Blueberries Medical Corp. (BBRRF)

USD 0.01

(0.0%)

Annual Balance Sheets

(In CAD)
Breakdown 2023 2022 2021 2020 2019 2018
Total Assets 2.41 Million 3.35 Million 3.59 Million 7.27 Million 9.78 Million 3519.00
Total Current Assets 1.9 Million 2.18 Million 1.56 Million 522.63 Thousand 2.87 Million 3519.00
Cash And Short Term Investments 818.15 Thousand 1.41 Million 1.34 Million 306.5 Thousand 2.66 Million 965.00
Cash and Cash Equivalents 818.15 Thousand 1.41 Million 1.34 Million 306.5 Thousand 2.66 Million 965.00
Short Term Investments - - - - - -
Net Receivables 310.36 Thousand 255.92 Thousand 201.88 Thousand 203.98 Thousand 184.16 Thousand 2554.00
Inventory 260.7 Thousand 12.31 Thousand - - - -
Other Current Assets 520.12 Thousand 504.64 Thousand 18.59 Thousand 12.14 Thousand 20.51 Thousand -
Total Non-Current Assets 507.3 Thousand 1.16 Million 2.03 Million 6.74 Million 6.91 Million -
Net PPE 507.3 Thousand 1.16 Million 2.03 Million 5.34 Million 5.39 Million -
Good Will And Intangible Assets 1.00 1.00 1.00 841.33 Thousand 1.1 Million -
Good Will - - - - - -
Intangible Assets 1.00 1.00 1.00 841.33 Thousand 1.1 Million -
Long-Term Investments - - - 566.21 Thousand 389.64 Thousand -
Tax Assets - - - 4.18 Million - -
Other Non Current Assets - - - -4.18 Million 34.25 Thousand -
Other Assets 1.00 - - - - -
Total Liabilities 470.72 Thousand 1.88 Million 2.15 Million 3.38 Million 1.71 Million 73.9 Thousand
Total Current Liabilities 459.68 Thousand 1.74 Million 1.93 Million 2.09 Million 1.09 Million 73.9 Thousand
Account Payables 436.92 Thousand 449.41 Thousand 312.02 Thousand 999.05 Thousand 777.88 Thousand 36.45 Thousand
Tax Payables - - - - - -
Short Term Debt 1762.00 1.19 Million 1.21 Million 208.55 Thousand 222.27 Thousand -
Deferred Revenue - -449.41 Thousand -312.02 Thousand -999.05 Thousand -777.88 Thousand -
Other Current Liabilities 20.99 Thousand 549.95 Thousand 720.28 Thousand 1.88 Million 870.1 Thousand 37.45 Thousand
Total Non Current Liabilities 11.04 Thousand 138.98 Thousand 223.33 Thousand 1.28 Million 618.66 Thousand -
Long-Term Debt 11.04 Thousand 138.98 Thousand 223.33 Thousand 1.28 Million 618.66 Thousand -
Deferred Revenue Non Current - - - - - -
Deferred Tax Liabilities Non Current - - - - - -
Other Non Current Liabilities -1.00 - - - - -
Other Liabilities 1.00 - - - - -
Total Equity 1.94 Million 1.46 Million 1.43 Million 3.88 Million 8.07 Million -70.38 Thousand
Stock Holders Equity 1.94 Million 1.46 Million 1.43 Million 3.88 Million 8.07 Million -70.38 Thousand
Common Stock 20.22 Million 18.24 Million 16.78 Million 13.63 Million 13.48 Million -
Retained Earnings -24.51 Million -22.87 Million -21.41 Million -16.26 Million -11.32 Million -1.12 Million
Accumulated other comprehensive income -715.68 Thousand -736.78 Thousand -637.2 Thousand -584.89 Thousand -383.45 Thousand -
Common Stock Equity 1.94 Million 1.46 Million 1.43 Million 3.88 Million 8.07 Million -70.38 Thousand
Capital Lease Obligation 11.04 Thousand 190.06 Thousand 332.13 Thousand 654.8 Thousand 840.93 Thousand -
Total Investments - - - 566.21 Thousand 389.64 Thousand -
Total Debt 12.8 Thousand 1.33 Million 1.43 Million 1.49 Million 840.93 Thousand -
Net Debt -805.35 Thousand -76.32 Thousand 95.7 Thousand 1.18 Million -1.82 Million -965.00

Balance Sheet Charts