CA Stock MarketDetailed Quotes

TIUM.U Cansortium Inc

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  • 0.150
  • +0.015+11.11%
15min DelayMarket Closed Jul 19 15:59 ET
41.43MMarket Cap-2500P/E (TTM)

Cansortium Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-21.21%4.05M
-3.22%18.46M
-62.33%1.35M
31.89%7.15M
-16.70%4.82M
19.99%5.14M
479.41%19.07M
-80.27%3.58M
227.66%5.42M
131.59%5.78M
Net income from continuing operations
43.61%-4.16M
38.76%-22.75M
22.93%-7.26M
50.50%-2.76M
55.47%-5.35M
27.20%-7.38M
-95.46%-37.15M
-351.05%-9.42M
-175.76%-5.58M
51.99%-12.01M
Operating gains losses
-523.85%-1.48M
-89.48%686K
-9.00%354K
46.90%426K
-110.67%-442K
-79.55%348K
288.77%6.52M
120.10%389K
102.69%290K
-56.89%4.14M
Depreciation and amortization
-0.38%3.7M
12.29%15.08M
5.73%4.12M
-15.68%2.92M
40.15%4.33M
24.48%3.72M
36.91%13.43M
70.86%3.89M
21.30%3.46M
26.27%3.09M
Remuneration paid in stock
-79.41%49K
17.06%638K
-101.53%-6K
332.08%229K
--177K
138.00%238K
-87.34%545K
-6.89%392K
-85.52%53K
--0
Deferred tax
201.50%1.22M
-127.18%-2.89M
-231.40%-1.89M
228.82%514K
-177.80%-319K
-67.79%-1.2M
-52.27%-1.27M
-3,662.50%-570K
77.97%-399K
-57.51%410K
Other non cashItems
-71.12%2.01M
-36.20%19.87M
-132.84%-2.52M
-59.40%4.65M
-6.35%10.79M
-24.86%6.96M
55.32%31.14M
-109.04%-1.08M
1,187.06%11.44M
49.17%11.52M
Change In working capital
10.29%2.71M
33.81%7.82M
-14.26%8.56M
130.42%1.17M
-219.17%-4.36M
126.01%2.46M
136.79%5.85M
504.79%9.98M
-23.06%-3.85M
91.11%-1.37M
-Change in receivables
-240.00%-17K
-9,250.00%-187K
-768.00%-167K
-450.00%-21K
117.65%6K
-600.00%-5K
-101.64%-2K
-90.91%25K
103.35%6K
-385.71%-34K
-Change in inventory
166.32%388K
65.02%-1.55M
-34.95%6.43M
85.80%-861K
-78.15%-6.53M
87.23%-585K
58.37%-4.43M
646.27%9.88M
-50.55%-6.06M
-127.70%-3.67M
-Change in prepaid assets
108.66%747K
-347.28%-999K
-156.98%-502K
14.48%-508K
57.32%-347K
-61.51%358K
163.03%404K
138.76%881K
-144.44%-594K
-155.76%-813K
-Change in payables and accrued expense
22.94%3.38M
12.58%11.05M
536.02%2.76M
-9.54%2.32M
-0.19%3.22M
-41.00%2.75M
316.62%9.81M
-111.42%-633K
86.09%2.57M
121.18%3.22M
-Change in other current assets
-130.77%-90K
582.48%661K
3,590.51%4.78M
-81,520.00%-4.08M
98.72%-1K
-146.99%-39K
33.82%-137K
-61.18%-137K
91.80%-5K
-1,460.00%-78K
-Change in other current liabilities
-351.81%-375K
--2.55M
---592K
--3.93M
---708K
---83K
--0
--0
--0
--0
-Change in other working capital
-2,065.67%-1.32M
-1,977.16%-3.7M
-10,548.72%-4.15M
--388K
--0
--67K
--197K
---39K
----
----
Cash from discontinued investing activities
Operating cash flow
-21.21%4.05M
-3.22%18.46M
-62.32%1.35M
31.85%7.15M
-16.65%4.82M
19.93%5.14M
479.41%19.07M
-80.28%3.58M
227.69%5.42M
131.58%5.78M
Investing cash flow
Cash flow from continuing investing activities
0.03%-2.95M
6.44%-6.34M
-35.15%-1.84M
86.86%-161K
23.03%-1.39M
-23.75%-2.95M
69.40%-6.77M
78.47%-1.36M
81.73%-1.23M
72.22%-1.81M
Net PPE purchase and sale
0.03%-2.95M
11.47%-6.02M
-11.69%-1.52M
86.86%-161K
25.31%-1.39M
-25.33%-2.95M
67.72%-6.8M
76.87%-1.36M
81.98%-1.23M
67.86%-1.86M
Net intangibles purchas and sale
----
---319K
----
----
----
----
--0
----
----
----
Net other investing changes
----
----
----
