ADVFN Logo ADVFN

We could not find any results for:
Make sure your spelling is correct or try broadening your search.

Trending Now

Toplists

It looks like you aren't logged in.
Click the button below to log in and view your recent history.

Hot Features

Registration Strip Icon for default Register for Free to get streaming real-time quotes, interactive charts, live options flow, and more.
2.71
-0.04
(-1.45%)
Closed 20 January 8:00AM
2.695
-0.015
(-0.55%)
After Hours: 11:59AM

Income Statement

Balance Sheet

Cash Flow

Quarter End Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
CAD ($)CAD ($)CAD ($)CAD ($)USD (US$)USD (US$)USD (US$)USD (US$)
Total Assets 130.89M141.31M145.29M137.83M276.03M270.61M267.85M268.71M
Total Current Assets 9.57M9.52M15.38M9.74M17.65M13.02M10.78M12.25M
Cash and Equivalents 4.56M4.8M11.71M5.9M14.11M10.99M9.06M10.22M
Total Non-Current Assets 121.32M131.79M129.91M128.09M258.38M257.59M257.08M507k
Total Liabilities 12.33M13.62M12.2M7.53M23.14M17.8M15.89M16.48M
Total Current Liabilities 6.54M6.22M6.75M2.19M6.99M15.18M13.23M13.76M
Total Non-Current Liabilities 11.13M12.4M8.16M8.01M29.18M2.61M2.67M2.72M
Common Equity 161.7M171.76M178.97M179M303.32M305.04M305.42M306.14M
Retained Earnings -56.33M-57.69M-58.18M-61.5M-63.37M-65.1M-66.59M-67.76M
Year End 31 December 2023 20172018201920202020202120222023
CAD ($)CAD ($)CAD ($)CAD ($)USD (US$)USD (US$)USD (US$)USD (US$)
Total Assets 7.83M24.64M63.72M69.78M79.73M112.62M130.89M276.03M
Total Current Assets 1.48M5.2M5.27M5.23M10.31M6.53M9.57M17.65M
Cash and Equivalents 1.22M4.82M4.6M4.7M5.3M2.34M4.56M14.11M
Total Non-Current Assets 7.57M15.26M59.17M62.68M74.39M100.55M118.56M252.89M
Total Liabilities 264k9.39M4.56M7.11M5.35M12.07M12.33M23.14M
Total Current Liabilities 264k536k4.41M1.85M1.77M1.09M6.54M6.99M
Total Non-Current Liabilities 017.5M145k9.85M6.64M21.5M11.13M29.18M
Total Equity 7.57M15.26M59.17M62.68M74.39M100.55M118.56M252.89M
Common Equity 25.55M35.86M83.06M92.2M98.13M133.91M161.7M303.32M
Retained Earnings -24.09M-27.03M-31.29M-38.68M-34.98M-45.41M-56.33M-63.37M