CAD 0.46
(-1.09%)
Breakdown | 2024 | 2023 | 2022 | 2021 |
---|---|---|---|---|
Operating Cash Flow | -559.92 Thousand | -755.58 Thousand | -2.38 Million | 17.25 Thousand |
Net Income | -2.25 Million | -1.35 Million | -3 Million | -237.32 Thousand |
Depreciation & Amortization | 68.26 Thousand | 64.22 Thousand | 15.24 Thousand | - |
Deferred income taxes | - | - | -455.53 Thousand | - |
Stock-based compensation | 366.62 Thousand | - | 372.98 Thousand | - |
Change in working capital | 1.21 Million | 571.99 Thousand | 230.58 Thousand | 254.57 Thousand |
Other non-cash items | 534.5 Thousand | -34.74 Thousand | 455.53 Thousand | 6556.00 |
Investing Cash Flow | - | -62.76 Thousand | -51.23 Thousand | - |
Investments in PPE | - | -62.76 Thousand | -51.23 Thousand | - |
Acquisitions | - | - | - | - |
Investment purchases | - | - | - | - |
Sales/Maturities of investments | - | - | - | - |
Other Investing Activities | - | - | - | - |
Financing Cash Flow | 907.48 Thousand | 15.25 Thousand | 3 Million | 264.59 Thousand |
Debt repayment | -4960.00 | -24.75 Thousand | -203.82 Thousand | -200 Thousand |
Dividends payments | - | - | - | - |
Common Stock Repurchased | - | - | - | - |
Common Stock Issuance | 880.67 Thousand | - | 11.12 Thousand | 64.59 Thousand |
Other Financing Activities | 50 Thousand | 40 Thousand | 3.2 Million | 1.00 |
Accounts receivables | 46.99 Thousand | -21.51 Thousand | -52.05 Thousand | -6556.00 |
Accounts payables | 1.22 Million | 504.13 Thousand | 375.4 Thousand | - |
Inventory | -32.34 Thousand | 21.51 Thousand | 52.05 Thousand | - |
Other working capital | 1.2 Million | 67.86 Thousand | -144.82 Thousand | 261.13 Thousand |
Cash at beginning of period | 51.32 Thousand | 854.43 Thousand | 281.84 Thousand | - |
Cash at end of period | 398.88 Thousand | 51.32 Thousand | 854.43 Thousand | 281.84 Thousand |
Capital Expenditure | - | -62.76 Thousand | -51.23 Thousand | - |
Effect of forex changes on cash | - | - | - | - |
Net cash flow / Change in cash | 347.56 Thousand | -803.1 Thousand | 572.58 Thousand | 281.84 Thousand |
Free Cash Flow | -559.92 Thousand | -818.35 Thousand | -2.43 Million | 17.25 Thousand |
Breakdown | 2024 Q1 | 2023 Q4 | 2023 FY | 2023 Q3 | 2023 Q2 | 2023 Q1 |
---|---|---|---|---|---|---|
Operating Cash Flow | - | - | - | - | - | - |
Net Income | -1.9 Million | -787.03 Thousand | -2.25 Million | -342.53 Thousand | -441.29 Thousand | -706.35 Thousand |
Depreciation & Amortization | 8898.00 | 83.00 | 68.26 Thousand | 27 Thousand | 21.9 Thousand | 19.26 Thousand |
Deferred income taxes | - | - | - | - | - | - |
Stock-based compensation | 14.59 Thousand | -13.76 Thousand | 366.62 Thousand | - | -26.3 Thousand | 406.69 Thousand |
Change in working capital | -412.16 Thousand | 769.99 Thousand | 1.21 Million | 155.68 Thousand | 92.28 Thousand | 201.05 Thousand |
Other non-cash items | 703.00 | -57.72 Thousand | 534.5 Thousand | 18.21 Thousand | 896.00 | 757.00 |
Investing Cash Flow | - | - | - | - | - | - |
Investments in PPE | 2.00 | - | - | - | - | - |
Acquisitions | - | - | - | - | - | - |
Investment purchases | - | - | - | - | - | - |
Sales/Maturities of investments | - | - | - | - | - | - |
Other Investing Activities | - | - | - | - | - | - |
Financing Cash Flow | 1.99 Million | 304.53 Thousand | 907.48 Thousand | 14.04 Thousand | 529.36 Thousand | 59.53 Thousand |
Debt repayment | -11.38 Thousand | -16.24 Thousand | -4960.00 | -3761.00 | -10.68 Thousand | -10.46 Thousand |
Dividends payments | - | - | - | - | - | - |
Common Stock Repurchased | - | - | - | - | - | - |
Common Stock Issuance | 1.77 Million | 265.62 Thousand | 880.67 Thousand | 25 Thousand | 540.04 Thousand | 50 Thousand |
Other Financing Activities | 228.64 Thousand | 30 Thousand | 50 Thousand | -7197.00 | - | 20 Thousand |
Accounts receivables | -99.83 Thousand | 100.67 Thousand | 46.99 Thousand | -21.15 Thousand | -18.7 Thousand | -13.82 Thousand |
Accounts payables | - | - | 1.22 Million | - | 186.2 Thousand | 214.87 Thousand |
Inventory | - | -13.01 Thousand | -32.34 Thousand | - | 18.7 Thousand | 13.82 Thousand |
Other working capital | -312.33 Thousand | 682.33 Thousand | 1.2 Million | 176.83 Thousand | -93.91 Thousand | -13.82 Thousand |
Cash at beginning of period | 398.88 Thousand | 81.58 Thousand | 51.32 Thousand | 209.12 Thousand | 32.27 Thousand | 51.32 Thousand |
Cash at end of period | 99.64 Thousand | 398.88 Thousand | 398.88 Thousand | 81.58 Thousand | 209.12 Thousand | 32.27 Thousand |
Capital Expenditure | 2.00 | - | - | - | - | - |
Effect of forex changes on cash | - | - | - | - | - | - |
Net cash flow / Change in cash | -299.24 Thousand | 317.3 Thousand | 347.56 Thousand | -127.54 Thousand | 176.84 Thousand | -19.04 Thousand |
Free Cash Flow | -2.29 Million | 12.81 Thousand | -559.92 Thousand | -141.63 Thousand | -352.51 Thousand | -78.58 Thousand |
TBLA
ULTHF
SKGR
025980
SFFFF
CTM