Mar 23 | Dec 22 | Jun 22 | Mar 22 | Dec 21 | |
---|---|---|---|---|---|
Income Statement | - | ||||
Total Revenue | C$ 26.50K | C$ 40.01M | C$ 28.26M | C$ 23.82M | C$ 36.80M |
Gross Profit | C$ 12.48K | C$ 19.36M | C$ 14.66M | C$ 11.92M | C$ 19.14M |
EBIT | C$ -4.21K | C$ -331.74K | C$ 1.14M | C$ -4.39M | C$ 3.64M |
EBITDA | - | - | C$ 2.34M | C$ -3.19M | C$ 4.88M |
Net Income Common Stockholders | C$ -3.56K | C$ 23.55K | C$ 910.78K | C$ -4.49M | C$ 2.47M |
Balance Sheet | - | ||||
Cash, Cash Equivalents and Short-Term Investments | C$ 80.15K | C$ 85.94M | C$ 92.48M | C$ 99.54M | C$ 102.21M |
Total Assets | C$ 130.07K | C$ 141.65M | C$ 137.02M | C$ 140.56M | C$ 149.83M |
Total Debt | C$ 9.43K | C$ 10.87M | C$ 10.25M | C$ 10.06M | C$ 11.01M |
Net Debt | C$ -70.72K | C$ -75.07M | C$ -82.24M | C$ -89.48M | C$ -91.20M |
Total Liabilities | C$ 29.46K | C$ 38.52M | C$ 30.60M | C$ 30.21M | C$ 36.77M |
Stockholders Equity | C$ 100.61K | C$ 103.13M | C$ 106.42M | C$ 110.35M | C$ 113.06M |
Cash Flow | - | ||||
Free Cash Flow | C$ -3.89K | C$ 1.96M | C$ -4.23M | C$ 606.13K | C$ 416.44K |
Operating Cash Flow | C$ -2.39K | C$ 2.97M | C$ -1.74M | C$ 1.77M | C$ 999.93K |
Investing Cash Flow | C$ -1.50K | C$ -1.02M | C$ -2.49M | C$ -1.16M | C$ -583.49K |
Financing Cash Flow | C$ -1.56K | C$ -3.24M | C$ -6.61M | C$ -944.32K | C$ -1.90M |