LSL Pharma Group Inc. (TSXV:LSL)
Canada flag Canada · Delayed Price · Currency is CAD
0.3900
-0.0150 (-3.70%)
At close: Nov 27, 2025

LSL Pharma Group Balance Sheet

Millions CAD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 20202019
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2019
Cash & Equivalents
-0.30.01-0.741.93
Upgrade
Cash & Short-Term Investments
-0.30.01-0.741.93
Upgrade
Cash Growth
-3600.00%---61.52%316.66%
Upgrade
Accounts Receivable
-4.82.550.971.122.22
Upgrade
Other Receivables
-0.150.130.070.220.19
Upgrade
Receivables
-4.962.681.041.332.4
Upgrade
Inventory
-9.124.112.964.172.13
Upgrade
Prepaid Expenses
-1.010.410.210.130.05
Upgrade
Other Current Assets
20.66--0.190.11-
Upgrade
Total Current Assets
20.6615.387.24.46.486.51
Upgrade
Property, Plant & Equipment
24.8322.9414.7513.9212.8910.3
Upgrade
Goodwill
-0.16----
Upgrade
Other Intangible Assets
14.3313.278.938.989.399.81
Upgrade
Long-Term Deferred Tax Assets
-0.22---0.1
Upgrade
Other Long-Term Assets
0.381.540.020.020.280.46
Upgrade
Total Assets
60.1953.5130.927.3129.0327.18
Upgrade
Accounts Payable
-4.54.924.542.542.47
Upgrade
Accrued Expenses
-0.691.061.581.171.64
Upgrade
Short-Term Debt
6.342.563.772.91--
Upgrade
Current Portion of Long-Term Debt
-1.455.221.581.896.03
Upgrade
Current Portion of Leases
-0.450.120.140.190.24
Upgrade
Current Unearned Revenue
---0.01-0.51
Upgrade
Other Current Liabilities
7.2--0.871.461.66
Upgrade
Total Current Liabilities
13.549.6515.0711.627.2512.55
Upgrade
Long-Term Debt
15.2612.754.737.847.983.36
Upgrade
Long-Term Leases
-4.432.442.562.690.94
Upgrade
Long-Term Deferred Tax Liabilities
-1.79----
Upgrade
Total Liabilities
34.8128.6222.2522.0217.9216.84
Upgrade
Common Stock
25.3836.3924.215.0512.8110.26
Upgrade
Additional Paid-In Capital
-3.052.32---
Upgrade
Retained Earnings
--14.92-18.23-9.76-1.70.08
Upgrade
Comprehensive Income & Other
-0.380.38---
Upgrade
Shareholders' Equity
25.3824.898.665.2911.1110.34
Upgrade
Total Liabilities & Equity
60.1953.5130.927.3129.0327.18
Upgrade
Total Debt
21.621.6416.2715.0312.7410.57
Upgrade
Net Cash (Debt)
-21.6-21.34-16.26-15.03-12-8.64
Upgrade
Net Cash Per Share
-0.19-0.20-0.20-0.23-0.20-0.16
Upgrade
Filing Date Shares Outstanding
115.53115.5382.4468.0962.6654.89
Upgrade
Total Common Shares Outstanding
115.53115.5382.4468.0962.6654.89
Upgrade
Working Capital
7.125.72-7.87-7.22-0.78-6.04
Upgrade
Book Value Per Share
0.220.220.100.080.180.19
Upgrade
Tangible Book Value
11.0511.46-0.28-3.691.720.54
Upgrade
Tangible Book Value Per Share
0.100.10-0.00-0.050.030.01
Upgrade
Land
-0.560.280.280.280.28
Upgrade
Buildings
-5.613.973.913.633.51
Upgrade
Machinery
-11.416.025.555.334.73
Upgrade
Construction In Progress
---1.770.47-
Upgrade
Leasehold Improvements
-3.993.710.930.930.82
Upgrade
Source: S&P Global Market Intelligence. Standard template. Financial Sources.