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Belmont Resources Inc.

Financial Statements (IFRS) · Amounts in CAD
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line Item FY 2025Jan 31, 2025 FY 2024Jan 31, 2024 FY 2023Jan 31, 2023 FY 2022Jan 31, 2022
Total Revenue 0.00 0.00 0.00 0.00
Operating Revenue 0.00 0.00 0.00 0.00
Cost Of Revenue 3,480 3,356 3,179 3,055
Gross Profit -3,480 -3,356 -3,179 -3,055
Selling General And Administration 313,615 522,244 505,699 459,278
General And Administrative Expense 311,819 512,933 470,094 419,454
Other Operating Expenses 36,673 55,581 55,583 54,936
Operating Expense 350,288 577,825 561,282 514,214
Operating Income -353,768 -581,181 -564,461 -517,269
EBIT -503,627 -556,418 -535,946 -517,269
Interest Expense 0.00 14,217 0.00 0.00
Interest Expense Non Operating 0.00 14,217 0.00 0.00
Interest Income 4,114 0.00 -- --
Interest Income Non Operating 4,114 0.00 -- --
Net Interest Income 4,114 -14,217 0.00 0.00
Other Income Expense -153,973 24,763 28,515 189,314
Other Non Operating Income Expenses -- -- 26,605 105,230
Special Income Charges -161,652 24,974 -119,222 -83,126
Write Off 0.00 -24,974 2,703 82,842
Gain On Sale Of Security 7,679 -211.00 121,132 167,210
Pretax Income -503,627 -570,635 -535,946 -327,955
Tax Provision 166,493 0.00 -- --
Tax Effect Of Unusual Items -23,096 0.00 0.00 0.00
Net Income From Continuing And Discontinued Operation -670,120 -570,635 -535,946 -327,955
Net Income From Continuing Operation Net Minority Interest -670,120 -570,635 -535,946 -327,955
Net Income Including Noncontrolling Interests -670,120 -570,635 -535,946 -327,955
Net Income Common Stockholders -670,120 -570,635 -535,946 -327,955
Net Income -670,120 -570,635 -535,946 -327,955
EBITDA -500,147 -553,062 -532,767 -514,214
Normalized EBITDA -346,174 -577,825 -534,677 -598,298
Reconciled Depreciation 3,480 3,356 3,179 3,055
Basic EPS -0.01 -0.01 -0.01 -0.01
Diluted EPS -0.01 -0.01 -0.01 -0.01
Basic Average Shares 101.2M 72.1M 63.9M 47.7M
Diluted Average Shares 101.2M 72.1M 63.9M 47.7M
Total Unusual Items -153,973 24,763 1,910 84,084
Total Unusual Items Excluding Goodwill -153,973 24,763 1,910 84,084
Tax Rate For Calcs 0.15 0.00 0.00 0.00
Normalized Income -539,243 -595,398 -537,856 -412,039
Diluted NI Availto Com Stockholders -670,120 -570,635 -535,946 -327,955
Gain On Sale Of Ppe 134.00 0.00 0.00 -284.00
Impairment Of Capital Assets 161,786 0.00 116,519 0.00
Net Income Continuous Operations -670,120 -570,635 -535,946 -327,955
Net Non Operating Interest Income Expense 4,114 -14,217 0.00 0.00
Other Gand A 58,699 150,609 171,561 107,892
Reconciled Cost Of Revenue 3,480 3,356 3,179 3,055
Rent And Landing Fees 19,517 18,782 18,060 18,000
Rent Expense Supplemental 19,517 18,782 18,060 18,000
Salaries And Wages 233,603 343,542 280,473 293,562
Selling And Marketing Expense 1,796 9,311 35,605 39,824
Total Expenses 353,768 581,181 564,461 517,269
Line Item FY 2025Jan 31, 2025 FY 2024Jan 31, 2024 FY 2023Jan 31, 2023 FY 2022Jan 31, 2022
Cash And Cash Equivalents 529,882 223,242 145,219 379,527
Cash Cash Equivalents And Short Term Investments 567,482 301,742 260,381 619,087
Cash Financial 529,882 223,242 -- 379,527
Other Short Term Investments 37,600 78,500 115,162 239,560
Accounts Receivable 2,114 6,816 5,543 12,749
Receivables 2,114 6,816 5,543 12,749
Prepaid Assets 4,280 8,641 5,502 8,044
Current Assets 573,876 317,199 271,426 639,880
Gross PPE 1.8M 2.9M 2.3M 2.0M
Accumulated Depreciation -- -- -46,132 -42,953
Net PPE 1.8M 2.9M 2.3M 1.9M
Other Non Current Assets 97,954 97,954 97,954 97,954
Total Non Current Assets 1.9M 3.0M 2.4M 2.0M
Total Assets 2.5M 3.3M 2.7M 2.7M
Accounts Payable 23,106 160,300 38,295 33,272
Payables 70,106 580,611 301,923 401,022
Payables And Accrued Expenses 105,106 621,053 346,423 421,022
Current Accrued Expenses 35,000 40,442 44,500 20,000
Other Current Liabilities -- -- -- 26,605
Current Liabilities 105,106 621,053 346,423 447,627
Total Non Current Liabilities Net Minority Interest 0.00 0.00 0.00 0.00
