GOLD RESERVE LTD (GDRZF) › Cash & EquivalentsGOLD RESERVE LTD (GDRZF) — Cash & EquivalentsAnnual figures by period end, from SEC filings.2008-12-31: $91.55M2009-12-31: $60.96M2010-12-31: $58.19M2011-12-31: $57.68M2012-12-31: $8.35M2013-12-31: $2.98M2014-12-31: $6.44M2015-12-31: $9.35M2016-12-31: $35.75M2017-12-31: $137.67M2018-12-31: $147.65M2019-12-31: $61.82M2020-12-31: $57.42M2021-12-31: $49.12M2022-12-31: $15.38M2023-12-31: $8.53M$8.53M2008-12-31Cash & Equivalents (USD)2023-12-31Period endedCash & EquivalentsChange YoYSource filing2023-12-31$8.53M-44.5%2024-04-19Balance as of period end2022-12-31$15.38M-68.7%2024-04-19Balance as of period end2021-12-31$49.12M-14.5%2023-04-27Balance as of period end2020-12-31$57.42M-7.1%2022-04-29Balance as of period end2019-12-31$61.82M-58.1%2022-04-29Balance as of period end2018-12-31$147.65M+7.2%2021-04-08Balance as of period end2017-12-31$137.67M+285.1%2020-04-09Balance as of period end2016-12-31$35.75M+282.3%2019-04-26Balance as of period end2015-12-31$9.35M+45.2%2018-04-27Balance as of period end2014-12-31$6.44M+116.4%2017-04-28Balance as of period end2013-12-31$2.98M-64.4%2016-04-20Balance as of period end2012-12-31$8.35M-85.5%2016-04-20Balance as of period end2011-12-31$57.68M-0.9%2015-04-24Balance as of period end2010-12-31$58.19M-4.6%2014-04-29Balance as of period end2009-12-31$60.96M-33.4%2014-04-29Balance as of period end2008-12-31$91.55M—2012-03-15Balance as of period endOther metrics: RevenueCost of RevenueGross ProfitOperating IncomeNet IncomeEPS (Diluted)Total AssetsTotal LiabilitiesShareholders' EquityOperating Cash FlowCapital ExpendituresShares OutstandingDividends Per ShareWeighted Average Diluted SharesEPS (Basic)