用

66,456

204,203

其他行政開支

218,199

262,016

TOTAL

595,622

1,258,841

During the three-month period to May 31, 2024, there have been no changes in financial performance or other elements that relate to non-core business activities and operations.

2024年5月31日爲止的三個月期間,公司的非核心業務活動和運營的財務表現或其他方面沒有變化。

Cash flows

現金流量

During the three-month period ended May 31, 2024, the Company had net cash outflows of US$ 1,130,225, compared to outflows of US$ 6,653,661 during the comparative three-month period to May 31, 2023. Net cash outflows for the current 3-month period ended May 31, 2024, include return of cash amounts placed on short term deposits, totalling US$ 1,000,135. The cashflows for the two periods are shown below:

2024年5月31日爲止的三個月期間,公司的淨現金流出爲1,130,225美元,而2023年5月31日爲止的三個月期間的淨現金流出爲6,653,661美元。當前期間的淨現金流出包括短期存款返還總額1,000,135美元。兩個時期的現金流如下所示:

Three-Month Period Ended May 31, 2023

(Unaudited)

US$

Three-Month Period Ended May 31, 2023

(Unaudited)

US$

Statement of cashflows

Cash flows from operating activities

54,521

(1,581,692)

Cash flows from investing activities

(1,191,931)

(1,225,489)

Cash flows from financing activities *

7,185

(3,846,480)

Net cash flows during the period

(1,130,225)

(6,653,661)

Cash balances at beginning of the period

1,664,662

7,746,519

Cash balances at the end of the period

534,437

1,092,858

2023年5月31日結束的三個月時間段

(未經審計)

美元

2023年5月31日結束的三個月時間段

(未經審計)

美元

現金流量表

經營活動現金流

54,521

(1,581,692)

投資活動現金流量

(1,191,931)

(1,225,489)

來自籌資活動的現金流*

7,185

(3,846,480)

期間淨現金流量

(1,130,225)

(6,653,661)

期初現金餘額

1,664,662

7,746,519

期末現金餘額

534,437

1,092,858

* includes US$ 3,905,582 placed on short term deposit for the period ended May 31, 2023.

* 包括於2023年5月31日結束的短期存款合計3,905,582美元。

Liquidity and Capital Resources

流動性和資本資源

As at May 31, 2024, the Company had cash and cash equivalents (including short term cash deposits) of US$ 534,437, and a working capital deficit of US$ 166,102. As of February 28, 2024, the Company had cash and cash equivalents of US$ 1,664,662, and a working capital surplus of US$ 1,601,571.

截至2024年5月31日,公司的現金及現金等價物(包括短期現金存款)爲534,437美元,運營資本赤字爲166,102美元。截至2024年2月28日,公司的現金及現金等價物爲1,664,662美元,運營資本盈餘爲1,601,571美元。

Outstanding Share Data

普通股數據

As of May 31, 2024, the following securities were outstanding:

截至2024年5月31日,以下證券仍未清算

Shares

390,609,439

Warrants

8,502,745

Stock options

37,871,052

Fully diluted shares outstanding

436,983,236

股份

390609439

權證

8,502,745

期權

37871052

全面攤薄的股權

436,983,236

The Company's objectives when managing capital are to safeguard its ability to continue as a going concern, so that it can continue to provide returns for shareholders, benefits for other stakeholders and to maintain an optimal capital structure to reduce the cost of capital.

公司在管理資本時的目標是保障其作爲經營實體的能力,以便能夠繼續爲股東提供回報,爲其他利益相關方提供利益,並維持一種最佳資本結構以降低資本成本。公司的資本結構包括現金及現金等價物,歸屬於股東的權益包括出資權益、儲備及累計虧損。爲了維持或調整資本結構,公司可以發行新股份,出售資產以減少債務或調整公司所承擔的活動水平。

The capital structure of the Company includes cash and cash equivalents, equity attributable to equity holders comprised of contributed equity, reserves and accumulated losses. In order to maintain or adjust the capital structure, the Company may issue new shares, sell assets or adjust the level of activities undertaken by the Company.

公司的資本結構包括現金及現金等價物,歸屬於普通股股東的股本,儲備及累計虧損。爲了維護或調整資本結構,公司可能會發行新股份、出售資產或調整公司承擔的活動水平。

The Company monitors capital based on cash flow requirements for operational, exploration and evaluation expenditures. The Company has no debt or other borrowings as at the date of this Application. The Company will continue to use capital market issuances to satisfy anticipated funding requirements.

