Q3 Report is Outhttps://ceo.ca/content/sedar/CRE-20220715-MDA-English-d4c6.pdf
LIQUIDITY AND CAPITAL RESOURCES Cash and cash equivalents as at May 31, 2022, totalled $31,061,336, compared to $7,010,710 as at May 31, 2021. It is management's intention to search further capital funding in the form of equity or debts to support current and future exploration and evaluation assets development.
tiger