Goldmoney Inc. (TSX:XAU)
Canada flag Canada · Delayed Price · Currency is CAD
14.63
+0.18 (1.25%)
Aug 26, 2026, 4:00 PM EST

Goldmoney Income Statement

Millions CAD. Fiscal year is Apr - Mar.
Fiscal Year
TTMFY 2026FY 2025FY 2024FY 2023FY 2022
Period Ending
Jun '26 Mar '26 Mar '25 Mar '24 Mar '23 Mar '22
Operating Revenue
189.69224.34101.8365.5784.84358.61
Other Revenue
2.882.882.482.641.790.39
192.56227.22104.3268.2286.63359
Revenue Growth
42.77%117.81%52.92%-21.26%-75.87%-45.88%
Cost of Revenue
130.37159.968.557.6260.86335.13
Gross Profit
62.1967.3235.8110.625.7823.87
Selling, General & Admin
6.756.85.615.275.2113.49
Research & Development
0.710.710.690.680.710.66
Operating Expenses
11.0910.8610.157.057.6716.63
Operating Income
51.156.4625.663.5518.117.23
Interest Expense
-5.36-5.12-4-1.09--0.02
Interest & Investment Income
0.21-----
Earnings From Equity Investments
0.870.87-7.98-13.98-0.25-0.41
Currency Exchange Gain (Loss)
0.39-0.36-0.17-0.530.550.03
Other Non Operating Income (Expenses)
0.46-0.680.222.44-0.1
EBT Excluding Unusual Items
47.6751.1713.75-9.6118.416.93
Impairment of Goodwill
-----9.5-13.8
Gain (Loss) on Sale of Investments
----0.11-3.061.19
Gain (Loss) on Sale of Assets
----0--
Asset Writedown
13.6115.592.37-9.42--
Other Unusual Items
-----0.05
Pretax Income
61.2966.7616.12-19.145.85-5.62
Income Tax Expense
2.322.671.550.510.50.44
Earnings From Continuing Operations
58.9764.114.57-19.655.35-6.06
Earnings From Discontinued Operations
----2.431.35-
Net Income to Company
58.9764.114.57-22.096.69-6.06
Minority Interest in Earnings
---0.050.110.31
Net Income
58.9764.114.57-22.046.8-5.75
Net Income to Common
58.9764.114.57-22.046.8-5.75
Net Income Growth
211.44%339.94%----
Shares Outstanding (Basic)
131313141515
Shares Outstanding (Diluted)
131313141515
Shares Change
-1.69%-2.66%-2.79%-7.83%-1.04%-2.97%
EPS (Basic)
4.715.091.11-1.590.46-0.38
EPS (Diluted)
4.514.901.08-1.780.45-0.40
EPS Growth
218.78%353.70%----

Additional Metrics

Fiscal Year
TTMFY 2026FY 2025FY 2024FY 2023FY 2022
Period Ending
Jun '26 Mar '26 Mar '25 Mar '24 Mar '23 Mar '22
Free Cash Flow
41.7448.7325.0373.520.98-7.23
Free Cash Flow Per Share
3.193.731.865.321.40-0.48
Gross Margin
32.30%29.63%34.33%15.54%29.75%6.65%
Operating Margin
26.54%24.85%24.60%5.21%20.91%2.02%
Profit Margin
30.62%28.21%13.97%-32.31%7.85%-1.60%
Free Cash Flow Margin
21.67%21.45%23.99%107.75%24.22%-2.01%
EBITDA
51.2456.7526.414.3219.268.13
EBITDA Margin
26.61%24.98%25.32%6.33%22.24%2.27%
D&A For EBITDA
0.140.290.750.771.150.9
EBIT
51.156.4625.663.5518.117.23
EBIT Margin
26.54%24.85%24.60%5.21%20.91%2.02%
Effective Tax Rate
3.78%4.00%9.62%-8.57%-
Revenue as Reported
192.56227.22104.3268.2286.63359
Advertising Expenses
-0.110.04--2.55