本新聞稿還包括某些“前瞻性聲明”,這些聲明並不包括歷史事實。前瞻性聲明包括描述公司未來計劃、目標或目標的估計和聲明,包括“認爲”,“預計”,“預計”,“估計”,“可能”,“可能”,“將”或“計劃”等用語。由於前瞻性陳述基於假設並涉及未來事件和情況,它們本質上涉及固有風險和不確定性。儘管這些陳述是基於公司當前可用的信息,但公司不保證實際結果將與管理層的期望一致。涉及前瞻性信息的風險、不確定性及其他因素可能導致實際事件、結果、表現、前景和機會與這種前瞻性信息所表達或暗示的不一致性。本新聞稿中的前瞻性信息包括但不限於以下內容:公司的目標、目標或未來計劃。

The availability of equity capital, and the price at which additional equity could be issued, is dependent upon the success of the Company's exploration activities, and upon the state of the capital markets generally. Additional financing may not be available on terms favourable to the Company or at all. If the Company does not receive future financing, it may not be possible for the Company to advance the exploration and development of its mineral exploration properties. If the Company is not able to fund these minimum expenditures, it may not be able to maintain part or all of its mineral exploration property interests. See "Risk Factors".

增發股份的可行性及可發行的價格取決於公司勘探活動的成功和資本市場總體狀況。可能無法或以不利於公司的條件獲得額外融資。如果公司沒有獲得未來融資,可能無法推進其礦產勘探項目的勘探和開發。如果公司無法資助這些最低費用,可能無法保留部分或全部的礦產勘探財產權益。請參閱“風險因素”。

Off-Balance Sheet Arrangements

不設爲資產負債表賬目之離線安排

The Company does not have any off-balance sheet arrangements.

公司沒有任何的資產負債表頭寸。

Transactions with Related Parties

關聯方交易

The Company has conducted transactions with officers, directors and persons or companies related to directors or officers and paid or accrued amounts as follows:

公司與高管、董事和相關董事或高管的個人或公司進行了交易,並支付或計提了以下費用:

Edgewater Associates Limited ("Edgewater")

Edgewater Associates Limited ("Edgewater")

During the three-month period ended May 31, 2024, Directors' and Officers' insurance was obtained on an arms-length basis through Edgewater, which is a 100% subsidiary of Manx Financial Group ("MFG"). James Mellon and Denham Eke are Directors of both the Company and MFG.

2024年5月31日結束的三個月期間,董事和高管保險是通過Manx Financial Group("MFG")的全資子公司Edgewater以公正的方式獲得的。James Mellon和Denham Eke是該公司和MFG的董事。

During the period, the premium payable on the policy was US$ Nil (year ended February 28, 2024: US$ 43,061). A total of US$ 794 was prepaid as at the period end (February 28, 2024: US$ 11,560).

該期間,該保單的保費應付爲零美元(2024年2月28日結束的一年:43,061美元)。期末已預付794美元(2024年2月28日結束的一年:11,560美元)。

Critical Accounting Estimates

關鍵會計估計

The preparation of financial statements in conformity with IFRS requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and reported amounts of revenues and expenses during the reporting period. Such estimates and assumptions affect the carrying value of assets, and impact decisions as to when exploration and development costs should be capitalized or expensed.

按照IFRS編制財務報表需要管理層做出估計和假設,這些估計和假設影響資產負債表中報告的資產和負債、披露的有條件資產和負債以及報告期間報告的收入和費用的金額。這些估計和假設影響資產的賬面價值,影響決定勘探和開發成本應該資本化還是費用化的決策。

As at May 31, 2024, the Company had incurred capitalised exploration expenditures, including capitalised licence and permit costs, of US$ 14,999,089. Changes in management's judgment as to the prospective nature, assessment of the existence or otherwise of economically recoverable reserves, technical feasibility and/or commercial viability of the relevant tenements and the Company's intentions with respect to the relevant tenements, could affect the assessment of the recoverable amount

截至2024年5月31日,公司已經發生了資本化的勘探支出,包括資本化的許可證和許可證費用,共計14,999,089美元。管理層對有關權證的前景性、存在或不存在經濟性可採儲量、技術可行性和/或商業可行性以及公司對有關權證的意圖的評價的變化可能會影響可收回金額的評估。

The Company regularly reviews its estimates and assumptions: however, actual results could differ from these estimates and these differences could be material.

