Net income of $3.8 millionEarnings and Operating Cash Flow For the three months ended March 31, 2014, net income and cash flow from operations were $3.8 million and $9.2 million (excluding changes in non-cash working capital), respectively, compared with a net loss and cash flow from operations of $17.6 million and $9.0 million (excluding changes in non-cash working capital) for the comparable period in 2013 Read more: https://www.nasdaq.com/press-release/sandstorm-gold-announces-financial-results-for-q1-2014-20140501-02049#ixzz30Vv6Zuwd