Goldmoney Inc. (TSX:XAU)
Canada flag Canada · Delayed Price · Currency is CAD
14.42
-0.05 (-0.35%)
Jul 31, 2026, 3:59 PM EST

Goldmoney Income Statement

Millions CAD. Fiscal year is Apr - Mar.
Fiscal Year
FY 2026FY 2025FY 2024FY 2023FY 2022
Period Ending
Mar '26 Mar '25 Mar '24 Mar '23 Mar '22
Transaction-Based Revenues
209.4388.8259.2984.84358.61
Net Interest Income
2.882.482.641.790.39
Net Interest Income Growth
15.85%-6.06%47.81%361.21%-54.97%
Other Revenues
14.9113.026.29--
227.22104.3268.2286.63359
Revenue Growth
117.81%52.92%-21.26%-75.87%-45.14%
Cost of Revenue
159.9768.5843.5565.12337.06
Gross Profit
67.2535.7424.6721.5121.94
Selling, General & Admin
9.728.655.575.7714.95
Depreciation & Amortization Expenses
0.310.770.791.181.02
Research & Development
0.710.690.680.710.66
Other Operating Expenses
3.562.7810.435.2315.69
Operating Income
52.9422.857.28.61-10.38
Interest Expense
-5.12-4-1.09-0.02
Other Non-Operating Income (Expense)
-15.425.55-27.68-2.76-1.1
Total Non-Operating Income (Expense)
-20.551.55-28.77-2.76-1.08
Pretax Income
66.7616.12-21.585.85-11.46
Provision for Income Taxes
2.671.550.510.5-0.44
Net Income
64.114.57-22.095.35-11.02
Earnings From Discontinued Operations
---2.431.35-
Net Income to Common
64.114.57-22.096.69-6.06
Net Income Growth
339.94%----
Shares Outstanding (Basic)
1313141515
Shares Outstanding (Diluted)
1313141515
Shares Change
-2.66%-1.83%-8.73%-1.04%-2.97%
EPS (Basic)
5.091.11-1.610.36-0.40
EPS (Diluted)
4.901.08-1.610.36-0.40
EPS Growth
353.70%----
Free Cash Flow
3.47-39.01-67.2116.3-7.18
Free Cash Flow Growth
-----
Free Cash Flow Per Share
0.27-2.90-4.911.09-0.47
Gross Margin
29.60%34.26%36.17%24.83%6.11%
Operating Margin
23.30%21.91%10.56%9.94%-2.89%
Profit Margin
28.21%13.97%-32.38%6.17%-3.07%
FCF Margin
1.53%-37.40%-98.52%18.82%-2.00%
EBITDA
53.2623.627.999.79-9.36
EBITDA Margin
23.44%22.64%11.72%11.31%-2.61%
EBIT
52.9422.857.28.61-10.38
EBIT Margin
23.30%21.91%10.56%9.94%-2.89%
Effective Tax Rate
3.99%9.61%-2.36%8.57%3.86%