BRIGADIER GOLD LIMITED 
  CONSOLIDATED STATEMENT OF OPERATIONS AND DEFICIT
 FOR THE NINE MONTH PERIOD ENDED SEPTEMBER 30, 2000

UNAUDITED


 

2000
$

1999

REVENUE

 

 

Fees

297,245

645,974

 

297,245

645,974

EXPENSES

 

 

Marketing and Support Costs

289,237

700,769

General and administrative

16,965

29,855

Amortization

14,910

15,184

 

321,112

745,808

NET (LOSS) for the period

(23,867)

(99,834)

(Deficit), beginning of period

(540,638)

(399,993)

(Deficit), end of period

(564,505)

(499,827)

 

 

 

LOSS PER SHARE - Basic

(0.01)

(0.03)

 

 

 

 

CONSOLIDATED STATEMENT OF CHANGES IN FINANCIAL POSITION
 FOR THE NINE MONTH PERIOD ENDED SEPTEMBER 30, 2000
 (UNAUDITED)

 

2000

2000

CASH WAS PROVIDED BY (USED IN):

 

 

OPERATING ACTIVITIES

 

 

Net loss for the period

(23,867)

(99,834)

Charges to income not involving cash:

 

 

Debenture Interest

8,265

       8,045

Amortization

14,910

15,184

 

  (692)

(76,605)

Changes in non-cash working capital balances:

(3,298)

(10,409)

 

(3,990)

(87,014)

FINANCING ACTIVITIES

 

 

Increase in Long-Term Debt

      - 

36,685

 

       -                         

 36,685

INVESTING ACTIVITIES

 

 

Deferred Exploration Expenditures

(3,121)

(3,150)

Purchase of Capital Assets

    - 

 (6,026)

 

(3,121)

(9,176)

(Decrease) in cash and term deposits

(7,111)

(59,505)

Cash and term deposits, beginning of period

 47,467

106,236

Cash and term deposits, end of period

40,356

46,731