Fundamentals

Select the financial statements you wish to view below.  The reports below may be viewed on either an annual or quarterly basis.

TSXWILD
All numbers in thousands CAD
Period Ending
Mar 31, 2024
Dec 31, 2023
Sep 30, 2023
Jun 30, 2023
Net Income
(14,741)
4,997
(15,515)
(44,403)
Operating Activities, Cash Flows Provided By or Used In
Depreciation
8,460
8,559
8,423
8,701
Changes In Accounts Receivables
56,177
(19,130)
19,130
1,287
Changes In Assets and Liabilities
(3,231)
22,660
(22,660)
27,727
Changes In Inventories
--
--
--
--
Changes In Other Operating Activities
(23,384)
31,694
7,659
37,120
Total Cash Flow From Operating Activities
23,281
48,780
(2,963)
30,432
Investing Activities, Cash Flows Provided By or Used In
Capital Expenditures
--
--
--
--
Investments
--
--
--
--
Other Cash flows from Investing Activities
(1,119)
(415)
(4,067)
(592)
Total Cash Flows From Investing Activities
(1,119)
(415)
(4,067)
(592)
Financing Activities, Cash Flows Provided By or Used In
Dividends Paid
8,329
3,964
4,629
7,299
Sale/Purchase of Stock
--
2,981
(636)
(2,164)
Net Borrowings
(3,657)
(1,756)
1,595
(11,226)
Other Cash Flows from Financing Activities
(31,919)
(31,016)
(24,617)
(18,012)
Total Cash Flows From Financing Activities
(27,247)
(25,827)
(19,029)
(24,103)
Effect Of Exchange Rate Changes
467
(379)
(122)
(910)
Change In Cash and Cash Equivalents
(5,085)
22,538
(26,059)
4,827