(Q3)Jul 31, 2024 | (Q2)Apr 30, 2024 | (Q1)Jan 31, 2024 | (FY)Oct 31, 2023 | (Q4)Oct 31, 2023 | (Q3)Jul 31, 2023 | (Q2)Apr 30, 2023 | (Q1)Jan 31, 2023 | (FY)Oct 31, 2022 | (Q4)Oct 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating cash flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 67.77%-9.93B | 109.77%5.28B | -497.63%-20.11B | -267.66%-65.3B | 460.32%14.52B | -262.89%-30.8B | -378.64%-54.08B | -82.41%5.06B | -22.30%38.95B | -81.66%2.59B |
Net income from continuing operations | -106.28%-181M | -22.44%2.56B | 78.62%2.82B | -38.14%10.78B | -54.82%3.01B | -10.36%2.88B | -13.25%3.31B | -57.65%1.58B | 21.90%17.43B | 76.43%6.67B |
Operating gains losses | -25.64%-196M | 41.63%-129M | 48.24%-147M | 60.16%-816M | 88.03%-155M | 49.68%-156M | -9.41%-221M | -17.84%-284M | -156.32%-2.05B | -451.06%-1.3B |
Depreciation and amortization | -0.81%492M | 2.71%492M | 15.78%499M | 8.21%1.91B | 9.07%505M | 15.35%496M | 9.36%479M | -0.92%431M | -14.52%1.77B | -2.53%463M |
Deferred tax | 38.60%-175M | -13.71%-730M | -15.52%-67M | -350.20%-1.26B | -157.57%-270M | 30.49%-285M | -311.88%-642M | -141.43%-58M | 94.57%502M | 373.74%469M |
Change in working capital | 68.30%-10.94B | 103.49%2.01B | -997.78%-24.22B | -489.74%-78.86B | 343.35%10.55B | -320.69%-34.5B | -267.46%-57.6B | -89.04%2.7B | -41.40%20.23B | -142.79%-4.33B |
-Change in loans | -437.49%-34.19B | 50.49%-16.9B | 70.17%-4.55B | 31.95%-78.69B | 33.28%-22.96B | 74.76%-6.36B | -5.12%-34.14B | 35.30%-15.23B | -150.83%-115.64B | -67.87%-34.41B |
-Change in other working capital | 182.63%23.25B | 180.62%18.91B | -209.73%-19.68B | -100.12%-165M | 11.39%33.51B | -168.91%-28.14B | -239.67%-23.46B | -62.76%17.93B | 68.51%135.87B | -1.79%30.08B |
Cash from discontinued operating activities | ||||||||||
Operating cash flow | 67.77%-9.93B | 109.77%5.28B | -497.63%-20.11B | -267.66%-65.3B | 460.32%14.52B | -262.89%-30.8B | -378.64%-54.08B | -82.41%5.06B | -22.30%38.95B | -81.66%2.59B |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -58.12%14.92B | -106.77%-3.66B | 542.31%23.45B | 338.99%76.23B | -444.26%-8.1B | 296.70%35.62B | 405.34%54.02B | 76.94%-5.3B | 29.54%-31.9B | 88.10%-1.49B |
Proceeds payment in interest bearing deposits in bank | -121.40%-4.2B | -126.01%-10.89B | 400.91%21.14B | 36.09%41.45B | -2,352.63%-13.05B | 625.54%19.63B | 11.17%41.88B | -138.02%-7.02B | 4,277.64%30.46B | -107.64%-532M |
Net investment purchase and sale | 18.46%19.69B | -41.11%7.66B | 27.56%2.71B | 158.77%37.25B | 284.81%5.5B | 217.72%16.62B | 148.94%13.01B | 110.79%2.13B | -52.52%-63.38B | 84.44%-2.98B |
Net PPE purchase and sale | -10.51%-568M | -13.94%-425M | -16.87%-471M | -26.82%-1.84B | -20.17%-554M | -102.36%-514M | 8.13%-373M | -21.02%-403M | -28.79%-1.45B | -28.77%-461M |
Net business purchase and sale | --0 | --0 | --70M | -125.17%-624M | --0 | ---122M | ---502M | --0 | 233.42%2.48B | --2.48B |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -58.12%14.92B | -106.77%-3.66B | 542.31%23.45B | 338.99%76.23B | -444.26%-8.1B | 296.70%35.62B | 405.34%54.02B | 76.94%-5.3B | 29.54%-31.9B | 88.10%-1.49B |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 1.67%-4.07B | -1,200.00%-1.77B | -193.57%-3.56B | -166.59%-12.85B | -582.82%-7.36B | -447.55%-4.13B | 82.89%-136M | 74.68%-1.21B | 4.31%-4.82B | 205.46%1.53B |
Net issuance payments of debt | -856.32%-1.66B | 1,036.90%1.57B | -85.44%-191M | -259.06%-2.36B | -743.17%-1.91B | -20.00%-174M | -7.01%-168M | 19.53%-103M | -19.45%-657M | -100.88%-227M |
Net commonstock issuance | -0.76%-1.06B | -3,659.38%-1.14B | -12,630.77%-1.63B | -110.41%-4.26B | -13,666.67%-3.26B | -783.12%-1.05B | 102.15%32M | 101.81%13M | -8,541.67%-2.03B | -55.56%24M |
Net preferred stock issuance | --378M | ---350M | ---- | -108.83%-400M | -110.30%-400M | --0 | --0 | ---- | 333.40%4.53B | --3.88B |
Cash dividends paid | 40.89%-1.72B | ---1.85B | -55.16%-1.74B | 12.60%-5.83B | 16.84%-1.79B | -86.17%-2.91B | --0 | 61.86%-1.12B | -19.98%-6.67B | -55.44%-2.16B |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 1.67%-4.07B | -1,200.00%-1.77B | -193.57%-3.56B | -166.59%-12.85B | -582.82%-7.36B | -447.55%-4.13B | 82.89%-136M | 74.68%-1.21B | 4.31%-4.82B | 205.46%1.53B |
Net cash flow | ||||||||||
Beginning cash position | -8.23%6.31B | -9.37%6.33B | -21.45%6.72B | 44.26%8.56B | 30.77%7.42B | 22.03%6.87B | -0.19%6.99B | 44.26%8.56B | -7.98%5.93B | -2.46%5.67B |
Current changes in cash | 35.88%924M | 25.89%-146M | 84.28%-229M | -186.04%-1.92B | -136.12%-949M | 1,316.67%680M | 85.97%-197M | -251.14%-1.46B | 1,377.14%2.24B | 1,473.05%2.63B |
Effect of exchange rate changes | 109.70%13M | 45.78%121M | -43.24%-159M | -77.44%88M | -1.96%250M | -1,814.29%-134M | 130.56%83M | -204.72%-111M | 215.04%390M | 581.13%255M |
End cash position | -2.36%7.25B | -8.23%6.31B | -9.37%6.33B | -21.45%6.72B | -21.45%6.72B | 30.77%7.42B | 22.03%6.87B | -0.19%6.99B | 44.26%8.56B | 44.26%8.56B |
Free cash flow | 66.49%-10.49B | 108.92%4.86B | -542.17%-20.58B | -279.08%-67.15B | 555.59%13.96B | -267.86%-31.32B | -365.23%-54.45B | -83.62%4.66B | -23.48%37.5B | -84.53%2.13B |
Currency Unit | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- |
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