Boosh Plant-Based Brands Inc. (VGGIF)
OTCMKTS · Delayed Price · Currency is USD
0.0026
-0.0005 (23.81%)
Apr 21, 2025, 9:30 AM EDT

Boosh Plant-Based Brands Cash Flow Statement

Millions CAD. Fiscal year is Apr - Mar.
Fiscal Year
TTM FY 2023 FY 2022 FY 2021 FY 2020 FY 2019
Period Ending
Dec '23 Mar '23 Mar '22 Mar '21 Mar '20 Mar '19
Net Income
-13.55-14.81-8.06-0.95-0.15-0.13
Depreciation & Amortization
0.210.670.20.0200
Loss (Gain) From Sale of Assets
-00.01--0-
Asset Writedown & Restructuring Costs
8.218.210.46---
Stock-Based Compensation
-0.360.810.920.180.04-
Other Operating Activities
0.830.870.410.220.01-
Change in Accounts Receivable
0.461.01-1.17-0.04-0.01-0
Change in Inventory
0.760.180.15-0.05-0.05-0.01
Change in Accounts Payable
2.281.261.090.170.050.03
Change in Other Net Operating Assets
0.050.39-0.440.02-0.08-0.09
Operating Cash Flow
-1.13-1.39-6.44-0.44-0.19-0.2
Capital Expenditures
0-0-0.07-0.02--0
Sale of Property, Plant & Equipment
0.010.01--0-
Cash Acquisitions
---0.230.42--
Sale (Purchase) of Intangibles
----0.03--
Investing Cash Flow
0.010.01-0.30.370-0
Short-Term Debt Issued
-0.35-0.190.190.19
Long-Term Debt Issued
-0.250.06---
Total Debt Issued
0.570.60.060.190.190.19
Short-Term Debt Repaid
----0.04-0.15-0.04
Long-Term Debt Repaid
--0.04-0.09-0.03--
Total Debt Repaid
-0.01-0.04-0.09-0.08-0.15-0.04
Net Debt Issued (Repaid)
0.560.56-0.030.110.030.15
Issuance of Common Stock
00.396.760.050.120.1
Other Financing Activities
0.140.29-0.01--0-0
Financing Cash Flow
0.71.236.720.160.150.24
Foreign Exchange Rate Adjustments
0.26-0.020.13---
Net Cash Flow
-0.16-0.170.120.1-0.030.04
Free Cash Flow
-1.13-1.4-6.51-0.46-0.19-0.21
Free Cash Flow Margin
--52.46%-951.06%-425.05%-144.09%-796.06%
Free Cash Flow Per Share
-0.01-0.02-0.38-0.07-0.03-0.04
Cash Interest Paid
0.230.230.01---
Levered Free Cash Flow
-1.160.67-2.84-0.18-0.05-
Unlevered Free Cash Flow
0.360.83-2.84-0.18-0.05-
Change in Net Working Capital
-2.43-2.85-0.3-0.120-
Source: S&P Global Market Intelligence. Standard template. Financial Sources.