Gratomic Inc. (TSXV: GRAT)
Canada flag Canada · Delayed Price · Currency is CAD
0.0500
-0.0050 (-9.09%)
Nov 21, 2024, 2:54 PM EST

Gratomic Cash Flow Statement

Millions CAD. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2023 FY 2022 FY 2021 FY 2020 FY 2019 2018 - 2014
Period Ending
Jun '24 Dec '23 Dec '22 Dec '21 Dec '20 Dec '19 2018 - 2014
Net Income
-3.92-5.31-8.16-21.31-3.64-3.24
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Depreciation & Amortization
---0.32--
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Loss (Gain) From Sale of Assets
-000.53--00
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Asset Writedown & Restructuring Costs
--0.26-0.54-
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Loss (Gain) From Sale of Investments
-----0.04
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Stock-Based Compensation
--1.1314.80.620.04
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Other Operating Activities
--0.04-0.62-0.07
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Change in Accounts Receivable
0.270.590.01-0.64-0.10.23
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Change in Accounts Payable
3.511.441.87-0.23-0.030.63
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Change in Other Net Operating Assets
0.090.010.24-0.11-0.240.44
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Operating Cash Flow
-0.05-3.27-4.07-7.17-2.24-1.93
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Capital Expenditures
-0.99-1.6-4.75-6.12-0.71-1.05
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Sale of Property, Plant & Equipment
00.010.25---
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Cash Acquisitions
----0.1--
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Investment in Securities
-----0.06
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Other Investing Activities
0.120.020.16-0.210.15-0.15
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Investing Cash Flow
-0.87-1.58-4.34-6.43-0.55-1.15
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Short-Term Debt Issued
-0.590.15---
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Long-Term Debt Issued
----1.5-
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Total Debt Issued
0.590.590.15-1.5-
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Total Debt Repaid
0.25-----
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Net Debt Issued (Repaid)
0.840.590.15-1.5-
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Issuance of Common Stock
-4.117.7413.492.560.6
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Other Financing Activities
0-0.05-0.23--0.290.04
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Financing Cash Flow
0.844.657.6613.493.770.64
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Miscellaneous Cash Flow Adjustments
-----0-
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Net Cash Flow
-0.08-0.2-0.75-0.10.98-2.43
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Free Cash Flow
-1.04-4.88-8.82-13.29-2.95-2.98
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Free Cash Flow Per Share
-0.01-0.02-0.05-0.09-0.06-0.09
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Levered Free Cash Flow
-0.08-2.81-5.85-4.92-2.31-1.68
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Unlevered Free Cash Flow
-0.07-2.81-5.85-4.92-2.18-1.68
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Change in Net Working Capital
-3.36-2.03-2.250.980.73-1.32
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Source: S&P Capital IQ. Standard template. Financial Sources.