(Q3)Sep 30, 2024 | (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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 7.58%35.87M | 5.25%37.08M | 9.30%35.91M | 18.41%35.04M | 18.41%35.04M | 83.76%33.34M | 154.92%35.23M | 283.98%32.86M | 246.85%29.59M | 246.85%29.59M |
-Cash and cash equivalents | 7.58%35.87M | 5.25%37.08M | 9.30%35.91M | 18.41%35.04M | 18.41%35.04M | 83.76%33.34M | 154.92%35.23M | 283.98%32.86M | 246.85%29.59M | 246.85%29.59M |
Receivables | -15.84%3.51M | 9.68%3.65M | -6.90%3.17M | -34.43%3.02M | -34.43%3.02M | 8.84%4.17M | -48.05%3.33M | -15.00%3.41M | 14.54%4.6M | 14.54%4.6M |
-Accounts receivable | -15.84%3.51M | 9.68%3.65M | -6.90%3.17M | -34.43%3.02M | -34.43%3.02M | 8.84%4.17M | -48.05%3.33M | -15.00%3.41M | 14.54%4.6M | 14.54%4.6M |
Prepaid assets | 4.64%1.78M | -19.09%1.45M | 42.35%1.36M | 46.59%1.42M | 46.59%1.42M | 33.59%1.7M | 32.69%1.79M | 16.48%954K | -9.36%968K | -9.36%968K |
Total current assets | 4.96%41.16M | 4.53%42.17M | 8.67%40.44M | 12.27%39.47M | 12.27%39.47M | 68.66%39.21M | 87.05%40.35M | 178.08%37.22M | 158.23%35.16M | 158.23%35.16M |
Non current assets | ||||||||||
Net PPE | -12.91%132.99M | -14.59%132.44M | -18.15%127.93M | -17.44%128.4M | -17.44%128.4M | -2.75%152.7M | -1.25%155.07M | -0.63%156.3M | 0.33%155.53M | 0.33%155.53M |
-Gross PPE | 4.90%340.04M | 3.87%336.2M | 110.55%329.09M | 110.34%327.14M | 110.34%327.14M | 2.63%324.16M | 3.17%323.67M | -49.83%156.3M | 0.33%155.53M | 0.33%155.53M |
-Accumulated depreciation | -20.76%-207.05M | -20.86%-203.77M | ---201.16M | ---198.74M | ---198.74M | -7.94%-171.46M | -7.61%-168.6M | ---- | ---- | ---- |
Investments and advances | -21.08%4.58M | -20.03%4.64M | -20.07%4.6M | -22.86%4.47M | -22.86%4.47M | -32.74%5.8M | -28.45%5.8M | -26.82%5.75M | -27.23%5.8M | -27.23%5.8M |
Total non current assets | -13.21%137.57M | -14.79%137.07M | -18.22%132.53M | -17.64%132.87M | -17.64%132.87M | -8.38%158.5M | -6.93%160.87M | -6.23%162.05M | -5.46%161.33M | -5.46%161.33M |
Total assets | -9.60%178.73M | -10.92%179.25M | -13.20%172.97M | -12.29%172.35M | -12.29%172.35M | 0.74%197.72M | 3.49%201.21M | 7.02%199.26M | 6.63%196.49M | 6.63%196.49M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current provisions | -42.91%149K | -51.08%159K | -62.41%165K | -61.98%184K | -61.98%184K | --261K | --325K | --439K | --484K | --484K |
Current debt and capital lease obligation | -13.83%81K | 2.11%97K | 0.00%95K | 2.17%94K | 2.17%94K | 9.30%94K | 13.10%95K | -88.41%95K | -97.35%92K | -97.35%92K |
-Current debt | -37.14%22K | 8.57%38K | 11.76%38K | 9.09%36K | 9.09%36K | 6.06%35K | 9.38%35K | -95.57%34K | -99.04%33K | -99.04%33K |
