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Champion Bear Resources Ltd.

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 1,171 1,195 465.00 2,794
Gross Profit -1,171 -1,195 -465.00 -2,794
Selling General And Administration 436,083 313,241 204,860 276,230
General And Administrative Expense 436,083 312,861 204,860 261,880
Other Operating Expenses 43,080 53,066 55,915 69,488
Operating Expense 479,163 366,307 260,775 345,718
Operating Income -480,334 -367,502 -261,240 -348,512
EBIT -480,334 -292,502 -261,240 -323,512
Interest Expense 12,679 19,860 120.00 14,172
Interest Expense Non Operating 12,679 19,860 120.00 14,172
Net Interest Income -12,679 -19,860 -120.00 -14,172
Other Income Expense -- 75,000 -- 25,000
Other Non Operating Income Expenses -- -- -- 25,000
Gain On Sale Of Security -- 75,000 -- --
Pretax Income -493,013 -312,362 -261,360 -337,684
Tax Effect Of Unusual Items 0.00 0.00 0.00 0.00
Net Income From Continuing And Discontinued Operation -493,013 -312,362 -261,360 -337,684
Net Income From Continuing Operation Net Minority Interest -493,013 -312,362 -261,360 -337,684
Net Income Including Noncontrolling Interests -493,013 -312,362 -261,360 -337,684
Net Income Common Stockholders -493,013 -312,362 -261,360 -337,684
Net Income -493,013 -312,362 -261,360 -337,684
EBITDA -479,163 -291,307 -260,775 -320,718
Normalized EBITDA -479,163 -366,307 -260,775 -320,718
Reconciled Depreciation 1,171 1,195 465.00 2,794
Basic EPS -0.01 -0.01 -0.01 -0.01
Diluted EPS -0.01 -0.01 -0.01 -0.01
Basic Average Shares 62.6M 60.4M 58.2M 56.5M
Diluted Average Shares 62.6M 60.4M 58.2M 56.5M
Total Unusual Items -- 75,000 -- --
Total Unusual Items Excluding Goodwill -- 75,000 -- --
Tax Rate For Calcs 0.00 0.00 0.00 0.00
Normalized Income -493,013 -387,362 -261,360 -337,684
Diluted NI Availto Com Stockholders -493,013 -312,362 -261,360 -337,684
Net Income Continuous Operations -493,013 -312,362 -261,360 -337,684
Net Non Operating Interest Income Expense -12,679 -19,860 -120.00 -14,172
Other Gand A 341,185 251,346 195,906 209,167
Reconciled Cost Of Revenue 1,171 1,195 465.00 2,794
Salaries And Wages 94,898 61,515 8,954 52,713
Selling And Marketing Expense 0.00 380.00 0.00 14,350
Total Expenses 480,334 367,502 261,240 348,512
Total Operating Income As Reported -493,013 -387,362 -261,360 -362,684
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Cash And Cash Equivalents 788.00 4,549 5,085 631.00
Cash Cash Equivalents And Short Term Investments 788.00 4,549 5,085 631.00
Cash Financial 788.00 4,549 5,085 631.00
Receivables 5,431 2,133 1,961 10,759
Prepaid Assets 10,000 10,000 10,000 0.00
Current Assets 16,219 16,682 17,046 11,390
Gross PPE 5.4M 5.4M 5.4M 5.3M
Accumulated Depreciation -369,747 -368,576 -367,382 -366,917
Net PPE 5.0M 5.0M 5.0M 4.9M
Total Non Current Assets 5.0M 5.0M 5.0M 4.9M
Total Assets 5.0M 5.0M 5.0M 4.9M
Current Debt 435,997 -- 300,759 --
Current Debt And Capital Lease Obligation 435,997 -- 300,759 --
Accounts Payable 150,932 151,268 94,486 442,228
Payables 1.4M 2.1M 1.9M 2.2M
Payables And Accrued Expenses 2.3M 3.0M 2.8M 3.1M
Current Accrued Expenses 898,660 898,660 898,660 898,660
