American Aires Inc. (AAIRF)

USD 0.14

(7.69%)

Annual Cash Flows

(In CAD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow -1.01 Million 50.34 Thousand -3.03 Million -3.99 Million -3.27 Million -2 Million
Net Income -4.74 Million -4.08 Million -6.08 Million -7.58 Million -3.39 Million -1.68 Million
Depreciation & Amortization 137.95 Thousand 138.35 Thousand 130.34 Thousand 170.59 Thousand 184.52 Thousand 182.01 Thousand
Deferred income taxes -29.4 Thousand 353 Thousand -30.35 Thousand 40.93 Thousand 280.38 Thousand -
Stock-based compensation 554.74 Thousand 139.66 Thousand 1.14 Million 3.01 Million 254.05 Thousand -
Change in working capital 916.96 Thousand 3 Million 1.68 Million 371.55 Thousand -610.59 Thousand -509.67 Thousand
Other non-cash items 2.14 Million 502.08 Thousand 127.38 Thousand -824.00 17.54 Thousand 743.08 Thousand
Investing Cash Flow - -19.32 Thousand -12.73 Thousand 14 Thousand - -91.11 Thousand
Investments in PPE - -20.44 Thousand -12.73 Thousand - - -91.11 Thousand
Acquisitions - 1128.00 - 14 Thousand - -
Investment purchases - - - - - -
Sales/Maturities of investments - - - - - -
Other Investing Activities - 1128.00 - 14 Thousand - -
Financing Cash Flow 850.04 Thousand -110.61 Thousand 2.81 Million 1.28 Million 6.4 Million 1.8 Million
Debt repayment -330.92 Thousand -1.98 Million -1.34 Million -40.77 Thousand -53.58 Thousand -
Dividends payments - - - - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance 369.12 Thousand 343.6 Thousand 4.14 Million 1.28 Million 6.69 Million 1.57 Million
Other Financing Activities 150 Thousand 1.52 Million 20 Thousand 40 Thousand -230 Thousand 230 Thousand
Accounts receivables - 615.00 76.00 2044.00 -3292.00 3426.00
Accounts payables 291.43 Thousand 2.86 Million 1.89 Million 8164.00 -96.2 Thousand -193.4 Thousand
Inventory 509.82 Thousand -100.54 Thousand -144.82 Thousand 293.13 Thousand -188.68 Thousand -311.18 Thousand
Other working capital 115.7 Thousand 234.44 Thousand -61.37 Thousand 68.2 Thousand -322.41 Thousand -8515.00
Cash at beginning of period 196.1 Thousand 275.69 Thousand 501.88 Thousand 3.19 Million 63.22 Thousand 354.83 Thousand
Cash at end of period 29.36 Thousand 196.1 Thousand 275.69 Thousand 501.88 Thousand 3.19 Million 63.22 Thousand
Capital Expenditure - -20.44 Thousand -12.73 Thousand - - -91.11 Thousand
Effect of forex changes on cash - - - - - -
Net cash flow / Change in cash -166.73 Thousand -79.59 Thousand -226.18 Thousand -2.69 Million 3.13 Million -291.61 Thousand
Free Cash Flow -1.01 Million 29.89 Thousand -3.04 Million -3.99 Million -3.27 Million -2.09 Million

Cash Flow Charts