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Adex Mining Inc.

Financial Statements (IFRS) · Amounts in CAD
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Total Revenue 0.00 0.00 0.00 0.00
Operating Revenue 0.00 0.00 0.00 0.00
Cost Of Revenue 443,527 367,723 302,549 353,738
Gross Profit -443,527 -367,723 -302,549 -353,738
Selling General And Administration 288,569 203,848 295,442 318,057
General And Administrative Expense 288,569 203,848 295,442 318,057
Other Operating Expenses -- -- 302,549 353,738
Operating Expense 288,569 203,848 295,442 318,057
Operating Income -732,096 -571,571 -597,991 -671,795
EBIT -25.3M -355,860 -917,189 -683,577
Interest Expense 474,137 411,826 362,319 263,476
Interest Expense Non Operating 474,137 411,826 362,319 263,476
Interest Income 57,288 55,986 19,058 616.00
Interest Income Non Operating 57,288 55,986 19,058 616.00
Net Interest Income -416,849 -355,840 -343,261 -262,860
Other Income Expense -24.7M 159,725 -338,256 -12,398
Other Non Operating Income Expenses -5,758 -- -- --
Special Income Charges -24.0M 0.00 -- --
Gain On Sale Of Security -679,611 159,725 -338,256 -12,398
Pretax Income -25.8M -767,686 -1.3M -947,053
Tax Provision 0.00 0.00 -- --
Tax Effect Of Unusual Items 0.00 0.00 0.00 0.00
Net Income From Continuing And Discontinued Operation -25.8M -767,686 -1.3M -947,053
Net Income From Continuing Operation Net Minority Interest -25.8M -767,686 -1.3M -947,053
Net Income Including Noncontrolling Interests -25.8M -767,686 -1.3M -947,053
Net Income Common Stockholders -25.8M -767,686 -1.3M -947,053
Net Income -25.8M -767,686 -1.3M -947,053
EBITDA -25.3M -316,428 -877,757 -638,750
Normalized EBITDA -635,384 -476,153 -539,501 -626,352
Reconciled Depreciation 45,182 39,432 39,432 44,827
Basic EPS -0.04 -0.00 -0.00 -0.00
Diluted EPS -0.04 -0.00 -0.00 -0.00
Basic Average Shares 677.2M 677.2M 677.2M 677.2M
Diluted Average Shares 677.2M 677.2M 677.2M 677.2M
Total Unusual Items -24.6M 159,725 -338,256 -12,398
Total Unusual Items Excluding Goodwill -24.6M 159,725 -338,256 -12,398
Tax Rate For Calcs 0.00 0.00 0.00 0.00
Normalized Income -1.2M -927,411 -941,252 -934,655
Diluted NI Availto Com Stockholders -25.8M -767,686 -1.3M -947,053
Gain On Sale Of Ppe 9,500 0.00 -- --
Impairment Of Capital Assets 24.0M 0.00 -- --
Insurance And Claims 33,308 32,702 30,989 28,828
Net Income Continuous Operations -25.8M -767,686 -1.3M -947,053
Net Non Operating Interest Income Expense -416,849 -355,840 -343,261 -262,860
Other Gand A 139,115 118,783 148,391 155,915
Reconciled Cost Of Revenue 443,527 367,723 302,549 353,738
Rent And Landing Fees 3,627 3,348 3,358 3,576
Rent Expense Supplemental -7,373 -46,652 -50,242 3,576
Salaries And Wages 112,519 49,015 112,704 129,738
Total Expenses 732,096 571,571 597,991 671,795
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Cash And Cash Equivalents 200,733 83,724 89,608 90,224
Cash Cash Equivalents And Short Term Investments 200,733 83,724 89,608 90,224
Cash Financial 200,733 83,724 89,608 90,224
Receivables 6,749 19,494 10,505 34,114
Prepaid Assets 57,203 86,659 33,595 28,326
Current Assets 264,685 189,877 133,708 152,664
Gross PPE 927,141 931,141 -- 733,981
Accumulated Depreciation -448,209 -418,527 -- -142,503
Net PPE 478,932 512,614 552,046 591,478
Other Non Current Assets 1.2M 1.1M 1.1M 1.1M
Total Non Current Assets 1.7M 1.7M 1.6M 1.7M
Total Assets 1.9M 1.8M 1.8M 1.8M
Current Debt -- -- 4.6M --
Current Debt And Capital Lease Obligation -- -- 80,000 --
