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RAMM Pharma Corporation (PK)

RAMM Pharma Corporation (PK) (RAMMF)

0.055
0.00
( 0.00% )
Updated: 10:00:00

Income Statement

Balance Sheet

Cash Flow

Year End 31 October 2023 20192020202120222023
CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)
Total Assets 42.69M37.17M59.71M39.31M32.3M
Total Current Assets 39.18M31.22M24.28M16.71M10.59M
Cash and Equivalents 35.37M28.01M17.16M9.77M5.12M
Total Non-Current Assets 38.13M35.84M56.39M35.59M29.47M
Total Liabilities 4.56M1.34M3.32M3.72M2.84M
Total Current Liabilities 4.44M1.32M3.32M3.27M2.66M
Total Non-Current Liabilities 116k18k2k453k180k
Total Equity 38.13M35.84M56.39M35.59M29.47M
Common Equity 41.79M41.37M63.06M62.53M60.99M
Retained Earnings -7.84M-15.35M-22.44M-43.09M-49.45M