(Q2)Jun 30, 2024 | (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 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 50.44%-3.06M | 60.10%-2.52M | 12.43%-18.31M | 65.84%-2.21M | 11.57%-3.61M | -56.57%-6.18M | 1.70%-6.32M | -32.66%-20.91M | -69.29%-6.46M | -12.00%-4.08M |
Net income from continuing operations | 30.81%-2.52M | 30.49%-5.49M | 11.38%-15.61M | 5.35%-5.1M | 128.66%1.04M | -166.64%-3.65M | -9.25%-7.9M | -988.63%-17.61M | -322.46%-5.39M | -146.77%-3.63M |
Operating gains losses | 14.99%-1.46M | -60.01%1.03M | -62.61%-4.67M | 5.73%-1.02M | -5,398.82%-4.5M | 41.22%-1.72M | 144.36%2.58M | 81.33%-2.87M | 84.69%-1.08M | 103.30%85K |
Depreciation and amortization | -29.92%89K | -38.03%88K | -23.59%379K | -112.50%-13K | 13.89%123K | 13.39%127K | -17.44%142K | 29.17%496K | 552.17%104K | -59.55%108K |
Other non cash items | 146.74%871K | 82.17%991K | 7,194.29%2.55M | 11,788.89%2.1M | -44,700.00%-448K | 720.93%353K | 4,845.45%544K | 29.63%35K | -325.00%-18K | -106.67%-1K |
Change In working capital | 93.08%-102K | 146.23%736K | 35.67%-1.32M | 541.76%1.66M | 112.39%84K | -850.32%-1.47M | -88.85%-1.59M | -48.16%-2.05M | -308.89%-376K | -130.61%-678K |
-Change in receivables | -127.93%-317K | 91.28%-121K | 122.59%265K | 994.12%186K | 137.70%331K | 637.91%1.14M | -1,273.27%-1.39M | -164.19%-1.17M | -93.33%17K | -90.04%-878K |
-Change in inventory | 100.11%1K | 109.36%177K | -50.10%-1.53M | 245.56%1.28M | -101.83%-6K | -175.53%-912K | -1,260.43%-1.89M | 50.99%-1.02M | -39.37%-878K | 356.25%328K |
-Change in payables and accrued expense | 112.62%214K | -59.67%680K | -138.30%-54K | -59.38%197K | -86.82%-241K | -537.11%-1.7M | 379.60%1.69M | -87.63%141K | -12.61%485K | -143.58%-129K |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 50.44%-3.06M | 60.10%-2.52M | 12.43%-18.31M | 65.84%-2.21M | 11.57%-3.61M | -56.57%-6.18M | 1.70%-6.32M | -32.66%-20.91M | -69.29%-6.46M | -12.00%-4.08M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 125,100.00%1.25M | 177.52%1.19M | -762.35%-1.13M | -262.72%-1.83M | 114.33%277K | 97.14%-1K | -57.89%427K | -85.10%170K | 214.58%1.12M | -507.81%-1.93M |
Net PPE purchase and sale | --0 | ---62K | --0 | --0 | --0 | --0 | --0 | 44.25%-160K | -150.00%-37K | 90.41%-26K |
Net investment purchase and sale | 2,322.86%778K | 181.33%1.27M | -468.33%-1.26M | -268.54%-2.01M | 117.75%338K | 14.63%-35K | -58.87%450K | -82.42%341K | 229.00%1.19M | -453.90%-1.9M |
Net other investing changes | 1,288.24%472K | 17.39%-19K | 1,281.82%130K | 680.65%180K | -1,933.33%-61K | --34K | ---23K | 97.85%-11K | 76.34%-31K | -101.45%-3K |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 125,100.00%1.25M | 177.52%1.19M | -762.35%-1.13M | -262.72%-1.83M | 114.33%277K | 97.14%-1K | -57.89%427K | -85.10%170K | 214.58%1.12M | -507.81%-1.93M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 1,388.46%1.34M | 158.33%35K | -36.32%7.44M | -14.81%4.48M | 3,611.24%3.13M | -101.57%-104K | 39.39%-60K | -30.63%11.69M | -66.58%5.26M | -256.00%-89K |
Net issuance payments of debt | 1,284.76%1.24M | 51.92%-50K | -39.26%3M | -98.33%88K | 3,611.24%3.13M | 17.32%-105K | -5.05%-104K | 2,009.65%4.95M | 4,308.80%5.26M | -102.27%-89K |
Net common stock issuance | ---- | ---- | -34.84%4.39M | --4.39M | ---- | ---- | ---- | -57.89%6.74M | --0 | --0 |
Proceeds from stock option exercised by employees | 9,500.00%96K | 93.18%85K | --45K | --0 | --0 | --1K | --44K | --0 | --0 | --0 |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 1,388.46%1.34M | 158.33%35K | -36.32%7.44M | -14.81%4.48M | 3,611.24%3.13M | -101.57%-104K | 39.39%-60K | -30.63%11.69M | -66.58%5.26M | -256.00%-89K |
Net cash flow | ||||||||||
Beginning cash position | -84.17%1.35M | -79.88%2.93M | -36.81%14.56M | -78.60%3.04M | -85.31%3.05M | -54.08%8.52M | -36.81%14.56M | 7.01%23.05M | 12.97%14.21M | 30.38%20.79M |
Current changes in cash | 92.86%-449K | 77.72%-1.33M | -32.50%-11.99M | 694.67%446K | 96.66%-204K | -338.91%-6.29M | -7.97%-5.95M | -506.28%-9.05M | -100.69%-75K | -91.10%-6.1M |
Effect of exchange rate changes | -107.21%-59K | -179.35%-257K | -36.56%361K | -229.91%-556K | 139.87%191K | 301.48%818K | -108.97%-92K | 179.14%569K | 189.92%428K | -173.71%-479K |
End cash Position | -72.46%841K | -84.17%1.35M | -79.88%2.93M | -79.88%2.93M | -78.60%3.04M | -85.31%3.05M | -54.08%8.52M | -36.81%14.56M | -36.81%14.56M | 12.97%14.21M |
Free cash flow | 50.44%-3.06M | 59.11%-2.58M | 13.10%-18.31M | 66.03%-2.21M | 12.13%-3.61M | -55.90%-6.18M | 2.91%-6.32M | -31.28%-21.07M | -73.62%-6.5M | -4.91%-4.1M |
Currency Unit | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD |
Audit Opinions | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- |
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