Accounts Payable 36,085 87,323 114,891 126,494
Payables 36,085 87,323 114,891 126,494
Payables And Accrued Expenses 72,380 111,301 232,826 1.1M
Current Accrued Expenses 36,295 23,978 117,935 1.0M
Current Liabilities 72,380 111,301 312,826 1.1M
Long Term Debt 6.5M 5.2M 4.5M 3.8M
Long Term Debt And Capital Lease Obligation 6.5M 5.2M 4.5M 3.8M
Total Non Current Liabilities Net Minority Interest 32.8M 6.9M 5.8M 3.8M
Total Liabilities Net Minority Interest 32.9M 7.0M 6.2M 4.9M
Common Stock 55.9M 55.9M 55.9M 55.9M
Capital Stock 55.9M 55.9M 55.9M 55.9M
Additional Paid In Capital 2.9M 2.9M 2.9M 2.9M
Retained Earnings -89.7M -63.9M -63.2M -61.9M
Common Stock Equity -31.0M -5.2M -4.4M -3.1M
Stockholders Equity -31.0M -5.2M -4.4M -3.1M
Total Equity Gross Minority Interest -31.0M -5.2M -4.4M -3.1M
Total Capitalization -24.4M 58,061 145,851 690,279
Net Tangible Assets -31.0M -5.2M -4.4M -3.1M
Tangible Book Value -31.0M -5.2M -4.4M -3.1M
Working Capital 192,305 78,576 -179,118 -976,052
Invested Capital -24.4M 58,061 145,851 690,279
Total Debt 6.5M 5.2M 4.6M 3.8M
Net Debt 6.3M 5.1M 4.4M 3.7M
Share Issued 677.2M 677.2M 677.2M 677.2M
Ordinary Shares Number 677.2M 677.2M 677.2M 677.2M
Interest Payable -- -- 1.3M 910,574
Liabilities Heldfor Sale Non Current 24.0M 0.00 -- --
Long Term Provisions 24.0M -- -- --
Machinery Furniture Equipment -- -- -- 142,503
Non Current Accrued Expenses 2.3M 1.7M 1.3M 910,574
Non Current Prepaid Assets 2,537 7,757 8,758 9,758
Other Current Borrowings -- -- 4.6M --
Other Properties 138,503 142,503 -- 591,478
Taxes Receivable 6,749 19,494 10,505 34,114
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Operating Cash Flow -630,883 -660,077 -505,477 -642,648
Cash Flow From Continuing Operating Activities -630,883 -660,077 -505,477 -642,647
Depreciation And Amortization 45,182 39,432 39,432 44,827
Depreciation Amortization Depletion 45,182 39,432 39,432 44,827
Change In Working Capital 8,500 -182,577 34,024 -16,295
Change In Receivables 12,745 -8,989 23,609 -11,156
Change In Payables And Accrued Expense -38,921 -121,525 14,684 -2,263
Other Non Cash Items 470,138 410,479 362,319 263,475
Capital Expenditure -11,500 -- -- --
Purchase Of PPE -11,500 0.00 -- --
Net PPE Purchase And Sale -2,000 0.00 -- --
Investing Cash Flow -53,823 -52,886 -18,071 -302.00
Cash Flow From Continuing Investing Activities -53,823 -52,886 -18,071 -302.00
Issuance Of Debt 801,715 707,079 522,933 694,422
Net Issuance Payments Of Debt 801,715 707,079 522,933 694,422
Financing Cash Flow 801,715 707,079 522,933 694,422
Cash Flow From Continuing Financing Activities 801,715 707,079 522,933 694,422
Changes In Cash 117,009 -5,884 -616.00 51,472
Beginning Cash Position 83,724 89,608 90,224 38,752
End Cash Position 200,733 83,724 89,608 90,224
Free Cash Flow -642,383 -660,077 -505,477 -642,648
Asset Impairment Charge 24.0M 0.00 -- --
Change In Prepaid Assets 34,676 -52,063 -4,269 -2,876
Depreciation 45,182 39,432 39,432 44,827
Gain Loss On Sale Of PPE -9,500 0.00 -- --
Long Term Debt Issuance 801,715 707,079 522,933 694,422
Net Foreign Currency Exchange Gain Loss 679,611 -159,725 338,256 12,398
Net Income From Continuing Operations -25.8M -767,686 -1.3M -947,053
Net Long Term Debt Issuance 801,715 707,079 522,933 694,422
Net Other Investing Changes -51,823 -52,886 -18,071 -302.00
Operating Gains Losses 670,111 -159,725 338,256 12,398
Sale Of PPE 9,500 0.00 -- --
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