US Stock MarketDetailed Quotes

SLTTF SLATE OFFICE REIT

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  • 0.262
  • -0.024-8.44%
15min DelayClose Dec 20 16:00 ET
21.06MMarket Cap-0.07P/E (TTM)

SLATE OFFICE REIT Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-76.58%3.96M
1,480.90%12.29M
-35.12%5.32M
-19.05%40.12M
26.75%15.91M
50.31%16.9M
-106.97%-890K
-36.93%8.2M
29.64%49.56M
37.41%12.56M
Net income from continuing operations
-424.25%-182.07M
-664.68%-150.05M
-454.43%-22.57M
-580.65%-113.12M
37.03%-54.69M
-289.19%-34.73M
-185.93%-19.62M
-114.02%-4.07M
-135.63%-16.62M
-735.78%-86.85M
Operating gains losses
322.45%175.4M
268.30%154.41M
369.26%10.79M
50.06%131.55M
-46.20%52.12M
1,212.26%41.52M
1,070.73%41.92M
74.88%-4.01M
1,106.72%87.67M
93,249.04%96.88M
Depreciation and amortization
2.88%250K
3.32%249K
3.75%249K
0.00%966K
0.00%242K
0.00%243K
0.00%241K
0.00%240K
-5.48%966K
-5.84%242K
Deferred tax
-1.67%-3.35M
18.81%-3.31M
-4.06%10.17M
91.52%-204K
65.15%-3.44M
-25.54%-3.29M
-71.35%-4.07M
-14.91%10.6M
-188.16%-2.41M
-588.14%-9.86M
Other non cash items
32.79%22.31M
79.20%17.88M
55.71%20.08M
0.40%57.08M
13.37%17.41M
12.19%16.8M
-19.48%9.98M
-8.77%12.89M
0.40%56.86M
21.10%15.36M
Change In working capital
-124.19%-2.54M
131.04%2.5M
18.74%2.59M
69.38%13.92M
89.20%9.3M
6,676.13%10.5M
-3,886.38%-8.07M
-25.62%2.18M
609.80%8.22M
259.02%4.92M
Cash from discontinued investing activities
Operating cash flow
-76.58%3.96M
1,480.90%12.29M
-35.12%5.32M
-19.05%40.12M
26.75%15.91M
50.31%16.9M
-106.97%-890K
-36.93%8.2M
29.64%49.56M
37.41%12.56M
Investing cash flow
Cash flow from continuing investing activities
127.59%2.45M
170.27%4.53M
451.87%21.97M
70.17%-26.36M
-109.74%-4.8M
-114.21%-8.88M
-233.53%-6.44M
96.95%-6.25M
34.19%-88.37M
144.63%49.31M
Capital expenditure reported
26.17%-1.48M
-19.43%-2.63M
24.48%-1.99M
56.49%-9.98M
19.57%-3.12M
48.17%-2.01M
73.23%-2.2M
61.94%-2.64M
7.18%-22.92M
42.57%-3.88M
Net other investing changes
61.54%-1.12M
-42.78%-6.05M
12.90%-3.14M
-117.14%-12.41M
-102.05%-1.66M
-21.76%-2.9M
-64.82%-4.24M
-0.59%-3.61M
150.03%72.37M
158.28%80.91M
Cash from discontinued investing activities
Investing cash flow
127.59%2.45M
170.27%4.53M
451.87%21.97M
70.17%-26.36M
-109.74%-4.8M
-114.21%-8.88M
-233.53%-6.44M
96.95%-6.25M
34.19%-88.37M
144.63%49.31M
Financing cash flow
Cash flow from continuing financing activities
-0.85%-7.62M
-303.45%-17.81M
-604.27%-26.69M
-130.56%-15.2M
81.25%-12.62M
87.48%-7.55M
137.93%8.76M
-101.89%-3.79M
-48.94%49.75M
-163.51%-67.31M
Net issuance payments of debt
-8.04%-4.51M
-232.70%-17.91M
-760.70%-26.63M
-386.52%-37.06M
45.33%-50.41M
92.68%-4.18M
259.97%13.5M
-97.31%4.03M
-116.75%-7.62M
-378.36%-92.2M
