QYOU Media Inc. (TSXV:QYOU)
Canada flag Canada · Delayed Price · Currency is CAD
0.3550
+0.0050 (1.43%)
Jun 5, 2026, 11:20 AM EST

QYOU Media Cash Flow Statement

Millions CAD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2021
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Jun '21
Net Income
-2.58-5.34-9.21-11.35-4.78-7.31
Depreciation & Amortization
0.361.6320.660.130.19
Stock-Based Compensation
1.912.292.083.292.282.34
Other Adjustments
1.581.01-0.092.070.24-0.14
Change in Receivables
-1.08-2.972.97-3.04-3.17-0.98
Changes in Accounts Payable
1.93.490.22.262.29-0.29
Changes in Unearned Revenue
0.54-0.030.11-0.240.19-0.01
Changes in Other Operating Activities
-1.24-0.260.161.67-2.64-0.12
Operating Cash Flow
1.61-0.19-1.79-4.68-5.46-6.31
Operating Cash Flow Growth
123.47%-----
Capital Expenditures
-0.03-0.06-0.09-0.11-0.06-0.03
Purchases of Intangible Assets
0.53-0.36-1.91-1.25-0.21-
Payments for Business Acquisitions
-0.82-0.54--0.57-0.11-1.88
Proceeds from Business Divestments
2.020.610---
Investing Cash Flow
1.57-0.35-1.99-1.94-0.38-1.91
Short-Term Debt Issued
0.135.131.47---
Short-Term Debt Repaid
-0.28-5.2-1.42---
Net Short-Term Debt Issued (Repaid)
-0.16-0.070.06---
Long-Term Debt Issued
1.972.18----
Long-Term Debt Repaid
-1.89-0.24-0.01--0-0.1
Net Long-Term Debt Issued (Repaid)
0.081.95-0.01--0-0.1
Issuance of Common Stock
2.091.631.943.753.2817.75
Net Common Stock Issued (Repurchased)
2.091.631.943.753.2817.75
Other Financing Activities
-0.73-0.58-0.32-0.26-0.09-0.15
Financing Cash Flow
3.412.931.673.483.1917.49
Effect of Exchange Rate Changes on Cash and Cash Equivalents
0.0300.020.090.17-0.3
Net Cash Flow
6.632.4-2.08-3.13-2.659.27
Free Cash Flow
1.59-0.25-1.88-4.79-5.52-6.34
FCF Margin
5.60%-0.79%-6.82%-17.62%-53.58%-151.65%
Free Cash Flow Per Share
0.00-0.00-0.00-0.01-0.01-0.02
Levered Free Cash Flow
-4.650.35-6.55-7.11-4.98-7.32
Unlevered Free Cash Flow
0.470.19-6.63-7.01-4.83-7.52