Intermap Technologies Corporation (IMP.TO)

CAD 1.79

(5.29%)

Annual Balance Sheets

(In USD)
Breakdown 2023 2022 2021 2020 2019 2018
Total Assets 4.53 Million 6.33 Million 7.44 Million 7.64 Million 8.1 Million 9.8 Million
Total Current Assets 1.3 Million 2.52 Million 2.25 Million 3.17 Million 3.14 Million 5.49 Million
Cash And Short Term Investments 677 Thousand 843 Thousand 188 Thousand 1.77 Million 1.23 Million 1.28 Million
Cash and Cash Equivalents 677 Thousand 843 Thousand 188 Thousand 1.77 Million 1.23 Million 1.28 Million
Short Term Investments - - - - - -
Net Receivables 312 Thousand 1.29 Million 1.59 Million 626 Thousand 1.15 Million 3.64 Million
Inventory -29 Thousand -22 Thousand -516 Thousand - - -
Other Current Assets 340 Thousand 404 Thousand 988 Thousand 769 Thousand 763 Thousand 567 Thousand
Total Non-Current Assets 3.23 Million 3.81 Million 5.19 Million 4.47 Million 4.96 Million 4.31 Million
Net PPE 1.36 Million 1.73 Million 2.97 Million 3.51 Million 4.96 Million 4.31 Million
Good Will And Intangible Assets 977 Thousand 1.01 Million 1.11 Million 921 Thousand 625 Thousand -
Good Will - - - - - -
Intangible Assets 977 Thousand 1.01 Million 1.11 Million 921 Thousand 625 Thousand -
Long-Term Investments 849 Thousand 1.01 Million 1.06 Million - - -
Tax Assets - - - - - -
Other Non Current Assets 50 Thousand 55 Thousand 39 Thousand 41 Thousand -625 Thousand -
Other Assets - - - -1000.00 - -
Total Liabilities 8.1 Million 7.75 Million 6.59 Million 6.15 Million 37.19 Million 34.22 Million
Total Current Liabilities 7.41 Million 6.95 Million 5.64 Million 4.98 Million 36.91 Million 4.91 Million
Account Payables 2.43 Million 1.93 Million 1.96 Million 1.55 Million 1.38 Million 1.11 Million
Tax Payables 57 Thousand 107 Thousand 5000.00 5000.00 - 10 Thousand
Short Term Debt 412 Thousand 368 Thousand 260 Thousand 275 Thousand 32.55 Million 1.42 Million
Deferred Revenue 2.55 Million 2.95 Million 1.72 Million 1.6 Million 1.27 Million 626 Thousand
Other Current Liabilities 2.01 Million 1.69 Million 1.69 Million 1.55 Million 1.7 Million 1.75 Million
Total Non Current Liabilities 687 Thousand 800 Thousand 955 Thousand 1.16 Million 280 Thousand 29.3 Million
Long-Term Debt 687 Thousand 800 Thousand 955 Thousand 1.16 Million 280 Thousand 29.24 Million
Deferred Revenue Non Current - - - - - -
Deferred Tax Liabilities Non Current - - - - - -
Other Non Current Liabilities - - - - - 64 Thousand
Other Liabilities - - - - - -
Total Equity -3.56 Million -1.41 Million 852 Thousand 1.48 Million -29.08 Million -24.42 Million
Stock Holders Equity -3.56 Million -1.41 Million 852 Thousand 1.48 Million -29.08 Million -24.42 Million
Common Stock 209.29 Million 208.4 Million 206.1 Million 203.64 Million 199.91 Million 199.91 Million
Retained Earnings -240.48 Million -236.78 Million -231.49 Million -228.14 Million -254.37 Million -249.56 Million
Accumulated other comprehensive income -156 Thousand -141 Thousand -129 Thousand -115 Thousand -154 Thousand -154 Thousand
Common Stock Equity -3.56 Million -1.41 Million 852 Thousand 1.48 Million -29.08 Million -24.42 Million
Capital Lease Obligation 455 Thousand 400 Thousand 541 Thousand 792 Thousand 465 Thousand 14 Thousand
Total Investments 849 Thousand 1.01 Million 1.06 Million - - -
Total Debt 1.09 Million 1.16 Million 1.21 Million 1.44 Million 32.83 Million 30.66 Million
Net Debt 422 Thousand 325 Thousand 1.02 Million -334 Thousand 31.6 Million 29.38 Million

Balance Sheet Charts