CAD 0.63
(-7.35%)
Breakdown | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 |
---|---|---|---|---|---|---|
Operating Cash Flow | -907.29 | -803.38 Thousand | -647 Thousand | -2.01 Million | -2375.00 | -395.43 Thousand |
Net Income | -3097.12 | -802.96 Thousand | -2.2 Million | -1.3 Million | -347.44 Thousand | -760.98 Thousand |
Depreciation & Amortization | 74.10 | 103.63 Thousand | 63.54 Thousand | 55.64 Thousand | 56.91 Thousand | 8169.00 |
Deferred income taxes | - | - | -67.75 Thousand | - | 27.79 Thousand | - |
Stock-based compensation | 2181.61 | - | 1.53 Million | - | 2901.00 | 137.9 Thousand |
Change in working capital | -83.43 | -110.31 Thousand | 21.07 Thousand | -785.08 Thousand | 246.68 Thousand | 210.09 Thousand |
Other non-cash items | 17.55 | 6255.00 | 5806.00 | 13.29 Thousand | 10.76 Thousand | 9378.00 |
Investing Cash Flow | -11.87 Thousand | -16.23 Million | -15.95 Million | -5.71 Million | -278.77 Thousand | -1.16 Million |
Investments in PPE | -11.87 Thousand | -326.7 Thousand | -1.73 Million | -1.51 Million | -53 Thousand | -88.65 Thousand |
Acquisitions | - | - | - | - | - | - |
Investment purchases | - | - | - | - | - | - |
Sales/Maturities of investments | - | - | - | - | - | - |
Other Investing Activities | - | -15.91 Million | -14.22 Million | -4.2 Million | -225.77 Thousand | -1.07 Million |
Financing Cash Flow | 14.16 Thousand | 4.17 Million | 469.7 Thousand | 34.66 Million | 1.34 Million | 916.52 Thousand |
Debt repayment | -28.16 | -38.91 Thousand | -50.64 Thousand | -52.47 Thousand | -45.59 Thousand | - |
Dividends payments | - | - | - | - | - | - |
Common Stock Repurchased | - | - | - | - | - | - |
Common Stock Issuance | - | 4.05 Million | 633.04 Thousand | 37.27 Million | 1.48 Million | 918.79 Thousand |
Other Financing Activities | 14.19 Thousand | 165.63 Thousand | -112.68 Thousand | -2.55 Million | -97.55 Thousand | -2269.00 |
Accounts receivables | -12.42 | 2.98 | 18.73 | -19.47 | 37.17 Thousand | 7029.00 |
Accounts payables | - | -102.37 Thousand | 12.17 Thousand | 69.01 Thousand | -19.18 Thousand | 69.48 Thousand |
Inventory | - | -2.98 | -18.73 | 19.47 | - | - |
Other working capital | -71.01 | -7939.00 | 8901.00 | -854.1 Thousand | 228.69 Thousand | 133.57 Thousand |
Cash at beginning of period | 693.24 | 13.83 Million | 29.65 Million | 1.16 Million | 99.98 Thousand | 780.35 Thousand |
Cash at end of period | 2019.58 | 693.23 Thousand | 13.83 Million | 29.65 Million | 1.16 Million | 99.98 Thousand |
Capital Expenditure | -11.87 Thousand | -326.7 Thousand | -1.73 Million | -1.51 Million | -53 Thousand | -88.65 Thousand |
Effect of forex changes on cash | -55.43 | -277.15 Thousand | 317.01 Thousand | 1.56 Million | 8812.00 | -38.13 Thousand |
Net cash flow / Change in cash | 1326.35 | -13.13 Million | -15.82 Million | 28.48 Million | 1.06 Million | -680.36 Thousand |
Free Cash Flow | -12.78 Thousand | -1.13 Million | -2.37 Million | -3.53 Million | -55.37 Thousand | -484.09 Thousand |
Breakdown | 2024 Q2 | 2024 Q1 | 2023 FY | 2023 Q4 | 2023 Q3 | 2023 Q2 |
---|---|---|---|---|---|---|
Operating Cash Flow | - | - | - | - | - | - |
Net Income | -517.16 Thousand | -315.28 Thousand | -3097.12 | -10.49 | -181.35 Thousand | -2.61 Million |
Depreciation & Amortization | 14.18 Thousand | 14.29 Thousand | 74.10 | 18.54 | 16.5 Thousand | 16.51 Thousand |
Deferred income taxes | - | - | - | - | - | -2354.69 |
Stock-based compensation | 141.18 | - | 2181.61 | -173.08 | - | 2354.69 |
Change in working capital | 3550.00 | 136.35 Thousand | -83.43 | 57.71 | 89.23 Thousand | -291.22 Thousand |
Other non-cash items | 3580.00 | 3599.00 | 17.55 | -93.56 | 3185.00 | 2.35 Million |
Investing Cash Flow | -2.58 Million | -931.89 Thousand | -11.87 Thousand | -3250.00 | -4.21 Million | -3.92 Million |
Investments in PPE | -54.13 Thousand | -671.76 Thousand | -11.87 Thousand | -3250.00 | -4500.00 | -52.7 Thousand |
Acquisitions | - | - | - | - | - | - |
Investment purchases | - | - | - | - | - | - |
Sales/Maturities of investments | - | - | - | - | - | - |
Other Investing Activities | -2.52 Million | -260.13 Thousand | - | - | -4.2 Million | -3.87 Million |
Financing Cash Flow | -85.98 Thousand | 6.86 Million | 14.16 Thousand | -38.64 | 138.06 Thousand | 2.77 Million |
Debt repayment | -8378.00 | -9943.00 | -28.16 | -5.59 | -10.07 Thousand | -5090.00 |
Dividends payments | - | - | - | - | - | - |
Common Stock Repurchased | - | - | - | - | - | - |
Common Stock Issuance | 5203.00 | 7.38 Million | - | - | 148.14 Thousand | 2.99 Million |
Other Financing Activities | -82.81 Thousand | -503.94 Thousand | 14.19 Thousand | -33.05 | 148.14 | -213.7 Thousand |
Accounts receivables | 6283.00 | 2.95 | -12.42 | -9.78 | 42.42 | -40.04 |
Accounts payables | -1763.00 | 169.64 Thousand | - | - | 52.22 Thousand | -92.16 Thousand |
Inventory | - | - | - | - | -42.42 | 40.04 |
Other working capital | -970.00 | -36.23 | -71.01 | 67.49 | 37.01 Thousand | -199.05 Thousand |
Cash at beginning of period | 7.69 Million | 2.01 Million | 693.24 | 5589.63 | 9.97 Million | 11.35 Million |
Cash at end of period | 4.62 Million | 7.69 Million | 2019.58 | 2019.58 | 5.58 Million | 9.97 Million |
Capital Expenditure | -54.13 Thousand | -671.76 Thousand | -11.87 Thousand | -3250.00 | -4500.00 | -52.7 Thousand |
Effect of forex changes on cash | -44.1 Thousand | -100.42 Thousand | -55.43 | -80.53 | -244.03 Thousand | 307.3 Thousand |
Net cash flow / Change in cash | -3.06 Million | 5.67 Million | 1326.35 | -3570.05 | -4.38 Million | -1.37 Million |
Free Cash Flow | -408.79 Thousand | -832.78 Thousand | -12.78 Thousand | -3450.88 | -76.93 Thousand | -581.15 Thousand |
PIKQF
6727
TVSHLTD
1789
MEG
300333