Kraken Robotics Inc. (PNG.V)

CAD 2.44

(-5.06%)

Annual Cash Flows

(In CAD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 7.9 Million 5.23 Million -11 Million 2.79 Million -4.92 Million -6.5 Million
Net Income 5.54 Million -4.24 Million -3.53 Million -5.53 Million -3 Million -2.85 Million
Depreciation & Amortization 4.94 Million 4.78 Million 2.91 Million 1.1 Million 1.68 Million 561.73 Thousand
Deferred income taxes 563 Thousand -1.05 Million -106.12 Thousand -123.89 Thousand -61.38 Thousand -111.7 Thousand
Stock-based compensation 378 Thousand 797 Thousand 433 Thousand 652.71 Thousand 1.37 Million 342.6 Thousand
Change in working capital -2.59 Million 2.64 Million -11.68 Million 6.07 Million -4.8 Million -3.3 Million
Other non-cash items -927 Thousand 2.31 Million 971.78 Thousand 298.6 Thousand -106.45 Thousand -1.14 Million
Investing Cash Flow -9.8 Million -3.36 Million -7.24 Million -3.23 Million -1.01 Million 329.74 Thousand
Investments in PPE -7.55 Million -5.14 Million -5.53 Million -2.17 Million -1.64 Million -269.58 Thousand
Acquisitions - 1.77 Million -2.76 Million - -367.45 Thousand 599.32 Thousand
Investment purchases - - -1.05 Million -1.05 Million - -
Sales/Maturities of investments - - 1.05 Million - - -
Other Investing Activities -2.25 Million - 1.05 Million -1.05 Million 995.93 Thousand -
Financing Cash Flow -1.63 Million -41 Thousand 11.92 Million 11.1 Million 3.1 Million 11.1 Million
Debt repayment -536 Thousand -1.3 Million -2.24 Million -475.14 Thousand -248.21 Thousand -326.44 Thousand
Dividends payments - - - - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance 188 Thousand 135 Thousand 10 Million 10.38 Million 157.62 Thousand 9.8 Million
Other Financing Activities -640 Thousand 1.13 Million 4.16 Million 1.19 Million 3.2 Million 1.3 Million
Accounts receivables -3.8 Million -6.12 Million -2.13 Million 1.63 Million -3.35 Million -821.1 Thousand
Accounts payables 6.06 Million 521 Thousand 1.15 Million 1.07 Million 1.3 Million -4.28 Million
Inventory -4.05 Million 2.88 Million -6.57 Million -2.24 Million -2.28 Million 851.18 Thousand
Other working capital -807 Thousand 5.36 Million -4.12 Million 5.61 Million -475.58 Thousand 944.25 Thousand
Cash at beginning of period 8.26 Million 6.75 Million 12.92 Million 2.09 Million 4.92 Million -
Cash at end of period 5.17 Million 8.26 Million 6.75 Million 12.92 Million 2.09 Million 4.92 Million
Capital Expenditure -7.55 Million -5.14 Million -5.53 Million -2.17 Million -1.64 Million -269.58 Thousand
Effect of forex changes on cash 443 Thousand -319 Thousand 156.09 Thousand 169.61 Thousand - -
Net cash flow / Change in cash -3.09 Million 1.51 Million -6.17 Million 10.82 Million -2.83 Million 4.92 Million
Free Cash Flow 345 Thousand 93 Thousand -16.53 Million 612.26 Thousand -6.57 Million -6.77 Million

Cash Flow Charts