----
----
----
103.29%25K
--0
--0
94.78%-37K
Cash from discontinued investing activities
Investing cash flow
0.03%-2.95M
6.44%-6.34M
-35.15%-1.84M
86.86%-161K
26.77%-1.39M
-28.72%-2.95M
69.36%-6.77M
78.37%-1.36M
81.73%-1.23M
70.80%-1.9M
Financing cash flow
Cash flow from continuing financing activities
-185.91%-3.11M
23.70%-9.96M
63.02%-1.1M
7.01%-3.68M
-46.95%-4.1M
67.51%-1.09M
-139.77%-13.05M
82.20%-2.96M
-222.43%-3.95M
-105.84%-2.79M
Net issuance payments of debt
23.88%-3.11M
2.98%-12.95M
90.56%-295K
-736.70%-4.48M
44.96%-4.1M
-17.28%-4.08M
-421.49%-13.35M
84.54%-3.13M
157.34%703K
-127.93%-7.44M
Net common stock issuance
--0
--2.99M
---1K
--0
--0
--2.99M
--0
--0
---4.66M
-77.78%4.66M
Proceeds from stock option exercised by employees
----
--0
--0
--0
----
----
-97.14%297K
-98.20%162K
--0
--0
Cash from discontinued financing activities
Financing cash flow
-185.91%-3.11M
23.70%-9.96M
63.02%-1.1M
7.01%-3.68M
-46.95%-4.1M
67.51%-1.09M
-139.77%-13.05M
82.20%-2.96M
-222.43%-3.95M
-105.84%-2.79M
Net cash flow
Beginning cash position
25.86%10.52M
-7.37%8.36M
33.04%12.11M
-0.69%8.8M
22.95%9.47M
-7.37%8.36M
166.04%9.02M
-34.10%9.1M
-65.94%8.86M
147.30%7.7M
Current changes in cash
-280.34%-2M
387.12%2.16M
-113.77%-1.58M
1,272.61%3.31M
-161.33%-671K
182.33%1.11M
-113.27%-753K
84.48%-741K
101.98%241K
-95.22%1.09M
Effect of exchange rate changes
----
--0
--0
--0
----
----
309.52%88K
111.11%1K
--0
493.75%63K
End cash Position
-10.00%8.52M
25.86%10.52M
25.86%10.52M
33.04%12.11M
-0.69%8.8M
22.95%9.47M
-7.37%8.36M
-7.37%8.36M
-34.10%9.1M
-65.94%8.86M
Free cash from
-49.66%1.11M
-1.25%12.12M
-121.95%-488K
66.52%6.98M
-12.54%3.43M
13.38%2.2M
146.47%12.27M
-81.95%2.22M
136.91%4.19M
116.26%3.92M
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
--
--
--
--
--
--
--
--
(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(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -21.21%4.05M-3.22%18.46M-62.33%1.35M31.89%7.15M-16.70%4.82M19.99%5.14M479.41%19.07M-80.27%3.58M227.66%5.42M131.59%5.78M
Net income from continuing operations 43.61%-4.16M38.76%-22.75M22.93%-7.26M50.50%-2.76M55.47%-5.35M27.20%-7.38M-95.46%-37.15M-351.05%-9.42M-175.76%-5.58M51.99%-12.01M
Operating gains losses -523.85%-1.48M-89.48%686K-9.00%354K46.90%426K-110.67%-442K-79.55%348K288.77%6.52M120.10%389K102.69%290K-56.89%4.14M
Depreciation and amortization -0.38%3.7M12.29%15.08M5.73%4.12M-15.68%2.92M40.15%4.33M24.48%3.72M36.91%13.43M70.86%3.89M21.30%3.46M26.27%3.09M
Remuneration paid in stock -79.41%49K17.06%638K-101.53%-6K332.08%229K--177K138.00%238K-87.34%545K-6.89%392K-85.52%53K--0
Deferred tax 201.50%1.22M-127.18%-2.89M-231.40%-1.89M228.82%514K-177.80%-319K-67.79%-1.2M-52.27%-1.27M-3,662.50%-570K77.97%-399K-57.51%410K
Other non cashItems -71.12%2.01M-36.20%19.87M-132.84%-2.52M-59.40%4.65M-6.35%10.79M-24.86%6.96M55.32%31.14M-109.04%-1.08M1,187.06%11.44M49.17%11.52M
Change In working capital 10.29%2.71M33.81%7.82M-14.26%8.56M130.42%1.17M-219.17%-4.36M126.01%2.46M136.79%5.85M504.79%9.98M-23.06%-3.85M91.11%-1.37M
-Change in receivables -240.00%-17K-9,250.00%-187K-768.00%-167K-450.00%-21K117.65%6K-600.00%-5K-101.64%-2K-90.91%25K103.35%6K-385.71%-34K
