Predictmedix Inc. (PMEDF)

USD 0.02

(-1.41%)

Annual Cash Flows

(In CAD)
Breakdown 2024 2023 2022 2021 2020 2019
Operating Cash Flow -1.64 Million -534.17 Thousand -534.17 Thousand -1.53 Million -1.07 Million -344.82 Thousand
Net Income -1.99 Million -2.06 Million -2.06 Million -1.88 Million -1.58 Million -274.64 Thousand
Depreciation & Amortization 167.62 Thousand 159.45 Thousand 159.45 Thousand 79.28 Thousand 3509.00 3767.00
Deferred income taxes - - - - -29.06 Thousand -
Stock-based compensation 364.53 Thousand 350.58 Thousand 182.99 Thousand 946.36 Thousand 10.38 Thousand 4744.00
Change in working capital 87.44 Thousand 855.67 Thousand 855.67 Thousand 51.39 Thousand -77.94 Thousand -81.59 Thousand
Other non-cash items -269.14 Thousand 167.87 Thousand 167.87 Thousand 36.25 Thousand -337.96 Thousand 2910.00
Investing Cash Flow - -144.67 Thousand -144.67 Thousand -418.12 Thousand -195.01 Thousand -15.83 Thousand
Investments in PPE - -144.67 Thousand -144.67 Thousand -418.12 Thousand -195.01 Thousand -15.85 Thousand
Acquisitions - - - - 3448.00 26.00
Investment purchases - - - - - -
Sales/Maturities of investments - - - - - -
Other Investing Activities - -49.85 Thousand -333.36 Thousand -195.01 Thousand -3448.00 -
Financing Cash Flow 1.6 Million 546.8 Thousand 546.8 Thousand 1.68 Million 261.12 Thousand 1.69 Million
Debt repayment -37.87 Thousand -35 Thousand - -2129.00 -2129.00 -
Dividends payments - - - - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance 1.63 Million 495 Thousand 495 Thousand 1.09 Million 824 Thousand -
Other Financing Activities 1.6 Million 86.8 Thousand 51.8 Thousand 593.67 Thousand -560.75 Thousand 1.69 Million
Accounts receivables 12.5 Thousand 157.03 Thousand 157.03 Thousand -169.54 Thousand -9008.00 -
Accounts payables -269.14 Thousand 498.8 Thousand 199.09 Thousand - - -
Inventory - -498.8 Thousand -199.09 Thousand - - -
Other working capital 74.93 Thousand 698.63 Thousand 698.63 Thousand 220.93 Thousand -68.93 Thousand -81.59 Thousand
Cash at beginning of period 79.25 Thousand 211.3 Thousand 211.3 Thousand 480.05 Thousand 1.49 Million -
Cash at end of period 36.87 Thousand 79.25 Thousand 79.25 Thousand 211.3 Thousand 480.05 Thousand 1.33 Million
Capital Expenditure - -144.67 Thousand -144.67 Thousand -418.12 Thousand -195.01 Thousand -15.85 Thousand
Effect of forex changes on cash - - - - - -
Net cash flow / Change in cash -42.37 Thousand -132.05 Thousand -132.05 Thousand -268.74 Thousand -1.01 Million 1.33 Million
Free Cash Flow -1.64 Million -678.85 Thousand -678.85 Thousand -1.95 Million -1.27 Million -360.68 Thousand

Cash Flow Charts