(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 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 17.33%1.77B | -8.66%1.81B | 5.88%1.12B | 4.47%6.97B | 6.21%2.41B | -28.41%1.51B | 15.88%1.99B | 85.09%1.06B | -4.36%6.67B | 8.92%2.27B |
Net income from continuing operations | -2.08%1.09B | -4.54%1.11B | -9.59%1.1B | 9.91%5.63B | 50.00%2.13B | -23.85%1.11B | -11.92%1.17B | 32.90%1.22B | 4.47%5.12B | 18.23%1.42B |
Operating gains losses | 8.65%-95M | 80.95%-20M | 9.52%-95M | -41.34%-547M | -153.26%-233M | -14.29%-104M | -14.13%-105M | 6.25%-105M | 14.19%-387M | 7.07%-92M |
Depreciation and amortization | 3.94%475M | 3.79%466M | 3.13%462M | 5.09%1.82B | 2.66%463M | 5.06%457M | 6.15%449M | 6.67%448M | 8.20%1.73B | 17.75%451M |
Deferred tax | 22.58%152M | -20.18%87M | -2.86%68M | -171.29%-288M | -414.36%-591M | 14.81%124M | -9.17%109M | 683.33%70M | -21.25%404M | 22.08%188M |
Other non cash items | -47.54%32M | 58.54%65M | -35.92%66M | 92.06%411M | 705.88%206M | -39.00%61M | -29.31%41M | 14.44%103M | -19.25%214M | -236.00%-34M |
Change In working capital | 193.28%125M | -68.83%101M | 28.49%-487M | 87.10%-53M | 29.20%438M | -227.62%-134M | 367.77%324M | 7.22%-681M | -379.59%-411M | -19.67%339M |
-Change in receivables | 90.91%-5M | -44.85%91M | 38.10%-13M | 124.48%71M | -114.29%-18M | 58.33%-55M | 668.97%165M | 91.76%-21M | -1,218.18%-290M | -6.67%126M |
-Change in inventory | 637.50%59M | -200.00%-3M | -8.22%-79M | 78.05%-18M | 300.00%44M | -79.49%8M | 104.62%3M | -8.96%-73M | -1,071.43%-82M | -63.33%11M |
-Change in payables and accrued expense | 101.23%1M | -116.19%-17M | 51.17%-272M | -2,022.22%-191M | 25.74%342M | -157.86%-81M | 301.92%105M | -50.95%-557M | -106.38%-9M | -3.20%272M |
-Change in other current assets | 1,266.67%70M | -41.18%30M | -310.00%-123M | 383.33%85M | 200.00%70M | -110.34%-6M | 104.00%51M | 30.23%-30M | -185.71%-30M | -191.67%-70M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 17.33%1.77B | -8.66%1.81B | 5.88%1.12B | 4.47%6.97B | 6.21%2.41B | -28.41%1.51B | 15.88%1.99B | 85.09%1.06B | -4.36%6.67B | 8.92%2.27B |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -27.82%-1.19B | 2.15%-866M | -27.27%-588M | -38.17%-3.47B | -27.00%-1.19B | -23.15%-931M | -23.60%-885M | -357.43%-462M | 12.63%-2.51B | -8.95%-937M |
Net PPE purchase and sale | -28.24%-1.18B | 2.51%-853M | -24.95%-576M | -11.20%-3.06B | 12.50%-805M | -23.25%-917M | -23.76%-875M | -21.64%-461M | 4.88%-2.75B | -0.66%-920M |
Net business purchase and sale | ---- | ---- | ---- | ---390M | ---- | ---- | ---- | ---- | --0 | ---- |
Net other investing changes | 0.00%-14M | -30.00%-13M | -1,100.00%-12M | -108.33%-20M | 129.41%5M | -16.67%-14M | -11.11%-10M | -100.36%-1M | 500.00%240M | -131.48%-17M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -27.82%-1.19B | 2.15%-866M | -27.27%-588M | -38.17%-3.47B | -27.00%-1.19B | -23.15%-931M | -23.60%-885M | -357.43%-462M | 12.63%-2.51B | -8.95%-937M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -6.02%-669M | 1.91%-1.03B | -21.02%-593M | 27.02%-3.41B | 11.81%-1.24B | 57.16%-631M | -2.15%-1.05B | 35.95%-490M | -21.00%-4.67B | 45.33%-1.41B |
Net issuance payments of debt | -69.96%319M | 8.17%569M | -22.29%945M | 54.50%3.21B | 58.14%408M | 637.50%1.06B | -21.96%526M | 21.24%1.22B | 630.36%2.08B | 124.98%258M |
Net common stock issuance | 62.90%-446M | -3.98%-1.1B | 18.24%-955M | 5.27%-4.58B | 4.21%-1.16B | -2.74%-1.2B | 11.73%-1.05B | 7.59%-1.17B | -195.90%-4.84B | -9.70%-1.21B |
Cash dividends paid | -3.30%-532M | -2.69%-535M | -2.66%-540M | -3.34%-2.07B | -3.25%-509M | -3.41%-515M | -3.37%-521M | -3.34%-526M | -15.17%-2B | -13.86%-493M |
Proceeds from stock option exercised by employees | 200.00%6M | -55.56%8M | 84.62%24M | -19.67%49M | -23.81%16M | -60.00%2M | 200.00%18M | -55.17%13M | 17.31%61M | 90.91%21M |
Net other financing activities | -172.73%-16M | 307.14%29M | -168.00%-67M | -137.14%-13M | -77.78%4M | -52.17%22M | -180.00%-14M | -4.17%-25M | 124.65%35M | 228.57%18M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -6.02%-669M | 1.91%-1.03B | -21.02%-593M | 27.02%-3.41B | 11.81%-1.24B | 57.16%-631M | -2.15%-1.05B | 35.95%-490M | -21.00%-4.67B | 45.33%-1.41B |
Net cash flow | ||||||||||
Beginning cash position | -20.81%784M | -8.11%861M | 10.79%924M | -37.81%834M | 3.97%942M | -2.94%990M | -10.33%937M | -37.81%834M | 21.91%1.34B | -66.28%906M |
Current changes in cash | -70.00%-85M | -241.82%-78M | -162.14%-64M | 117.84%91M | 76.06%-17M | 57.26%-50M | 311.54%55M | 134.80%103M | -311.62%-510M | 94.73%-71M |
Effect of exchange rate changes | -150.00%-1M | 150.00%1M | --1M | -133.33%-1M | 0.00%-1M | -33.33%2M | -300.00%-2M | --0 | --3M | ---1M |
End cash Position | -25.90%698M | -20.81%784M | -8.11%861M | 10.79%924M | 10.79%924M | 3.97%942M | -2.94%990M | -10.33%937M | -37.81%834M | -37.81%834M |
Free cash flow | 0.50%598M | -13.51%960M | -8.92%541M | -3.55%3.78B | 9.39%1.48B | -56.51%595M | 10.34%1.11B | 210.99%594M | -4.00%3.92B | 15.36%1.35B |
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 |
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