Environmental Waste International Inc. (YEWTF)

USD 0.0

(0.0%)

Annual Cash Flows

(In CAD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow -879.41 Thousand -1.14 Million -1.61 Million -1.28 Million -1.16 Million -781.1 Thousand
Net Income -1.82 Million -2.29 Million -1.31 Million -2.41 Million -2.77 Million -1.14 Million
Depreciation & Amortization 112.88 Thousand 114.65 Thousand 115.8 Thousand 116.69 Thousand 118.16 Thousand 85.26 Thousand
Deferred income taxes - -90.21 Thousand -931.32 Thousand 613.8 Thousand 1.01 Million -277.78 Thousand
Stock-based compensation 248.22 Thousand 430.55 Thousand 343.34 Thousand 158.61 Thousand 106.60 -
Change in working capital 371.89 Thousand 485.02 Thousand -71.41 Thousand -84.66 Thousand -72.15 Thousand 163.12 Thousand
Other non-cash items 308.72 Thousand 202.06 Thousand 245.8 Thousand 323.89 Thousand 435.97 Thousand 320.86 Thousand
Investing Cash Flow -393.65 Thousand -536.19 Thousand -1.11 Million -9185.00 - -
Investments in PPE -393.65 Thousand -536.19 Thousand -1.11 Million -9185.00 - -
Acquisitions - - - - - -
Investment purchases - - - - - -
Sales/Maturities of investments - - - - - -
Other Investing Activities - - - - - -
Financing Cash Flow 1.27 Million 1.44 Million 2.4 Million 1.03 Million 2.03 Million 766.95 Thousand
Debt repayment -653.53 Thousand -68.06 Thousand -57.19 Thousand -52.12 Thousand -66.51 Thousand -18.18 Thousand
Dividends payments - - - - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance 662.04 Thousand 825 Thousand 1.23 Million 394.1 Thousand 1.6 Million -
Other Financing Activities 662.05 685.03 Thousand 1.22 Million 690.18 Thousand 495.11 Thousand 785.14 Thousand
Accounts receivables 20.02 Thousand 102.83 Thousand -39.42 Thousand -44.71 Thousand 10.52 Thousand -11.06 Thousand
Accounts payables 360.75 Thousand 425.47 Thousand 36.81 Thousand -36.85 Thousand -17.12 Thousand -
Inventory - -425.47 Thousand -36.81 Thousand 36.85 Thousand 17.12 Thousand -
Other working capital -8891.00 382.18 Thousand -31.99 Thousand -39.95 Thousand -82.68 Thousand 174.18 Thousand
Cash at beginning of period 53.79 Thousand 297.23 Thousand 619.72 Thousand 885.59 Thousand 13.38 Thousand 27.53 Thousand
Cash at end of period 56.26 Thousand 53.79 Thousand 297.23 Thousand 619.72 Thousand 885.59 Thousand 13.38 Thousand
Capital Expenditure -393.65 Thousand -536.19 Thousand -1.11 Million -9185.00 - -
Effect of forex changes on cash - - 1.00 - - -
Net cash flow / Change in cash 2475.00 -243.44 Thousand -322.48 Thousand -265.87 Thousand 872.2 Thousand -14.15 Thousand
Free Cash Flow -1.27 Million -1.68 Million -2.72 Million -1.29 Million -1.16 Million -781.1 Thousand

Cash Flow Charts