(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 | (Q3)Sep 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -182.19%-26.26M | 59.66%-3.34M | -35.96%-42.61M | -31.69%-11.53M | -93.65%-13.48M | -11.01%-9.31M | -13.51%-8.28M | -54.86%-31.34M | -6.90%-8.76M | -69.71%-6.96M |
Net income from continuing operations | -93.96%-25.21M | -57.62%-12.87M | -26.48%-50.62M | -45.72%-18.77M | -31.46%-10.69M | -46.12%-13M | 19.30%-8.16M | -62.84%-40.02M | -97.02%-12.88M | -6.73%-8.13M |
Operating gains losses | -382.58%-628.04K | -57.60%-717.13K | 296.72%1.52M | 1,621.55%2.16M | 47.44%-409.13K | 158.30%222.25K | -334.34%-455.04K | -1,347.63%-773.5K | 7,730.16%125.67K | -240.96%-778.37K |
Depreciation and amortization | 1,331.91%10.98M | 38.62%1.01M | 45.70%3.26M | 42.17%950.56K | 38.76%819.61K | 37.68%766.58K | 71.52%725.89K | 219.35%2.24M | 129.44%668.63K | 196.81%590.68K |
Deferred tax | ---635.54K | ---- | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- |
Other non cash items | -1.88%594.36K | -0.66%600.06K | 100,345.96%2.42M | 78,919.04%606.08K | 107,484.60%607.85K | 110,239.89%605.77K | 113,446.24%604.07K | 29.18%2.41K | --767 | --565 |
Change In working capital | -626.73%-4.45M | 664.00%7.39M | -632.85%-5.98M | 525.66%361.56K | -1,219.64%-5.87M | 378.15%845.2K | -255.41%-1.31M | 174.07%1.12M | 103.90%57.79K | -10.87%524.44K |
-Change in receivables | 1,146.39%1.12M | 431.53%2.81M | -315.56%-3.34M | -362.28%-3.74M | -241.11%-221.89K | 157.47%89.82K | 14,340.80%528.82K | -3,423.69%-803.57K | -3,393.21%-808.19K | 544.03%157.24K |
-Change in inventory | -79.47%57.29K | 92.27%-70.94K | -133.41%-4.5M | -341.77%-1.7M | -64.84%-2.17M | 128.13%279.01K | -183.15%-918.2K | -1,005.72%-1.93M | 502.24%701.62K | ---1.31M |
-Change in prepaid assets | 89.17%-106.22K | 1,191.55%596.73K | -136.03%-466.26K | 1,943.01%2.13M | -864.25%-1.56M | -420.85%-981.02K | -103.92%-54.67K | 171.85%1.29M | 92.61%-115.56K | 273.06%204.18K |
-Change in payables and accrued expense | -443.82%-5.69M | 316.66%3.8M | 121.15%3.44M | 378.09%3.67M | -118.41%-130.35K | 494.44%1.65M | -782.31%-1.75M | 255.29%1.55M | 231.38%767.06K | -4.58%707.86K |
-Change in other working capital | 182.97%162.74K | -71.26%254.84K | -209.99%-1.11M | 99.36%-3.14K | -333.04%-1.79M | -126.00%-196.15K | 2,908.09%886.71K | --1.01M | ---487.14K | --769.34K |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -182.19%-26.26M | 59.66%-3.34M | -35.96%-42.61M | -31.69%-11.53M | -93.65%-13.48M | -11.01%-9.31M | -13.51%-8.28M | -54.86%-31.34M | -6.90%-8.76M | -69.71%-6.96M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 80.41%-343.05K | 77.60%-787.48K | 4.74%-9.06M | -59.07%-2.75M | 61.63%-1.04M | 5.70%-1.75M | -11.69%-3.52M | 39.79%-9.51M | 64.46%-1.73M | -52.03%-2.71M |