Total Liabilities Net Minority Interest 105,106 621,053 346,423 447,627
Common Stock 26.6M 26.2M 25.4M 24.6M
Capital Stock 26.6M 26.2M 25.4M 24.6M
Retained Earnings -25.8M -25.1M -24.6M -24.0M
Gains Losses Not Affecting Retained Earnings 1.5M 1.6M 1.5M 1.6M
Common Stock Equity 2.4M 2.7M 2.3M 2.2M
Stockholders Equity 2.4M 2.7M 2.3M 2.2M
Total Equity Gross Minority Interest 2.4M 2.7M 2.3M 2.2M
Total Capitalization 2.4M 2.7M 2.3M 2.2M
Net Tangible Assets 2.4M 2.7M 2.3M 2.2M
Tangible Book Value 2.4M 2.7M 2.3M 2.2M
Working Capital 468,770 -303,854 -74,997 192,253
Invested Capital 2.4M 2.7M 2.3M 2.2M
Share Issued 102.2M 92.7M 63.9M 52.5M
Ordinary Shares Number 102.2M 92.7M 63.9M 52.5M
Buildings And Improvements -- -- 27,507 27,507
Duefrom Related Parties Non Current -- -- -- 0.00
Dueto Related Parties Current 0.00 246,683 90,000 111,500
Machinery Furniture Equipment -- -- 3,330 3,330
Other Payable -- 173,628 173,628 256,250
Total Tax Payable 47,000 0.00 -- --
Line Item FY 2025Jan 31, 2025 FY 2024Jan 31, 2024 FY 2023Jan 31, 2023 FY 2022Jan 31, 2022
Operating Cash Flow -893,966 -266,943 -543,255 -239,015
Cash Flow From Continuing Operating Activities -893,966 -266,943 -543,255 -239,015
Depreciation And Amortization 3,480 3,356 3,179 3,055
Depreciation Amortization Depletion 3,480 3,356 3,179 3,055
Stock Based Compensation 26,836 85,772 85,922 98,250
Change In Working Capital -409,556 200,124 -67,895 176,549
Changes In Account Receivables -- -- 7,206 30,062
Change In Receivables 4,702 -1,273 7,206 30,062
Change In Payables And Accrued Expense -418,619 203,536 -77,643 173,097
Change In Payable -418,619 203,536 -77,643 --
Change In Other Working Capital -- -- -24,203 -20,499
Other Non Cash Items -- 14,217 -26,605 -105,230
Capital Expenditure -125,410 -512,711 -657,824 -551,704
Purchase Of PPE 0.00 -2,033 0.00 -1,426
Net PPE Purchase And Sale 1,076 -2,033 0.00 -1,426
Sale Of Investment -- 0.00 84,240 402.00
Net Investment Purchase And Sale -- 0.00 84,240 402.00
Investing Cash Flow 812,480 -512,711 -363,414 -354,802
Cash Flow From Continuing Investing Activities 812,480 -512,711 -363,414 -354,802
Issuance Of Debt 0.00 420,000 0.00 --
Repayment Of Debt -- -- -- 0.00
Net Issuance Payments Of Debt 0.00 420,000 0.00 0.00
Issuance Of Capital Stock 383,000 444,000 677,575 555,042
Net Common Stock Issuance 383,000 444,000 677,575 555,042
Financing Cash Flow 381,000 857,900 665,390 528,266
Cash Flow From Continuing Financing Activities 381,000 857,900 665,390 528,266
Effect Of Exchange Rate Changes 7,126 -223.00 6,971 3,492
Changes In Cash 299,514 78,246 -241,279 -65,551
Beginning Cash Position 223,242 145,219 379,527 441,586
End Cash Position 529,882 223,242 145,219 379,527
Free Cash Flow -1.0M -779,654 -1.2M -790,719
Amortization Cash Flow 3,480 3,356 3,179 3,055
Amortization Of Intangibles 3,480 3,356 3,179 3,055
Asset Impairment Charge 161,786 0.00 119,222 82,842
Capital Expenditure Reported -125,410 -510,678 -657,824 -550,278
Change In Account Payable -124,936 49,353 -53,440 --
Change In Income Tax Payable -47,000 0.00 -- --
Change In Prepaid Assets 4,361 -2,139 2,542 -6,111
Change In Tax Payable -47,000 0.00 -- --
Common Stock Issuance 383,000 444,000 677,575 555,042
Depreciation -- -- 3,179 3,055
Gain Loss On Investment Securities 600.00 -- -131,648 -163,475
Gain Loss On Sale Of PPE 134.00 0.00 0.00 284.00
Long Term Debt Payments -- -- -- 0.00
Net Foreign Currency Exchange Gain Loss -7,126 223.00 10,516 -3,335
Net Income From Continuing Operations -670,120 -570,635 -535,946 -327,955
Net Intangibles Purchase And Sale 779,680 0.00 -- --
Net Long Term Debt Issuance -- -- -- 0.00
Net Other Financing Charges -2,000 -6,100 -12,185 -26,776
Net Other Investing Changes 157,134 -510,678 210,170 196,500
Net Short Term Debt Issuance 0.00 420,000 0.00 --
Operating Gains Losses -6,392 223.00 -121,132 -166,526
Sale Of Intangibles 779,680 0.00 -- --
Sale Of PPE 1,076 0.00 0.00 -1,426
Short Term Debt Issuance 0.00 420,000 0.00 --
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