公司定期審查其估計和假設,但實際結果可能與這些估計有區別,這些差異可能具有重大影響。

Forward-Looking Statements

前瞻性聲明

Neither TSX Venture Exchange nor its Regulation Services Provider (as that term is defined in policies of the TSX Venture Exchange) accepts responsibility for the adequacy or accuracy of this release. This News Release includes certain "forward-looking statements" which are not comprised of historical facts. Forward-looking statements include estimates and statements that describe the Company's future plans, objectives or goals, including words to the effect that the Company or management expects a stated condition or result to occur. Forward-looking statements may be identified by such terms as "believes", "anticipates", "expects", "estimates", "may", "could", "would", "will", or "plan". Since forward-looking statements are based on assumptions and address future events and conditions, by their very nature they involve inherent risks and uncertainties. Although these statements are based on information currently available to the Company, the Company provides no assurance that actual results will meet management's expectations. Risks, uncertainties and other factors involved with forward-looking information could cause actual events, results, performance, prospects and opportunities to differ materially from those expressed or implied by such forward-looking information. Forward looking information in this news release includes, but is not limited to, following: The Company's objectives, goals or future plans. Factors that could cause actual results to differ materially from such forward-looking information include, but are not limited to: failure to identify mineral resources; failure to convert estimated mineral resources to reserves; delays in obtaining or failures to obtain required regulatory, governmental, environmental or other project approvals; political risks; future operating and capital costs, timelines, permit timelines, the market and future price of and demand for lithium, and the ongoing ability to work cooperatively with stakeholders, including the local levels of government; uncertainties relating to the availability and costs of financing needed in the future; changes in equity markets, inflation, changes in exchange rates, fluctuations in commodity prices; delays in the development of projects, capital and operating costs varying significantly from estimates; an inability to predict and counteract the effects of COVID-19 on the business of the Company, including but not limited to the effects of COVID-19 on the price of commodities, capital market conditions, restriction on labour and international travel and supply chains; and the other risks involved in the mineral exploration and development industry, and those risks set out in the Company's public documents filed on SEDARplus. Although the Company believes that the assumptions and factors used in preparing the forward-looking information in this news release are reasonable, undue reliance should not be placed on such information, which only applies as of the date of this news release, and no assurance can be given that such events will occur in the disclosed time frames or at all. The Company disclaims any intention or obligation to update or revise any forward-looking information, whether as a result of new information, future events or otherwise, other than as required by law.

TSX Venture Exchange及其監管服務提供商(如TSX Venture Exchange政策中定義的那樣)均不承擔本公告的充分性或準確性的責任。本新聞稿包括某些不由歷史事實組成的"前瞻性陳述"。前瞻性陳述包括描述本公司未來計劃、目標或目的的估計和陳述,包括表明該公司或管理層希望某種條件或結果將發生的措辭。前瞻性聲明可能通過"認爲"、"預計"、"期望"、"估計"、"可能"、"可能"、"將"或"計劃"等這些術語來識別。由於前瞻性聲明基於假設並涉及未來事件和條件,所以它們本質上涉及固有的風險和不確定性。儘管這些聲明是基於目前可用於公司的信息,但公司不提供任何保證實際結果將符合管理層的期望。涉及前瞻性信息的風險、不確定因素和其他因素可能導致實際事件、結果、績效、前景和機會與此類前瞻性信息所表達或暗示的不相符。本新聞稿中的前瞻性信息包括但不限於以下內容:本公司的目標、計劃或未來計劃。可能導致實際結果與此類前瞻性信息不符的因素包括但不限於:未能發現礦產資源;未能將估計的礦產資源轉化爲儲量;在獲得或未能獲得必要的監管、政府、環境或其他項目批准方面的延遲或未能獲得;政治風險;未來的運營成本和資本成本、時間表、許可證時間表、鋰市場和將來的價格以及需求以及繼續能與利益相關者合作,包括地方政府層面;有關未來需要融資的可用性和成本的不確定性;股票市場的變化,通貨膨脹,匯率變化,商品價格波動;項目開發延遲,資本和運營成本與估計相差很大;無法預測並抵消COVID-19對公司業務的影響,包括但不限於COVID-19對大宗商品價格、資本市場狀況、勞動力和國際旅行和供應鏈限制的影響;以及礦產勘探和開發行業所涉及的其他風險,以及該公司在SEDARplus上提交的公開文件中所述的風險。儘管本公司認爲在準備本新聞稿中的前瞻性信息時使用的假設和因素是合理的,但不應過分依賴這些信息,這些信息僅適用於本新聞稿的發佈日期,並且不能保證此類事件將在披露的時間範圍內或根本不會發生。該公司放棄任何更新或修訂前瞻性信息的意向或義務,除非法律要求這樣做。

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit .

此信息由英國證券交易所的新聞服務RNS提供。RNS獲批由英國金融行爲監管局擔任英國主要信息提供者。有關使用和分發此信息的條款和條件可能適用。欲了解更多信息,請聯繫rns@lseg.com或訪問。

SOURCE: Bradda Head Lithium Limited

資料來源:Bradda Head Lithium Limited


譯文內容由第三人軟體翻譯。


以上內容僅用作資訊或教育之目的,不構成與富途相關的任何投資建議。富途竭力但無法保證上述全部內容的真實性、準確性和原創性。
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