Net PPE purchase and sale | 75.98%-323.82K | 65.41%-758.33K | 13.70%-8.84M | -46.96%-3.27M | 19.59%-2.03M | 56.23%-1.35M | 6.52%-2.19M | -1.60%-10.24M | 43.79%-2.22M | 24.38%-2.52M |
Net other investing changes | 95.23%-19.23K | 97.80%-29.15K | -130.67%-223.31K | 4.27%512.05K | 638.36%990.5K | -132.94%-402.94K | -64.93%-1.32M | 13.69%728.18K | 153.60%491.1K | -111.82%-183.99K |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 80.41%-343.05K | 77.60%-787.48K | 4.74%-9.06M | -59.07%-2.75M | 61.63%-1.04M | 5.70%-1.75M | -11.69%-3.52M | 39.79%-9.51M | 64.46%-1.73M | -52.03%-2.71M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -17.02%27.81M | -107.95%-507.03K | -8.78%39.83M | -99.40%87.97K | -101.55%-152.5K | 10,877.63%33.51M | -66.00%6.38M | 1,303.76%43.66M | 4,706.68%14.75M | 1,856.36%9.84M |
Net issuance payments of debt | -126.77%-527.94K | -41.26%-303.41K | -107.50%-986.72K | -101.97%-264.1K | -95.45%-275.04K | -70.67%-232.81K | -8,623.84%-214.78K | 102,121.05%13.15M | 27,558.84%13.43M | -1,766.93%-140.72K |
Net common stock issuance | -14.06%30.02M | ---- | 15.87%34.93M | --0 | --0 | --34.93M | ---- | --30.15M | --0 | --9.79M |
Proceeds from stock option exercised by employees | --0 | -99.40%41K | 202.79%8.41M | -90.32%120.35K | -64.04%346.5K | 138.60%1.05M | 5,259.23%6.89M | -4.90%2.78M | 1,446.16%1.24M | 94.81%963.69K |
Net other financing activities | 24.78%-1.68M | 16.02%-244.63K | -4.77%-2.52M | 189.43%231.71K | 70.92%-223.96K | ---2.24M | 83.03%-291.27K | -1,452.24%-2.41M | --80.06K | ---770.02K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -17.02%27.81M | -107.95%-507.03K | -8.78%39.83M | -99.40%87.97K | -101.55%-152.5K | 10,877.63%33.51M | -66.00%6.38M | 1,303.76%43.66M | 4,706.68%14.75M | 1,856.36%9.84M |
Net cash flow | ||||||||||
Beginning cash position | -91.25%1.06M | -64.22%6.24M | 13.65%17.44M | 50.22%19.7M | 157.03%34.97M | -49.11%12.09M | 13.65%17.44M | -68.22%15.35M | -53.35%13.11M | -59.39%13.6M |
Current changes in cash | -94.65%1.2M | 14.44%-4.64M | -519.97%-11.83M | -433.19%-14.2M | -8,600.60%-14.67M | 326.02%22.46M | -165.13%-5.42M | 108.56%2.82M | 133.41%4.26M | 103.21%172.62K |
Effect of exchange rate changes | -152.49%-219.93K | -928.29%-546.91K | 187.33%631.5K | 983.99%738.65K | 10.62%-592.17K | 291.28%418.99K | -26.88%66.03K | -2,301.06%-723.1K | 895.77%68.14K | -6,386.26%-662.51K |
End cash Position | -94.17%2.04M | -91.25%1.06M | -64.22%6.24M | -64.22%6.24M | 50.22%19.7M | 157.03%34.97M | -49.11%12.09M | 13.65%17.44M | 13.65%17.44M | -53.35%13.11M |
Free cash flow | -149.52%-26.59M | 60.86%-4.1M | -23.73%-51.44M | -34.78%-14.8M | -63.52%-15.51M | 7.06%-10.66M | -8.64%-10.48M | -37.15%-41.57M | 9.60%-10.98M | -27.49%-9.49M |
Currency Unit | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD |
Audit Opinions | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- |
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