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Bengal Energy Ltd.

Financial Statements (IFRS) · Amounts in CAD
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line Item Q3 2025Sep 30, 2025 Q2 2025Jun 30, 2025 Q1 2025Mar 31, 2025 Q4 2024Dec 31, 2024 Q3 2024Sep 30, 2024 Q2 2024Jun 30, 2024
Total Revenue 946,000 1.0M 973,000 1.4M 1.3M --
Operating Revenue 946,000 1.0M 973,000 1.4M 1.3M --
Cost Of Revenue 304,000 353,000 36,000 361,000 400,000 --
Gross Profit 642,000 690,000 937,000 1.1M 852,000 --
Selling General And Administration 501,000 492,000 551,000 651,000 726,000 --
General And Administrative Expense 501,000 492,000 551,000 651,000 726,000 --
Other Operating Expenses 759,000 383,000 814,000 678,000 634,000 --
Operating Expense 1.3M 875,000 1.4M 1.3M 1.4M --
Operating Income -618,000 -185,000 -428,000 -259,000 -508,000 --
EBIT -633,000 -206,000 -3.0M -284,000 -570,000 --
Interest Expense 45,000 52,000 24,000 86,000 38,000 --
Interest Expense Non Operating 45,000 52,000 24,000 86,000 38,000 --
Interest Income -- -- -- -- 0.00 --
Interest Income Non Operating -- -- -- -- 0.00 --
Net Interest Income -45,000 -52,000 -24,000 -86,000 -38,000 --
Other Income Expense -15,000 -21,000 -2.5M -25,000 -62,000 --
Special Income Charges -- -- -2.5M -73,000 -- --
Gain On Sale Of Security -15,000 -21,000 -11,000 48,000 -62,000 --
Pretax Income -678,000 -258,000 -3.0M -370,000 -608,000 --
Tax Effect Of Unusual Items 0.00 0.00 0.00 0.00 0.00 --
Net Income From Continuing And Discontinued Operation -678,000 -258,000 -3.0M -370,000 -608,000 --
Net Income From Continuing Operation Net Minority Interest -678,000 -258,000 -3.0M -370,000 -608,000 --
Net Income Including Noncontrolling Interests -678,000 -258,000 -3.0M -370,000 -608,000 --
Net Income Common Stockholders -678,000 -258,000 -3.0M -370,000 -608,000 --
Net Income -678,000 -258,000 -3.0M -370,000 -608,000 --
EBITDA -388,000 46,000 -3.0M -9,000 -290,000 --
Normalized EBITDA -373,000 67,000 -428,000 16,000 -228,000 --
Reconciled Depreciation 245,000 252,000 -53,000 275,000 280,000 --
Basic EPS 0.00 0.00 -- 0.00 0.00 0.00
Diluted EPS 0.00 0.00 -- 0.00 0.00 0.00
Basic Average Shares 485.3M 485.3M -- 485.3M 485.3M 485.3M
Diluted Average Shares 485.3M 485.3M -- 485.3M 485.3M 485.3M
Total Unusual Items -15,000 -21,000 -2.5M -25,000 -62,000 --
Total Unusual Items Excluding Goodwill -15,000 -21,000 -2.5M -25,000 -62,000 --
Tax Rate For Calcs 0.00 0.00 0.00 0.00 0.00 --
Normalized Income -663,000 -237,000 -452,000 -345,000 -546,000 --
Diluted NI Availto Com Stockholders -678,000 -258,000 -3.0M -370,000 -608,000 --
Gain On Sale Of Ppe -- -- 0.00 -73,000 -- --
Net Income Continuous Operations -678,000 -258,000 -3.0M -370,000 -608,000 --
Net Non Operating Interest Income Expense -45,000 -52,000 -24,000 -86,000 -38,000 --
Other Gand A 497,000 487,000 546,000 644,000 725,000 --
Reconciled Cost Of Revenue 304,000 353,000 36,000 361,000 400,000 --
Salaries And Wages 4,000 5,000 5,000 7,000 1,000 --
Total Expenses 1.6M 1.2M 1.4M 1.7M 1.8M --
Line Item Q3 2025Sep 30, 2025 Q2 2025Jun 30, 2025 Q1 2025Mar 31, 2025 Q4 2024Dec 31, 2024 Q3 2024Sep 30, 2024 Q2 2024Jun 30, 2024
Cash And Cash Equivalents 814,000 913,000 708,000 702,000 522,000 --
Cash Cash Equivalents And Short Term Investments 814,000 913,000 708,000 702,000 522,000 --
Accounts Receivable 1.7M 1.6M -- 1.9M 2.0M 2.3M
Receivables 1.7M 1.6M 1.7M 1.9M 2.0M --
Prepaid Assets 868,000 902,000 980,000 741,000 826,000 --
Current Assets 3.4M 3.4M 3.4M 3.3M 3.3M --
Gross PPE 65.8M 63.4M 63.8M 66.4M 70.9M --
Accumulated Depreciation -38.4M -36.6M -36.6M -36.2M -38.7M --
Net PPE 27.4M 26.8M 27.3M 30.2M 32.2M --
Total Non Current Assets 27.4M 26.8M 27.3M 30.2M 32.2M --
Total Assets 30.8M 30.2M 30.6M 33.6M 35.5M --
Current Debt -- -- -- 969,000 -- --
Current Debt And Capital Lease Obligation -- -- -- 969,000 -- --
Accounts Payable 2.1M 1.8M 1.8M 1.4M 3.2M --
Payables 2.1M 1.8M 1.8M 1.4M 3.2M --
