(Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (Q3)Sep 30, 2022 | (Q2)Jun 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 93.18%-608.98K | -7.52%-27.65M | 62.07%-2.7M | 9.61%-4.72M | -45.91%-11.3M | -58.49%-8.93M | -72.08%-25.72M | -159.57%-7.11M | -22.41%-5.23M | -75.78%-7.75M |
Net income from continuing operations | 76.57%-1.46M | 10.10%-18.79M | 54.32%-2.45M | 36.56%-3.1M | -7.31%-7.03M | -51.58%-6.21M | -10.95%-20.9M | 37.34%-5.37M | -35.71%-4.88M | -62.85%-6.55M |
Operating gains losses | 82.99%-559.82K | -5.16%-11.34M | 54.63%-1.19M | 40.40%-1.77M | -83.93%-5.09M | -36.03%-3.29M | -99.13%-10.78M | -38.88%-2.63M | -158.95%-2.97M | -109.34%-2.77M |
Depreciation and amortization | --0 | 65.59%11.37K | 100.49%32 | -44.16%2.81K | -1.12%4.24K | 4.77%4.29K | -76.30%6.86K | -177.76%-6.55K | -18.02%5.04K | -43.45%4.29K |
Other non cash items | 15.84%268.32K | -73.32%988.25K | 19.10%264.53K | -86.96%251.46K | -77.74%240.62K | -51.08%231.64K | 20.20%3.7M | -92.09%222.11K | 8,686.34%1.93M | 309.81%1.08M |
Change In working capital | 1,436.17%938.57K | -175.39%-221.07K | 30.62%387.89K | -414.44%-548.74K | 108.69%10.03K | -11.76%-70.24K | 1,397.03%293.23K | 6.70%296.95K | 430.67%174.51K | -507.30%-115.39K |
-Change in receivables | -7,571.96%-684.26K | -16.00%-146.78K | 82.15%-31.06K | -233.57%-41.36K | -802.90%-65.44K | -117.66%-8.92K | -406.27%-126.54K | -1,202.18%-173.96K | -588.96%-12.4K | -87.98%9.31K |
-Change in prepaid assets | 116.11%18.42K | -33.46%47.59K | 134.52%6.15K | -39.46%14.75K | 283.57%141.07K | -505.63%-114.38K | 174.30%71.51K | 38.92%-17.82K | 146.43%24.36K | 247.30%36.78K |
-Change in payables and accrued expense | 2,923.98%1.6M | -135.00%-121.88K | -15.54%412.79K | -421.21%-522.13K | 59.37%-65.6K | 137.48%53.06K | 977.12%348.25K | 52.33%488.74K | 5,815.58%162.55K | -567.99%-161.47K |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 93.18%-608.98K | -7.52%-27.65M | 62.07%-2.7M | 9.61%-4.72M | -45.91%-11.3M | -58.49%-8.93M | -72.08%-25.72M | -159.57%-7.11M | -22.41%-5.23M | -75.78%-7.75M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 25.94%3.44M | 18.63%9.06M | 79.22%1.18M | 17.55%2.37M | 0.87%2.77M | 23.65%2.73M | 71.52%7.63M | -86.10%658K | 1,564.96%2.02M | 2.75M |
Net PPE purchase and sale | -25.55%-695.1K | -291.48%-2.05M | --0 | -1,005.74%-1.49M | --0 | -125.41%-553.65K | -48.73%-522.95K | -29.36%-88.26K | 1.96%-135.08K | ---53.99K |
Net investment purchase and sale | -17.62%2.71M | 36.12%11.1M | 58.02%1.18M | 79.53%3.87M | -1.07%2.77M | 33.83%3.29M | 69.85%8.16M | -84.46%746.26K | --2.15M | --2.8M |
Net other investing changes | --1.43M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 25.94%3.44M | 18.63%9.06M | 79.22%1.18M | 17.55%2.37M | 0.87%2.77M | 23.65%2.73M | 71.52%7.63M | -86.10%658K | 1,564.96%2.02M | --2.75M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -85.45%150.5K | -40.50%7.8M | -100.76%-71.33K | -91.73%46.78K | 302.32%6.79M | -28.38%1.03M | 5.93%13.1M | 448.34%9.4M | -92.42%565.39K | 1.69M |
Net issuance payments of debt | --0 | 31.48%-12.92K | --0 | 43.90%-3.22K | 0.80%-4.83K | -4.78%-4.87K | 38.73%-18.85K | 52.90%-3.6K | 62.90%-5.73K | ---4.87K |
Net common stock issuance | ---- | --0 | ---- | ---- | ---- | ---- | --9.3M | ---- | ---- | ---- |
Proceeds from stock option exercised by employees | -85.52%150.5K | 100.42%7.89M | -94.68%12K | -91.25%50K | 301.44%6.79M | -28.28%1.04M | -68.79%3.94M | -88.36%225.74K | -92.36%571.12K | --1.69M |
Net other financing activities | ---- | 30.84%-83.33K | ---- | ---- | ---- | ---- | 44.37%-120.48K | ---- | ---- | ---- |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -85.45%150.5K | -40.50%7.8M | -100.76%-71.33K | -91.73%46.78K | 302.32%6.79M | -28.38%1.03M | 5.93%13.1M | 448.34%9.4M | -92.42%565.39K | --1.69M |
Net cash flow | ||||||||||
Beginning cash position | -79.76%2.8M | -27.31%13.82M | -57.12%4.61M | -47.28%6.9M | -48.78%8.67M | -27.31%13.82M | 11.29%19.02M | -45.88%10.75M | -1.64%13.09M | -4.46%16.93M |
Current changes in cash | 157.78%2.98M | -116.71%-10.8M | -153.93%-1.59M | 12.78%-2.3M | 47.29%-1.75M | -160.82%-5.16M | -366.26%-4.98M | -20.50%2.95M | -186.62%-2.64M | 24.84%-3.31M |
Effect of exchange rate changes | -1,223.96%-85.6K | -7.70%-224.65K | -276.70%-221.58K | -96.17%11.52K | 95.75%-22.2K | 106.83%7.62K | -468.55%-208.58K | 102.75%125.4K | -91.43%300.37K | ---522.78K |
End cash Position | -34.32%5.69M | -79.76%2.8M | -79.76%2.8M | -57.12%4.61M | -47.28%6.9M | -48.78%8.67M | -27.31%13.82M | -27.31%13.82M | -45.88%10.75M | -1.64%13.09M |
Free cash flow | 86.25%-1.3M | -13.18%-29.7M | 62.54%-2.7M | -15.98%-6.22M | -44.90%-11.3M | -61.29%-9.48M | -71.54%-26.24M | -156.41%-7.2M | -21.65%-5.36M | -77.01%-7.8M |
Currency Unit | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD |
Audit Opinions | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- |
No Data
No Data