-Change in inventory 166.32%388K65.02%-1.55M-34.95%6.43M85.80%-861K-78.15%-6.53M87.23%-585K58.37%-4.43M646.27%9.88M-50.55%-6.06M-127.70%-3.67M
-Change in prepaid assets 108.66%747K-347.28%-999K-156.98%-502K14.48%-508K57.32%-347K-61.51%358K163.03%404K138.76%881K-144.44%-594K-155.76%-813K
-Change in payables and accrued expense 22.94%3.38M12.58%11.05M536.02%2.76M-9.54%2.32M-0.19%3.22M-41.00%2.75M316.62%9.81M-111.42%-633K86.09%2.57M121.18%3.22M
-Change in other current assets -130.77%-90K582.48%661K3,590.51%4.78M-81,520.00%-4.08M98.72%-1K-146.99%-39K33.82%-137K-61.18%-137K91.80%-5K-1,460.00%-78K
-Change in other current liabilities -351.81%-375K--2.55M---592K--3.93M---708K---83K--0--0--0--0
-Change in other working capital -2,065.67%-1.32M-1,977.16%-3.7M-10,548.72%-4.15M--388K--0--67K--197K---39K--------
Cash from discontinued investing activities
Operating cash flow -21.21%4.05M-3.22%18.46M-62.32%1.35M31.85%7.15M-16.65%4.82M19.93%5.14M479.41%19.07M-80.28%3.58M227.69%5.42M131.58%5.78M
Investing cash flow
Cash flow from continuing investing activities 0.03%-2.95M6.44%-6.34M-35.15%-1.84M86.86%-161K23.03%-1.39M-23.75%-2.95M69.40%-6.77M78.47%-1.36M81.73%-1.23M72.22%-1.81M
Net PPE purchase and sale 0.03%-2.95M11.47%-6.02M-11.69%-1.52M86.86%-161K25.31%-1.39M-25.33%-2.95M67.72%-6.8M76.87%-1.36M81.98%-1.23M67.86%-1.86M
Net intangibles purchas and sale -------319K------------------0------------
Net other investing changes ------------------------103.29%25K--0--094.78%-37K
Cash from discontinued investing activities
Investing cash flow 0.03%-2.95M6.44%-6.34M-35.15%-1.84M86.86%-161K26.77%-1.39M-28.72%-2.95M69.36%-6.77M78.37%-1.36M81.73%-1.23M70.80%-1.9M
Financing cash flow
Cash flow from continuing financing activities -185.91%-3.11M23.70%-9.96M63.02%-1.1M7.01%-3.68M-46.95%-4.1M67.51%-1.09M-139.77%-13.05M82.20%-2.96M-222.43%-3.95M-105.84%-2.79M
Net issuance payments of debt 23.88%-3.11M2.98%-12.95M90.56%-295K-736.70%-4.48M44.96%-4.1M-17.28%-4.08M-421.49%-13.35M84.54%-3.13M157.34%703K-127.93%-7.44M
Net common stock issuance --0--2.99M---1K--0--0--2.99M--0--0---4.66M-77.78%4.66M
Proceeds from stock option exercised by employees ------0--0--0---------97.14%297K-98.20%162K--0--0
Cash from discontinued financing activities
Financing cash flow -185.91%-3.11M23.70%-9.96M63.02%-1.1M7.01%-3.68M-46.95%-4.1M67.51%-1.09M-139.77%-13.05M82.20%-2.96M-222.43%-3.95M-105.84%-2.79M
Net cash flow
Beginning cash position 25.86%10.52M-7.37%8.36M33.04%12.11M-0.69%8.8M22.95%9.47M-7.37%8.36M166.04%9.02M-34.10%9.1M-65.94%8.86M147.30%7.7M
Current changes in cash -280.34%-2M387.12%2.16M-113.77%-1.58M1,272.61%3.31M-161.33%-671K182.33%1.11M-113.27%-753K84.48%-741K101.98%241K-95.22%1.09M
Effect of exchange rate changes ------0--0--0--------309.52%88K111.11%1K--0493.75%63K
End cash Position -10.00%8.52M25.86%10.52M25.86%10.52M33.04%12.11M-0.69%8.8M22.95%9.47M-7.37%8.36M-7.37%8.36M-34.10%9.1M-65.94%8.86M
Free cash from -49.66%1.11M-1.25%12.12M-121.95%-488K66.52%6.98M-12.54%3.43M13.38%2.2M146.47%12.27M-81.95%2.22M136.91%4.19M116.26%3.92M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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