Payables And Accrued Expenses 2.1M 1.8M 1.8M 1.4M 3.2M --
Current Liabilities 2.1M 1.8M 1.8M 2.4M 3.2M --
Long Term Debt 1.7M 1.7M 1.7M 704,000 -- --
Long Term Debt And Capital Lease Obligation 1.7M 1.7M 1.7M 704,000 -- --
Total Non Current Liabilities Net Minority Interest 4.9M 4.8M 4.8M 4.3M 3.8M --
Total Liabilities Net Minority Interest 7.1M 6.6M 6.6M 6.7M 6.9M --
Common Stock 118.8M 118.8M 118.8M 118.8M 118.8M --
Capital Stock 118.8M 118.8M 118.8M 118.8M 118.8M --
Additional Paid In Capital 8.2M 8.2M 8.2M 8.1M 8.1M --
Retained Earnings -101.0M -100.3M -100.0M -97.0M -96.7M --
Gains Losses Not Affecting Retained Earnings -2.3M -3.0M -2.9M -3.1M -1.7M --
Common Stock Equity 23.7M 23.7M 24.0M 26.9M 28.6M --
Stockholders Equity 23.7M 23.7M 24.0M 26.9M 28.6M --
Total Equity Gross Minority Interest 23.7M 23.7M 24.0M 26.9M 28.6M --
Total Capitalization 25.4M 25.4M 25.7M 27.6M 28.6M --
Net Tangible Assets 23.7M 23.7M 24.0M 26.9M 28.6M --
Tangible Book Value 23.7M 23.7M 24.0M 26.9M 28.6M --
Working Capital 1.3M 1.7M 1.6M 957,000 152,000 --
Invested Capital 25.4M 25.4M 25.7M 28.5M 28.6M --
Total Debt 1.7M 1.7M 1.7M 1.7M -- --
Net Debt 886,000 787,000 992,000 971,000 -- --
Share Issued 485.3M 485.3M 485.3M 485.3M 485.3M --
Ordinary Shares Number 485.3M 485.3M 485.3M 485.3M 485.3M --
Duefrom Related Parties Current -- -- 1.7M -- -- --
Long Term Provisions 3.2M 3.1M 3.1M 3.6M 3.8M --
Other Current Borrowings -- -- -- 969,000 -- --
Other Properties 490,000 490,000 490,000 490,000 490,000 --
Other Receivables -- -- 6,000 -- -- --
Properties 65.3M 62.9M 63.3M 65.9M 70.4M --
Line Item Q3 2025Sep 30, 2025 Q2 2025Jun 30, 2025 Q1 2025Mar 31, 2025 Q4 2024Dec 31, 2024 Q3 2024Sep 30, 2024 Q2 2024Jun 30, 2024
Operating Cash Flow -520,000 281,000 -270,000 298,000 -129,000 --
Cash Flow From Continuing Operating Activities -520,000 281,000 -270,000 298,000 -129,000 --
Depreciation And Amortization -- 1,000 0.00 -- -- 1,000
Depreciation Amortization Depletion 245,000 252,000 -53,000 275,000 280,000 --
Stock Based Compensation 4,000 5,000 5,000 7,000 1,000 --
Change In Working Capital -118,000 258,000 232,000 275,000 165,000 --
Other Non Cash Items 31,000 31,000 39,000 39,000 37,000 --
Capital Expenditure -56,000 -- -- -12,000 -9,000 -49,000
Purchase Of PPE -- -- -- -- -- -14,000
Net PPE Purchase And Sale 0.00 60,000 0.00 110,000 0.00 --
Investing Cash Flow 398,000 -68,000 1.8M -1.8M 83,000 --
Cash Flow From Continuing Investing Activities 398,000 -68,000 1.8M -1.8M 83,000 --
Repayment Of Debt -- -- 0.00 0.00 0.00 0.00
Net Issuance Payments Of Debt -- -- 1.7M 0.00 0.00 0.00
Financing Cash Flow 0.00 -2,000 -1.6M 1.7M 0.00 --
Cash Flow From Continuing Financing Activities 0.00 -2,000 -1.6M 1.7M 0.00 --
Effect Of Exchange Rate Changes 23,000 -6,000 4,000 -25,000 11,000 --
Changes In Cash -122,000 211,000 2,000 205,000 -46,000 --
Beginning Cash Position 913,000 708,000 702,000 522,000 557,000 --
End Cash Position 814,000 913,000 708,000 702,000 522,000 --
Free Cash Flow -576,000 281,000 -270,000 286,000 -138,000 --
Interest Paid Supplemental Data 45,000 -- 45,000 66,000 1,000 5,000
Capital Expenditure Reported -56,000 0.00 0.00 -12,000 -9,000 --
Depletion -- 251,000 -53,000 -- -- 378,000
Depreciation -- 1,000 0.00 -- -- 1,000
Gain Loss On Sale Of PPE -- -- 0.00 73,000 -- --
Long Term Debt Payments -- -- 0.00 0.00 0.00 0.00
Net Foreign Currency Exchange Gain Loss -4,000 -7,000 -30,000 -1,000 -4,000 --
Net Income From Continuing Operations -678,000 -258,000 -3.0M -370,000 -608,000 --
Net Intangibles Purchase And Sale -- -- 133,000 0.00 -- --
Net Long Term Debt Issuance -- -- 1.7M 0.00 0.00 0.00
Net Other Financing Charges -- -2,000 -3.3M 1.7M -- --
Net Other Investing Changes 454,000 -128,000 1.7M -1.9M 92,000 --
Operating Gains Losses -4,000 -7,000 -30,000 72,000 -4,000 --
Sale Of Intangibles -- -- 133,000 0.00 -- --
Sale Of PPE 0.00 60,000 0.00 110,000 0.00 --
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