The Westaim Corporation (WED.V)

CAD 5.05

(-0.2%)

Annual Balance Sheets

(In USD)
Breakdown 2023 2022 2021 2020 2019 2018
Total Assets 551.82 Million 413.29 Million 401.66 Million 377.35 Million 410.74 Million 397.39 Million
Total Current Assets 135.89 Million 3.72 Million 6.92 Million 9.84 Million 22.24 Million 22.68 Million
Cash And Short Term Investments 135.03 Million 3.43 Million 6.55 Million 8.74 Million 22.24 Million 7.83 Million
Cash and Cash Equivalents 135.03 Million 3.43 Million 6.55 Million 8.74 Million 22.24 Million 7.83 Million
Short Term Investments 386.72 Million 382.17 Million 368.09 Million 346.74 Million 373.51 Million 363.31 Million
Net Receivables 864 Thousand 291 Thousand 364 Thousand 1.1 Million 279 Thousand 15.57 Million
Inventory -386.72 Million -382.17 Million -368.09 Million -346.74 Million -373.51 Million -363.31 Million
Other Current Assets 387.22 Million 382.17 Million 368.16 Million 347.63 Million 375.3 Million -727 Thousand
Total Non-Current Assets 414.38 Million 409.38 Million 394.67 Million 367.44 Million 385.78 Million 374.71 Million
Net PPE 124 Thousand 261 Thousand 402 Thousand 536 Thousand 656 Thousand 71 Thousand
Good Will And Intangible Assets - - - - - -
Good Will - - - - - -
Intangible Assets - - - - - -
Long-Term Investments 414.26 Million 409.12 Million 394.27 Million 366.91 Million 385.78 Million 373.92 Million
Tax Assets - - - - - -
Other Non Current Assets -414.38 Million -409.38 Million -394.67 Million -367.44 Million -656 Thousand 727 Thousand
Other Assets 1.53 Million 178 Thousand 64 Thousand 64 Thousand 2.72 Million -
Total Liabilities 33.47 Million 50.21 Million 53.98 Million 56.83 Million 56.07 Million 52.22 Million
Total Current Liabilities 14.6 Million 3.32 Million 3.57 Million 2.34 Million 2.13 Million 2.25 Million
Account Payables 14.6 Million 3.32 Million 3.57 Million 2.34 Million 2.13 Million 1.79 Million
Tax Payables 1 Million 245 Thousand 153 Thousand 337 Thousand 387 Thousand -
Short Term Debt - - - - - -
Deferred Revenue - - - - - -
Other Current Liabilities -14.6 Million -3.32 Million -3.57 Million -2.34 Million -2.13 Million 462 Thousand
Total Non Current Liabilities 128 Thousand 3.32 Million 413 Thousand 541 Thousand 645 Thousand 49.96 Million
Long-Term Debt 128 Thousand 261 Thousand 413 Thousand 541 Thousand 645 Thousand 36.64 Million
Deferred Revenue Non Current - - - - - -
Deferred Tax Liabilities Non Current - - - - - -
Other Non Current Liabilities -128 Thousand 3.06 Million -413 Thousand -541 Thousand -645 Thousand 13.31 Million
Other Liabilities 18.74 Million 43.57 Million 49.99 Million 53.94 Million 53.29 Million -
Total Equity 518.34 Million 363.07 Million 347.67 Million 320.52 Million 354.67 Million 345.17 Million
Stock Holders Equity 518.34 Million 363.07 Million 347.67 Million 320.52 Million 354.67 Million 345.17 Million
Common Stock 353.84 Million 378.56 Million 381.12 Million 382.18 Million 382.18 Million 382.18 Million
Retained Earnings 152.98 Million -30.99 Million -48.95 Million -77.16 Million -42.76 Million -51.29 Million
Accumulated other comprehensive income -2.22 Million -2.22 Million -2.22 Million -2.22 Million -2.22 Million -2.22 Million
Common Stock Equity 518.34 Million 363.07 Million 347.67 Million 320.52 Million 354.67 Million 345.17 Million
Capital Lease Obligation 128 Thousand 261 Thousand 413 Thousand 541 Thousand 645 Thousand -
Total Investments 414.26 Million 409.12 Million 394.27 Million 366.91 Million 385.78 Million 373.92 Million
Total Debt 128 Thousand 261 Thousand 413 Thousand 541 Thousand 645 Thousand 36.64 Million
Net Debt -134.9 Million -3.17 Million -6.14 Million -8.2 Million -21.59 Million 28.81 Million

Balance Sheet Charts