Net common stock issuance
--62K
----
----
--0
--0
--0
----
----
--61.89M
---710K
Cash dividends paid
--0
--0
--0
47.89%-16.26M
79.99%-1.6M
70.02%-2.4M
46.75%-4.27M
-11.31%-7.99M
-15.23%-31.2M
-18.20%-8M
Net other financing activities
-224.95%-3.17M
85.74%-68K
-134.10%-59K
42.84%38.12M
17.21%39.39M
-120.63%-974K
92.81%-477K
103.45%173K
-66.24%26.68M
-57.79%33.61M
Cash from discontinued financing activities
Financing cash flow
-0.85%-7.62M
-303.45%-17.81M
-604.27%-26.69M
-130.56%-15.2M
81.25%-12.62M
87.48%-7.55M
137.93%8.76M
-101.89%-3.79M
-48.94%49.75M
-163.51%-67.31M
Net cash flow
Beginning cash position
-42.82%10.91M
-37.42%11.85M
-43.38%11.27M
100.88%19.91M
-47.33%19.54M
-16.62%19.08M
-19.22%18.94M
100.88%19.91M
16.30%9.91M
597.03%37.1M
Current changes in cash
-356.69%-1.21M
-170.01%-999K
132.64%600K
-113.21%-1.45M
72.32%-1.51M
-96.47%471K
125.97%1.43M
-121.55%-1.84M
679.22%10.95M
-217.75%-5.44M
Effect of exchange rate changes
3,260.00%158K
104.18%54K
-101.95%-17K
-655.15%-7.19M
42.46%-6.77M
-100.57%-5K
-126.24%-1.29M
-82.57%873K
-5,850.00%-952K
-34,482.35%-11.76M
End cash Position
-49.56%9.86M
-42.82%10.91M
-37.42%11.85M
-43.38%11.27M
-43.38%11.27M
-47.33%19.54M
-16.62%19.08M
-19.22%18.94M
100.88%19.91M
100.88%19.91M
Free cash flow
-83.38%2.47M
412.29%9.66M
-40.18%3.33M
13.16%30.14M
47.50%12.79M
102.17%14.89M
-168.13%-3.09M
-8.33%5.56M
96.83%26.64M
264.98%8.67M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
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Unqualified Opinion
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(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -76.58%3.96M1,480.90%12.29M-35.12%5.32M-19.05%40.12M26.75%15.91M50.31%16.9M-106.97%-890K-36.93%8.2M29.64%49.56M37.41%12.56M
Net income from continuing operations -424.25%-182.07M-664.68%-150.05M-454.43%-22.57M-580.65%-113.12M37.03%-54.69M-289.19%-34.73M-185.93%-19.62M-114.02%-4.07M-135.63%-16.62M-735.78%-86.85M
Operating gains losses 322.45%175.4M268.30%154.41M369.26%10.79M50.06%131.55M-46.20%52.12M1,212.26%41.52M1,070.73%41.92M74.88%-4.01M1,106.72%87.67M93,249.04%96.88M
Depreciation and amortization 2.88%250K3.32%249K3.75%249K0.00%966K0.00%242K0.00%243K0.00%241K0.00%240K-5.48%966K-5.84%242K
Deferred tax -1.67%-3.35M18.81%-3.31M-4.06%10.17M91.52%-204K65.15%-3.44M-25.54%-3.29M-71.35%-4.07M-14.91%10.6M-188.16%-2.41M-588.14%-9.86M
Other non cash items 32.79%22.31M79.20%17.88M55.71%20.08M0.40%57.08M13.37%17.41M12.19%16.8M-19.48%9.98M-8.77%12.89M0.40%56.86M21.10%15.36M
Change In working capital -124.19%-2.54M131.04%2.5M18.74%2.59M69.38%13.92M89.20%9.3M6,676.13%10.5M-3,886.38%-8.07M-25.62%2.18M609.80%8.22M259.02%4.92M
Cash from discontinued investing activities
