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Consolidated Statements of Financial Position - CAD ($)
$ in Thousands
Dec. 31, 2024
Dec. 31, 2023
Jan. 01, 2023
Current Assets      
Cash $ 476,587 $ 290,743 $ 134,447
Marketable securities 0 0 5,775
Amounts receivable 1,727 1,940 1,801
Prepaid expenses and other assets 14,358 13,770 2,165
Lease receivable (Note 10(a)) 512 512 0
Total Current Assets 493,184 306,965 144,188
Non-Current Assets      
Exploration and evaluation assets (Note 5) 584,889 451,356 405,248
Property and equipment (Note 6) 5,354 5,404 5,048
Investment in associate (Note 7) 229,594 240,116 0
Deposits 82 82 76
Strategic inventory (Note 8) 341,150 0 0
Lease receivable (Note 10(a)) 2,990 3,502 0
Total assets 1,657,243 1,007,425 554,560
Current Liabilities      
Accounts payable and accrued liabilities 21,402 26,986 13,723
Lease liabilities (Note 10(c)) 926 926 775
Flow-through share premium liability 0 0 2,069
Convertible debentures (Note 9) 455,783 158,478 80,021
Total Current Liabilities 478,111 186,390 96,588
Non-current Liabilities      
Long-term lease liabilities (Note 10(c)) 91 1,016 1,688
Deferred income tax liabilities (Note 18) 0 0 867
Total liabilities 478,202 187,406 99,143
Equity      
Share capital (Note 11) 1,405,968 1,009,130 712,603
Reserves (Note 11) 142,619 116,934 94,680
Accumulated other comprehensive income(loss) 12,017 (2,041) 460
Accumulated deficit (381,563) (304,004) (389,867)
Equity attributable to NexGen Energy Ltd. Shareholders 1,179,041 820,019 417,876
Non-controlling interests (Note 16) 0 0 37,541
Total equity 1,179,041 820,019 455,417
Total liabilities and equity $ 1,657,243 $ 1,007,425 $ 554,560