(Q3)Nov 30, 2022 | (FY)Feb 28, 2022 | (Q4)Feb 28, 2022 | (Q3)Nov 30, 2021 | (Q2)Aug 31, 2021 | (Q1)May 31, 2021 | (FY)Feb 28, 2021 | (Q4)Feb 28, 2021 | (Q3)Nov 30, 2020 | (Q2)Aug 31, 2020 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -119.81%-189.66K | -59.53%-1.08M | -254.64%-1.27M | 232.30%957.3K | -238.82%-1.74M | 1,115.43%969.53K | 26.43%-679.05K | -4.69%-358.95K | 342.18%288.09K | -136.41%-512.71K |
Net income from continuing operations | -83.89%-473.87K | -35.21%-6.64M | -29.54%-4.3M | 68.90%-257.7K | 751.59%2.3M | -965.82%-4.38M | -32.80%-4.91M | -116.01%-3.32M | -26.57%-828.6K | 46.50%-352.55K |
Operating gains losses | ---48.66K | -20,143.20%-3.74M | ---3.46M | ---- | ---- | ---- | ---18.48K | ---- | ---- | ---- |
Depreciation and amortization | 1,248.34%906.32K | 189.19%1.71M | 283.68%780.17K | -49.84%67.22K | 367.93%646.28K | 85.80%213.2K | -67.16%590.22K | -45.79%203.34K | -69.48%134.02K | -62.45%138.12K |
Deferred tax | ---- | --310.18K | ---- | ---- | ---- | ---- | --0 | ---- | ---- | ---- |
Other non cash items | -418.89%-502.69K | 352.92%1.19M | 530.15%1.02M | 535.42%157.64K | -3.73%27.83K | -123.65%-11.38K | 46.63%263.81K | 245.06%161.99K | -32.03%24.81K | -33.05%28.91K |
Change In working capital | -105.59%-70.76K | 274.45%3.87M | 224.23%3.76M | 992.25%1.27M | -412.98%-1.76M | 497.07%607.58K | 672.98%1.03M | 980.79%1.16M | 92.76%115.93K | -1,206.61%-343.78K |
-Change in receivables | -194.61%-42.12K | 291.45%1.6M | 137.24%260.39K | -83.95%44.52K | 140.62%149.2K | 2,600.63%1.14M | -1,908.72%-834.84K | -1,511.59%-699.14K | 7,193.37%277.37K | -12,874.71%-367.31K |
-Change in prepaid assets | -96.34%29.88K | 98.34%-8.1K | 290.83%402.69K | 413.23%817K | -144,485.28%-942.7K | -1,634.04%-285.09K | -4,249.61%-488.95K | -705.95%-211.02K | -2,259.21%-260.83K | -103.21%-652 |
-Change in payables and accrued expense | 83.17%-58.52K | -3.27%2.28M | 27.63%2.64M | -449.77%-347.64K | -379.34%-67.56K | -67.21%53.76K | 1,341.84%2.36M | 1,686.50%2.07M | 124.58%99.39K | 77.69%24.19K |
-Change in other current assets | --0 | ---- | ---- | --752.31K | ---902.46K | ---305.27K | ---- | ---- | ---- | ---- |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -119.81%-189.66K | -59.53%-1.08M | -254.64%-1.27M | 232.30%957.3K | -238.82%-1.74M | 1,115.43%969.53K | 26.43%-679.05K | -4.69%-358.95K | 342.18%288.09K | -136.41%-512.71K |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 96.18%-124.26K | -1,097.76%-4.08M | 999.38%1.56M | -4,933.03%-3.25M | -6,598.87%-550.04K | -1,852.13%-1.84M | -35.79%-340.76K | -209.72%-173.68K | 52.10%-64.67K | 94.39%-8.21K |
Net PPE purchase and sale | 99.73%-3.05K | -2,304.64%-3.43M | -1,963.40%-2.29M | -7,708.81%-1.12M | 50.05%-6.54K | -219.05%-13.3K | -335.17%-142.55K | -2,396.94%-110.96K | -186.59%-14.32K | -55.42%-13.1K |
