US Stock MarketDetailed Quotes

MEDAF MEDARO MNG CORP

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  • 0.079
  • -0.034-29.87%
15min DelayClose Sep 6 16:00 ET
816.73KMarket Cap-505P/E (TTM)

MEDARO MNG CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Jun 30, 2024
(Q2)Mar 31, 2024
(Q1)Dec 31, 2023
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q3)Jun 30, 2023
(Q2)Mar 31, 2023
(Q1)Dec 31, 2022
(FY)Sep 30, 2022
(Q4)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
223.05%670.01K
112.28%51.18K
81.99%-661.31K
26.58%-5.92M
41.28%-1.28M
51.00%-544.5K
76.99%-416.86K
-24.43%-3.67M
-321.31%-8.06M
-106.69%-2.18M
Net income from continuing operations
71.16%-209.08K
94.26%-40.36K
71.46%-892.12K
45.05%-6.05M
29.84%-1.49M
61.10%-725K
73.75%-702.99K
27.88%-3.13M
-321.44%-11M
8.00%-2.13M
Operating gains losses
----
----
----
---6.67K
----
----
----
----
----
----
Depreciation and amortization
-55.18%10.26K
--9.61K
--10.06K
--34.05K
--11.16K
--22.89K
--0
--0
--0
--0
Other non cash items
89.60%-2.01K
-1,417.83%-63.01K
-434.59%-103.05K
---214.2K
---221.52K
---19.33K
---4.15K
--30.8K
----
----
Change In working capital
2,111.32%942.54K
347.31%147.44K
146.57%321.29K
-700.34%-320.32K
423.23%383.52K
-107.38%-46.86K
-94.27%32.96K
33.56%-689.94K
135.81%53.36K
-129.04%-118.65K
-Change in receivables
697.67%830.2K
-138.67%-41K
238.21%347.95K
-191.09%-874.15K
-269.64%-466.31K
-313.20%-138.91K
70.90%-17.18K
-208.92%-251.75K
-162.77%-300.3K
-65.49%-126.15K
-Change in prepaid assets
2.24%33.89K
-55.58%20.4K
821.97%114.27K
-42.13%54.16K
86.47%-9.08K
-91.74%33.15K
-93.13%45.92K
98.26%-15.83K
129.06%93.59K
-121.76%-67.13K
-Change in payables and accrued expense
33.20%78.46K
3,885.70%168.04K
66.63%-140.94K
92.13%499.67K
1,050.99%858.92K
-77.99%58.9K
112.33%4.22K
-779.69%-422.37K
-9.49%260.07K
-57.68%74.62K
Cash from discontinued investing activities
Operating cash flow
223.05%670.01K
112.28%51.18K
81.99%-661.31K
26.58%-5.92M
41.28%-1.28M
51.00%-544.5K
76.99%-416.86K
-24.43%-3.67M
-321.31%-8.06M
-106.69%-2.18M
Investing cash flow
Cash flow from continuing investing activities
0
0
0
-68.78%-405.08K
-11.59%-78.12K
-409.84%-101.97K
-75K
0.00%-150K
-242.86%-240K
-70K
Net PPE purchase and sale
--0
--0
--0
-68.78%-405.08K
-11.59%-78.12K
-409.84%-101.97K
---75K
0.00%-150K
-242.86%-240K
---70K
Cash from discontinued investing activities
Investing cash flow
--0
--0
--0
-68.78%-405.08K
-11.59%-78.12K
-409.84%-101.97K
---75K
0.00%-150K
-242.86%-240K
---70K
Financing cash flow
Cash flow from continuing financing activities
-102.47%-2.5K
0
-83.31%632.4K
-41.11%3.9M
-5.68K
-79.88%101.25K
-94.11%12.5K
-35.80%3.79M
21.21%6.62M
0
Net common stock issuance
--0
--0
-82.99%680K
-11.61%4M
--0
--0
--437
-11.62%4M
-14.37%4.52M
--0
Proceeds from stock option exercised by employees
--0
----
----
-95.02%113.75K
--0
-79.88%101.25K
----
----
369.37%2.28M
--0
Net other financing activities
---2.5K
--0
77.09%-47.6K
-13.27%-213.85K
---5.68K
--0
---438
-10.04%-207.73K
38.77%-188.79K
--0
Cash from discontinued financing activities
Financing cash flow
-102.47%-2.5K
--0
-83.31%632.4K
-41.11%3.9M
---5.68K
-79.88%101.25K
-94.11%12.5K
-35.80%3.79M
21.21%6.62M
--0
Net cash flow
Beginning cash position
-91.30%179.93K
-94.94%128.78K
-93.88%157.84K
-39.44%2.58M
-68.68%1.51M
-62.13%2.07M
-63.93%2.55M
-39.44%2.58M
444.03%4.26M
52.89%4.83M
Current changes in cash
222.43%667.51K
110.68%51.18K
12.48%-28.91K
-44.27%-2.42M
39.38%-1.37M
13.16%-545.22K
70.03%-479.36K
-101.18%-33.03K
-148.32%-1.68M
-305.15%-2.25M
Effect of exchange rate changes
126.95%2.56K
-103.17%-33
35.00%-143
--1.53K
--10.2K
---9.49K
--1.04K
---220
--0
--0
End cash Position
-43.84%849.99K
-91.30%179.93K
-94.94%128.78K
-93.88%157.84K
-93.88%157.84K
-68.68%1.51M
-62.13%2.07M
-63.93%2.55M
-39.44%2.58M
-39.44%2.58M
Free cash flow
