(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 | -34.60%42.98M | 100.49%82.06M | 54.19%30.05M | -17.21%152.49M | -56.44%26.35M | -16.26%65.72M | -0.35%40.93M | 370.68%19.49M | -54.23%184.19M | -43.24%60.49M |
Net income from continuing operations | -32.00%33.61M | 19.85%50.17M | 36.18%59.33M | -29.81%186.31M | 15.44%51.45M | -37.60%49.43M | -46.62%41.86M | -31.12%43.57M | -30.10%265.45M | -43.00%44.57M |
Operating gains losses | 57.84%-9.75M | -36.57%-18.5M | -57.33%-34.32M | 45.05%-84.68M | -32.70%-26.21M | 50.58%-23.12M | 71.30%-13.54M | 45.97%-21.82M | 32.88%-154.1M | 56.95%-19.75M |
Depreciation and amortization | -4.60%1.45M | 12.50%1.65M | 2.53%1.62M | -6.32%6.02M | 0.56%1.45M | -8.31%1.52M | -27.42%1.46M | 21.23%1.58M | 4.10%6.42M | -11.81%1.44M |
Deferred tax | -17.73%8M | -19.76%8.66M | 29.35%18.01M | -22.72%50.89M | 41.74%16.45M | -41.38%9.73M | -44.08%10.79M | -24.17%13.92M | 1.62%65.86M | -13.08%11.61M |
Change In working capital | -41.19%5.22M | 211.84%6.47M | 24.87%-3.14M | -263.34%-8.86M | -161.13%-7.77M | -12.42%8.88M | 60.16%-5.79M | -44.67%-4.18M | -21.50%5.42M | -44.25%12.7M |
-Change in receivables | -41.34%6.44M | 218.04%8.32M | 27.47%-3.54M | -260.54%-11.11M | -165.56%-10.17M | -12.36%10.98M | 61.20%-7.05M | -65.27%-4.88M | -20.01%6.92M | -44.95%15.51M |
-Change in payables and accrued expense | 41.95%-1.22M | -246.54%-1.85M | -42.94%400K | 250.40%2.26M | 185.63%2.4M | 12.07%-2.11M | -65.35%1.26M | 995.31%701K | 14.14%-1.5M | 47.92%-2.8M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -34.60%42.98M | 100.49%82.06M | 54.19%30.05M | -17.21%152.49M | -56.44%26.35M | -16.26%65.72M | -0.35%40.93M | 370.68%19.49M | -54.23%184.19M | -43.24%60.49M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | ||||||||||
Cash from discontinued investing activities | ||||||||||
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -69.23%-70.4M | 10.00%-28.8M | 35.71%-28.8M | 21.13%-179.2M | 5.00%-60.8M | 27.78%-41.6M | 0.00%-32M | 39.13%-44.8M | 46.62%-227.2M | 52.38%-64M |
Cash dividends paid | -69.23%-70.4M | 10.00%-28.8M | 35.71%-28.8M | 21.13%-179.2M | 5.00%-60.8M | 27.78%-41.6M | 0.00%-32M | 39.13%-44.8M | 46.62%-227.2M | 52.38%-64M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -69.23%-70.4M | 10.00%-28.8M | 35.71%-28.8M | 21.13%-179.2M | 5.00%-60.8M | 27.78%-41.6M | 0.00%-32M | 39.13%-44.8M | 46.62%-227.2M | 52.38%-64M |
Net cash flow | ||||||||||
Beginning cash position | 187.83%67.7M | -1.05%14.44M | -66.94%13.19M | -51.87%39.9M | 9.75%47.64M | 4.41%23.52M | 8.45%14.59M | -51.87%39.9M | -21.85%82.91M | -60.80%43.41M |
Current changes in cash | -213.65%-27.42M | 496.43%53.26M | 104.92%1.25M | 37.89%-26.71M | -881.82%-34.45M | 15.50%24.12M | -1.58%8.93M | 63.56%-25.31M | -85.56%-43.01M | 87.39%-3.51M |
End cash Position | -15.45%40.28M | 187.83%67.7M | -1.05%14.44M | -66.94%13.19M | -66.94%13.19M | 9.75%47.64M | 4.41%23.52M | 8.45%14.59M | -51.87%39.9M | -51.87%39.9M |
Free cash flow | -34.60%42.98M | 100.49%82.06M | 54.19%30.05M | -17.21%152.49M | -56.44%26.35M | -16.26%65.72M | -0.35%40.93M | 370.68%19.49M | -54.23%184.19M | -43.24%60.49M |
Currency Unit | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD |
Audit Opinions | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- |
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