Net intangibles purchase and sale | 94.66%-121.21K | -78.44%-353.69K | 6,241.14%3.85M | -4,405.87%-2.27M | -2,380.10%-111.38K | -1,927.72%-1.83M | 9.16%-198.21K | -138.54%-62.72K | 61.28%-50.35K | 103.54%4.89K |
Net business purchase and sale | ---- | ---300K | --0 | ---- | ---- | ---- | --0 | ---- | ---- | ---- |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 96.18%-124.26K | -1,097.76%-4.08M | 999.38%1.56M | -4,933.03%-3.25M | -6,598.87%-550.04K | -1,852.13%-1.84M | -35.79%-340.76K | -209.72%-173.68K | 52.10%-64.67K | 94.39%-8.21K |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 64.08%-55.71K | 178.35%6.51M | -94.80%77.21K | -137.08%-155.1K | -86.96%84.59K | 2,299.26%6.51M | 98.31%2.34M | 540.07%1.49M | -123.51%-65.42K | 610.39%648.65K |
Net issuance payments of debt | 67.00%-3.69K | -111.92%-56.07K | ---11.54K | ---11.17K | ---37.09K | -25.30%3.74K | -118.90%-26.46K | ---- | ---- | ---- |
Net common stock issuance | --0 | 203.51%6.31M | --0 | --0 | --0 | --6.31M | --2.08M | --1.49M | ---253 | ---- |
Proceeds from stock option exercised by employees | --0 | 689.06%1.03M | --0 | --312.5K | --53.27K | --665.49K | --130.7K | ---- | ---- | ---- |
Net other financing activities | 88.60%-52.03K | -593.52%-772.48K | 178.43%88.75K | -600.40%-456.43K | -0.32%68.41K | -277.76%-473.23K | -84.95%156.53K | -162.13%-113.16K | -129.86%-65.17K | -24.84%68.63K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 64.08%-55.71K | 178.35%6.51M | -94.80%77.21K | -137.08%-155.1K | -86.96%84.59K | 2,299.26%6.51M | 98.31%2.34M | 540.07%1.49M | -123.51%-65.42K | 610.39%648.65K |
Net cash flow | ||||||||||
Beginning cash position | -76.28%970.42K | 1,600.35%1.42M | 289.49%1.78M | 1,312.56%4.09M | 4,225.38%6.97M | 1,600.35%1.42M | 17.04%83.22K | 1,736.14%456.06K | 2,672.89%289.66K | -42.05%161.17K |
Current changes in cash | 84.93%-369.63K | 2.18%1.35M | -61.57%366.31K | -1,652.19%-2.45M | -1,732.46%-2.2M | 7,482.27%5.64M | 21,197.31%1.32M | 1,904.44%953.15K | 550.85%158K | 149.62%134.93K |
Effect of exchange rate changes | -72.38%37.9K | -5,118.46%-570.15K | 787.94%51.52K | 1,532.61%137.22K | -10,414.18%-677.11K | -2,375.26%-81.77K | 92.01%11.36K | -46.42%5.8K | 185.04%8.41K | -252.32%-6.44K |
End cash Position | -64.04%638.68K | 55.06%2.19M | 55.06%2.19M | 289.49%1.78M | 1,312.56%4.09M | 4,225.38%6.97M | 1,600.35%1.42M | 1,600.35%1.42M | 1,736.14%456.06K | 2,672.89%289.66K |
Free cash flow | 87.08%-313.92K | -377.03%-4.86M | 154.28%289.1K | -1,187.41%-2.43M | -256.12%-1.86M | -358.31%-869.32K | 13.13%-1.02M | -188.57%-532.64K | 187.97%223.42K | -43.41%-520.92K |
Currency Unit | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD |
Audit Opinions | -- | -- | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- |
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