203.64%670.01K
110.41%51.18K
82.70%-661.31K
23.82%-6.32M
39.63%-1.36M
42.85%-646.47K
72.85%-491.86K
-23.25%-3.82M
-318.54%-8.3M
-113.32%-2.25M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Jun 30, 2024(Q2)Mar 31, 2024(Q1)Dec 31, 2023(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q3)Jun 30, 2023(Q2)Mar 31, 2023(Q1)Dec 31, 2022(FY)Sep 30, 2022(Q4)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 223.05%670.01K112.28%51.18K81.99%-661.31K26.58%-5.92M41.28%-1.28M51.00%-544.5K76.99%-416.86K-24.43%-3.67M-321.31%-8.06M-106.69%-2.18M
Net income from continuing operations 71.16%-209.08K94.26%-40.36K71.46%-892.12K45.05%-6.05M29.84%-1.49M61.10%-725K73.75%-702.99K27.88%-3.13M-321.44%-11M8.00%-2.13M
Operating gains losses ---------------6.67K------------------------
Depreciation and amortization -55.18%10.26K--9.61K--10.06K--34.05K--11.16K--22.89K--0--0--0--0
Other non cash items 89.60%-2.01K-1,417.83%-63.01K-434.59%-103.05K---214.2K---221.52K---19.33K---4.15K--30.8K--------
Change In working capital 2,111.32%942.54K347.31%147.44K146.57%321.29K-700.34%-320.32K423.23%383.52K-107.38%-46.86K-94.27%32.96K33.56%-689.94K135.81%53.36K-129.04%-118.65K
-Change in receivables 697.67%830.2K-138.67%-41K238.21%347.95K-191.09%-874.15K-269.64%-466.31K-313.20%-138.91K70.90%-17.18K-208.92%-251.75K-162.77%-300.3K-65.49%-126.15K
-Change in prepaid assets 2.24%33.89K-55.58%20.4K821.97%114.27K-42.13%54.16K86.47%-9.08K-91.74%33.15K-93.13%45.92K98.26%-15.83K129.06%93.59K-121.76%-67.13K
-Change in payables and accrued expense 33.20%78.46K3,885.70%168.04K66.63%-140.94K92.13%499.67K1,050.99%858.92K-77.99%58.9K112.33%4.22K-779.69%-422.37K-9.49%260.07K-57.68%74.62K
Cash from discontinued investing activities
Operating cash flow 223.05%670.01K112.28%51.18K81.99%-661.31K26.58%-5.92M41.28%-1.28M51.00%-544.5K76.99%-416.86K-24.43%-3.67M-321.31%-8.06M-106.69%-2.18M
Investing cash flow
Cash flow from continuing investing activities 000-68.78%-405.08K-11.59%-78.12K-409.84%-101.97K-75K0.00%-150K-242.86%-240K-70K
Net PPE purchase and sale --0--0--0-68.78%-405.08K-11.59%-78.12K-409.84%-101.97K---75K0.00%-150K-242.86%-240K---70K
Cash from discontinued investing activities
Investing cash flow --0--0--0-68.78%-405.08K-11.59%-78.12K-409.84%-101.97K---75K0.00%-150K-242.86%-240K---70K
Financing cash flow
Cash flow from continuing financing activities -102.47%-2.5K0-83.31%632.4K-41.11%3.9M-5.68K-79.88%101.25K-94.11%12.5K-35.80%3.79M21.21%6.62M0
Net common stock issuance --0--0-82.99%680K-11.61%4M--0--0--437-11.62%4M-14.37%4.52M--0
Proceeds from stock option exercised by employees --0---------95.02%113.75K--0-79.88%101.25K--------369.37%2.28M--0
Net other financing activities ---2.5K--077.09%-47.6K-13.27%-213.85K---5.68K--0---438-10.04%-207.73K38.77%-188.79K--0
Cash from discontinued financing activities
Financing cash flow -102.47%-2.5K--0-83.31%632.4K-41.11%3.9M---5.68K-79.88%101.25K-94.11%12.5K-35.80%3.79M21.21%6.62M--0
Net cash flow
Beginning cash position -91.30%179.93K-94.94%128.78K-93.88%157.84K-39.44%2.58M-68.68%1.51M-62.13%2.07M-63.93%2.55M-39.44%2.58M444.03%4.26M52.89%4.83M
Current changes in cash 222.43%667.51K110.68%51.18K12.48%-28.91K-44.27%-2.42M39.38%-1.37M13.16%-545.22K70.03%-479.36K-101.18%-33.03K-148.32%-1.68M-305.15%-2.25M
Effect of exchange rate changes 126.95%2.56K-103.17%-3335.00%-143--1.53K--10.2K---9.49K--1.04K---220--0--0
End cash Position -43.84%849.99K-91.30%179.93K-94.94%128.78K-93.88%157.84K-93.88%157.84K-68.68%1.51M-62.13%2.07M-63.93%2.55M-39.44%2.58M-39.44%2.58M
Free cash flow 203.64%670.01K110.41%51.18K82.70%-661.31K23.82%-6.32M39.63%-1.36M42.85%-646.47K72.85%-491.86K-23.25%-3.82M-318.54%-8.3M-113.32%-2.25M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

Analyst Rating

No Data

Price Target

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