Sulliden Mining Capital Inc is focused on generating value through the acquisition and development of quality mining projects in the Americas, Australia, and Africa. Listed on the Canadian stock exchange, the company focuses on identifying gold assets and niche Uranium and Lithium deposits, for active investment.
A Proven Track-Record
Our management team has a proven history of creating value for its shareholders by understanding the supply demands being made on the mining industry. The core members of the Company have worked together in mining for over a decade to deliver significant premiums for their shareholders. This is achieved by de-risking potential projects by providing strong engineering solutions to maximize mineral resource yields and, focusing on attaining the necessary permitting advancements to achieve production.
Ability to Identify Opportunities
Our team consists of proven experts in the areas of mine exploration, permitting, construction, operations and capital markets. Together, we are able to identify high quality projects for acquisition or investment.
Active Investment Approach
We take an active role in our investments by being involved at the Board level and with contributions from our technical advisory team to ensure the proper execution of the projects in which we invest.
Our Response to Net Zero
Instilled in many of our investment propositions, is the believe that energy solutions, powered by Uranium and Lithium, will continue to grow as vital components of energy supply as the world transitions to net zero. The zero-carbon benefits of nuclear power, whilst delivering a long-term solution for ever-increasing energy demand, project uranium as a critical mineral necessary to achieve sustainable energy supply. Lithium continues to underpin modern energy storage solutions and remains the critical component in all future EV development.
At Sulliden Mining Capital, we also believe that our investment in the critical minerals necessary to transition the world to net zero are protected as our portfolio of assets are positioned in stable low risk regions with high standards of corporate governance.