Real Luck Group Ltd. (LUKEF)
OTCMKTS · Delayed Price · Currency is USD
0.0000
0.00 (0.00%)
At close: Jun 30, 2025

Real Luck Group Cash Flow Statement

Millions CAD. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2022 FY 2021 FY 2020 FY 2019 FY 2018
Period Ending
Sep '23 Dec '22 Dec '21 Dec '20 Dec '19 Dec '18
Net Income
-11.71-9.12-8.63-5.5-20.54-6.41
Depreciation & Amortization
0.080.080.080.090.10.04
Loss (Gain) From Sale of Assets
-00--00.01-
Stock-Based Compensation
0.450.921.890.8914.77-
Provision & Write-off of Bad Debts
-0-0-0---
Other Operating Activities
-0.060.03-00.111.020.67
Change in Accounts Receivable
0.02-0.02-0.070.02-0.18-0.03
Change in Accounts Payable
2.970.090.040.350.14-0.09
Change in Income Taxes
00-0.010-0-
Change in Other Net Operating Assets
0.04-0.21-0.240.14-0.140.37
Operating Cash Flow
-8.38-8.22-6.93-3.9-4.84-5.45
Capital Expenditures
-0.01-0.01-0.02-0-1.31-0.07
Sale of Property, Plant & Equipment
00-0.011.36-
Cash Acquisitions
---0.01--
Sale (Purchase) of Intangibles
-0-0.01--0.04-1.41
Other Investing Activities
0.01--0.030-0.05-0.18
Investing Cash Flow
-0-0.02-0.050.020.04-1.67
Short-Term Debt Issued
---0.03-8.21
Long-Term Debt Issued
---1.52.25-
Total Debt Issued
---1.532.258.21
Long-Term Debt Repaid
--0.04-0.04-0.04-0.07-
Net Debt Issued (Repaid)
-0.04-0.04-0.041.492.188.21
Issuance of Common Stock
--1.654.641.33-
Other Financing Activities
0.03-15.95-0.53-0.01-0.01
Financing Cash Flow
-0.01-0.0417.575.63.58.2
Foreign Exchange Rate Adjustments
-0.27-0.04-0.030.11-0.040.31
Net Cash Flow
-8.66-8.3310.561.82-1.341.4
Free Cash Flow
-8.39-8.24-6.96-3.9-6.15-5.52
Free Cash Flow Margin
-547.89%-5147.37%-27630.55%-5172.71%-152730.57%-
Free Cash Flow Per Share
-0.12-0.12-0.11-0.13-4.67-
Cash Interest Paid
000-0.010.01
Cash Income Tax Paid
0.0100.01--0.01
Levered Free Cash Flow
-4.06-4.67-3.56-3.081.16-
Unlevered Free Cash Flow
-4.06-4.67-3.56-1.941.76-
Change in Net Working Capital
-2.820.110.31-0.38-0.36-
Source: S&P Global Market Intelligence. Standard template. Financial Sources.