Operating cash flow -76.58%3.96M1,480.90%12.29M-35.12%5.32M-19.05%40.12M26.75%15.91M50.31%16.9M-106.97%-890K-36.93%8.2M29.64%49.56M37.41%12.56M
Investing cash flow
Cash flow from continuing investing activities 127.59%2.45M170.27%4.53M451.87%21.97M70.17%-26.36M-109.74%-4.8M-114.21%-8.88M-233.53%-6.44M96.95%-6.25M34.19%-88.37M144.63%49.31M
Capital expenditure reported 26.17%-1.48M-19.43%-2.63M24.48%-1.99M56.49%-9.98M19.57%-3.12M48.17%-2.01M73.23%-2.2M61.94%-2.64M7.18%-22.92M42.57%-3.88M
Net other investing changes 61.54%-1.12M-42.78%-6.05M12.90%-3.14M-117.14%-12.41M-102.05%-1.66M-21.76%-2.9M-64.82%-4.24M-0.59%-3.61M150.03%72.37M158.28%80.91M
Cash from discontinued investing activities
Investing cash flow 127.59%2.45M170.27%4.53M451.87%21.97M70.17%-26.36M-109.74%-4.8M-114.21%-8.88M-233.53%-6.44M96.95%-6.25M34.19%-88.37M144.63%49.31M
Financing cash flow
Cash flow from continuing financing activities -0.85%-7.62M-303.45%-17.81M-604.27%-26.69M-130.56%-15.2M81.25%-12.62M87.48%-7.55M137.93%8.76M-101.89%-3.79M-48.94%49.75M-163.51%-67.31M
Net issuance payments of debt -8.04%-4.51M-232.70%-17.91M-760.70%-26.63M-386.52%-37.06M45.33%-50.41M92.68%-4.18M259.97%13.5M-97.31%4.03M-116.75%-7.62M-378.36%-92.2M
Net common stock issuance --62K----------0--0--0----------61.89M---710K
Cash dividends paid --0--0--047.89%-16.26M79.99%-1.6M70.02%-2.4M46.75%-4.27M-11.31%-7.99M-15.23%-31.2M-18.20%-8M
Net other financing activities -224.95%-3.17M85.74%-68K-134.10%-59K42.84%38.12M17.21%39.39M-120.63%-974K92.81%-477K103.45%173K-66.24%26.68M-57.79%33.61M
Cash from discontinued financing activities
Financing cash flow -0.85%-7.62M-303.45%-17.81M-604.27%-26.69M-130.56%-15.2M81.25%-12.62M87.48%-7.55M137.93%8.76M-101.89%-3.79M-48.94%49.75M-163.51%-67.31M
Net cash flow
Beginning cash position -42.82%10.91M-37.42%11.85M-43.38%11.27M100.88%19.91M-47.33%19.54M-16.62%19.08M-19.22%18.94M100.88%19.91M16.30%9.91M597.03%37.1M
Current changes in cash -356.69%-1.21M-170.01%-999K132.64%600K-113.21%-1.45M72.32%-1.51M-96.47%471K125.97%1.43M-121.55%-1.84M679.22%10.95M-217.75%-5.44M
Effect of exchange rate changes 3,260.00%158K104.18%54K-101.95%-17K-655.15%-7.19M42.46%-6.77M-100.57%-5K-126.24%-1.29M-82.57%873K-5,850.00%-952K-34,482.35%-11.76M
End cash Position -49.56%9.86M-42.82%10.91M-37.42%11.85M-43.38%11.27M-43.38%11.27M-47.33%19.54M-16.62%19.08M-19.22%18.94M100.88%19.91M100.88%19.91M
Free cash flow -83.38%2.47M412.29%9.66M-40.18%3.33M13.16%30.14M47.50%12.79M102.17%14.89M-168.13%-3.09M-8.33%5.56M96.83%26.64M264.98%8.67M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----------------Unqualified Opinion--
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