-Current capital lease obligation | 0.00%59K | -1.67%59K | -6.56%57K | -1.69%58K | -1.69%58K | 11.32%59K | 15.38%60K | 17.31%61K | 13.46%59K | 13.46%59K |
Current liabilities | 49.88%13.61M | 17.92%14.61M | -15.62%10.29M | -13.78%9.67M | -13.78%9.67M | 2.38%9.08M | 12.07%12.39M | -0.40%12.2M | -5.26%11.21M | -5.26%11.21M |
Non current liabilities | ||||||||||
Long term provisions | 1.53%19.14M | -3.14%18.59M | -5.55%18.41M | -0.41%18.88M | -0.41%18.88M | -1.89%18.85M | -1.32%19.19M | -3.17%19.49M | -11.81%18.96M | -11.81%18.96M |
Long term debt and capital lease obligation | -36.05%94K | -42.63%109K | -42.16%118K | -29.84%134K | -29.84%134K | 25.64%147K | 46.15%190K | 42.66%204K | 23.23%191K | 23.23%191K |
-Long term capital lease obligation | -36.05%94K | -42.63%109K | -42.16%118K | -29.84%134K | -29.84%134K | 25.64%147K | 46.15%190K | 42.66%204K | 23.23%191K | 23.23%191K |
Total non current liabilities | 1.24%19.24M | -3.52%18.69M | -5.93%18.53M | -0.70%19.01M | -0.70%19.01M | -10.18%19M | -9.42%19.38M | -10.85%19.7M | -18.41%19.15M | -18.41%19.15M |
Total liabilities | 16.97%32.84M | 4.84%33.31M | -9.64%28.82M | -5.53%28.68M | -5.53%28.68M | -6.47%28.08M | -2.10%31.77M | -7.12%31.89M | -14.01%30.36M | -14.01%30.36M |
Shareholders'equity | ||||||||||
Share capital | 0.00%429.88M | 0.00%429.88M | 0.00%429.88M | 0.00%429.88M | 0.00%429.88M | 0.00%429.88M | 0.00%429.88M | 0.00%429.88M | 0.00%429.88M | 0.00%429.88M |
-common stock | 0.00%429.88M | 0.00%429.88M | 0.00%429.88M | 0.00%429.88M | 0.00%429.88M | 0.00%429.88M | 0.00%429.88M | 0.00%429.88M | 0.00%429.88M | 0.00%429.88M |
Retained earnings | -8.76%-313.29M | -8.79%-313.01M | -8.59%-314.27M | -8.16%-314.1M | -8.16%-314.1M | 0.75%-288.05M | 1.80%-287.72M | 4.18%-289.41M | 4.62%-290.39M | 4.62%-290.39M |
Paid-in capital | 5.17%29.05M | 5.43%28.73M | 5.72%28.3M | 6.11%27.91M | 6.11%27.91M | 6.64%27.62M | 7.31%27.25M | 8.24%26.77M | 9.28%26.3M | 9.28%26.3M |
Gains losses not affecting retained earnings | 28.35%249K | 900.00%350K | 88.37%243K | -105.88%-20K | -105.88%-20K | -71.72%194K | 111.08%35K | 118.09%129K | 164.52%340K | 164.52%340K |
Total stockholders'equity | -14.00%145.89M | -13.87%145.94M | -13.88%144.15M | -13.52%143.67M | -13.52%143.67M | 2.05%169.64M | 4.62%169.44M | 10.21%167.37M | 11.52%166.13M | 11.52%166.13M |
Total equity | -14.00%145.89M | -13.87%145.94M | -13.88%144.15M | -13.52%143.67M | -13.52%143.67M | 2.05%169.64M | 4.62%169.44M | 10.21%167.37M | 11.52%166.13M | 11.52%166.13M |
Currency Unit | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD |
Audit Opinions | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- | -- | -- |
No Data