SEMAFO: Cash Flow from Operating Activities before Changes in non-Cash Working Capital of $74 Million
Bantou Resource Goal of 2.5 - 3.0 Million Ounces by End of 2020Montreal, Quebec, August 6, 2019 /CNW/ – SEMAFO Inc. (TSX, OMX: SMF) is pleased to announce another solid quarter of operations, development and exploration activities for the three-month period ended June 30, 2019. All amounts are in US dollars unless otherwise stated. Highlights · Consolidated gold production of 99,800 ounces · Cash flow from operating activities before changes in non-cash working capital1of $74.3 million or $0.22 per share¹ · Net income attributable to shareholders of $15.7 million or $0.05 per