HANDENI GOLD INC. company info

CIK 1297223
IRS Number 980430222
State of incorporation NV
Business address P.O. BOX 33507, PLOT 82A, ITV ROAD,
MIKOCHENI LIGHT INDUSTRIAL AREA,
DAR ES SALAAM
W0
-
Mail address P.O. BOX 33507, PLOT 82A, ITV ROAD,
MIKOCHENI LIGHT INDUSTRIAL AREA,
DAR ES SALAAM
W0
-

Short summary

HANDENI GOLD INC. is a United Republic of Tanzania company, with head office located at P.O. Box 33507, Plot 82A, Itv Road, Dar Es Salaam, United Republic of Tanzania -. In 2016 the company owned a total of 1.47 million USD worth of assets, including 44.99 thousand USD worth of current assets. 2010 was the year when the company amassed the most assets.

HANDENI GOLD INC. Income Statement

Name [in Millions USD]20032004200520062007200820092010201120122013201420152016Trends
Operating Expenses 75.619.452.651.301.040.62
Operating Income (Loss) -75.61-9.45-2.65-1.30-1.04-0.62
Interest expense 00.030.090.090.19
Net income -0.43-5.99-16.34-0.49-4.76-2.05-72.41-6.90-4.24-2.29-1.17-0.87

HANDENI GOLD INC. Balance Sheet

Name [in Millions USD]20032004200520062007200820092010201120122013201420152016Trends
Cash and cash equivalents 006.800.890.210.530.090.050.03
Accounts Receivable, Net, Current 0.650.600.630.030.040.010.01
Total assets 13.795.012.982.391.791.501.47
Current assets 13.491.680.920.580.130.070.04
Accounts payable 0.180.01
Total current liabilities 0.490.160.781.460.512.150.52
Total liabilities 0.491.130.781.461.852.242.45
Common Stock, Value, Issued 0.290.310.320.320.000.000.00
Retained Earnings (Accumulated Deficit) -102.51-109.41-113.65-115.94-117.11-117.98-118.38
Accumulated Other Comprehensive Income (Loss), Net of Tax 1.24-1.60-1.02-0.090

HANDENI GOLD INC. Cash Flow

Name [in Millions USD]20032004200520062007200820092010201120122013201420152016Trends
Net income -0.43-5.99-16.34-0.49-4.76-2.05-72.41-6.90-4.24-2.29-1.17-0.87
Depreciation and amortization 0.040.160.200.190.050.00
Accounts receivable 00.030.01-0.590.000.00
Net Cash Provided by (Used in) Operating Activities -5.54-5.68-1.77-0.20-0.76-0.42
Payments to Acquire Property, Plant, and Equipment 0.310.330.010.000
Net Cash Provided by (Used in) Investing Activities -0.31-0.390.040.000.050.01
Proceeds from Issuance of Common Stock 13.6400.500
Net Cash Provided by (Used in) Financing Activities 12.650.161.050.530.270.38
Cash and Cash Equivalents, Period Increase (Decrease) 6.80-5.91-0.680.33-0.45-0.03