Current Liabilities 2.8M 3.0M 2.8M 3.1M
Long Term Debt -- 311,547 300,759 --
Long Term Debt And Capital Lease Obligation -- 311,547 300,759 --
Total Non Current Liabilities Net Minority Interest 0.00 311,547 300,759 0.00
Total Liabilities Net Minority Interest 2.8M 3.3M 3.1M 3.1M
Common Stock 28.3M 27.3M 27.3M 26.8M
Capital Stock 28.3M 27.3M 27.3M 26.8M
Retained Earnings -30.8M -30.3M -30.0M -29.7M
Gains Losses Not Affecting Retained Earnings 4.8M 4.7M 4.6M 4.7M
Other Equity Adjustments 4.8M 4.7M 4.6M 4.7M
Common Stock Equity 2.3M 1.7M 1.9M 1.8M
Stockholders Equity 2.3M 1.7M 1.9M 1.8M
Total Equity Gross Minority Interest 2.3M 1.7M 1.9M 1.8M
Total Capitalization 2.3M 2.0M 2.2M 1.8M
Net Tangible Assets 2.3M 1.7M 1.9M 1.8M
Tangible Book Value 2.3M 1.7M 1.9M 1.8M
Working Capital -2.7M -3.0M -2.8M -3.1M
Invested Capital 2.7M 2.0M 2.2M 1.8M
Total Debt 435,997 311,547 300,759 --
Net Debt 435,209 306,998 295,674 --
Share Issued 75.2M 60.4M 59.8M 56.6M
Ordinary Shares Number 75.2M 60.4M 59.8M 56.6M
Current Notes Payable 435,997 0.00 300,759 0.00
Current Provisions -- -- -- 898,660
Dueto Related Parties Current 1.3M 1.9M 1.8M 1.8M
Machinery Furniture Equipment 166,715 166,715 166,715 166,715
Other Properties 41,359 41,359 41,359 41,359
Taxes Receivable 5,431 2,133 1,961 10,759
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Operating Cash Flow -276,128 -182,254 -254,677 -305,700
Cash Flow From Continuing Operating Activities -276,128 -182,254 -254,677 -305,701
Depreciation And Amortization 1,171 1,195 465.00 2,794
Depreciation Amortization Depletion 1,171 1,195 465.00 2,794
Stock Based Compensation 94,898 61,515 8,954 52,713
Change In Working Capital 120,816 67,398 -2,736 -23,524
Change In Receivables -3,298 -172.00 8,798 -10,759
Change In Payables And Accrued Expense 124,114 67,570 -1,534 -12,765
Change In Payable 124,114 67,570 -1,534 -12,765
Change In Other Current Liabilities -- 10,788 0.00 --
Other Non Cash Items -- -1.00 -1.00 1.00
Capital Expenditure -9,715 -9,332 -67,959 -55,693
Purchase Of PPE -- -9,332 -67,959 -55,693
Net PPE Purchase And Sale -- -9,332 -67,959 -55,693
Investing Cash Flow -9,715 -9,332 -67,959 -55,693
Cash Flow From Continuing Investing Activities -9,715 -9,332 -67,959 -55,693
Issuance Of Debt -- 358,964 361,440 378,566
Repayment Of Debt -- -167,914 -34,350 -46,400
Net Issuance Payments Of Debt -- 358,964 361,440 378,566
Financing Cash Flow 282,082 191,050 327,090 358,566
Cash Flow From Continuing Financing Activities 282,082 191,050 327,090 358,566
Changes In Cash -3,761 -536.00 4,454 -2,827
Beginning Cash Position 4,549 5,085 631.00 3,458
End Cash Position 788.00 4,549 5,085 631.00
Free Cash Flow -285,843 -191,586 -322,636 -361,393
Capital Expenditure Reported -9,715 -9,332 -- --
Change In Account Payable -336.00 56,782 -1,534 -12,765
Change In Prepaid Assets -- 0.00 -10,000 0.00
Depreciation 1,171 1,195 465.00 2,794
Long Term Debt Issuance -- 358,964 361,440 378,566
Long Term Debt Payments -- -167,914 -34,350 -46,400
Net Income From Continuing Operations -493,013 -312,362 -261,360 -337,684
Net Long Term Debt Issuance -- 358,964 361,440 378,566
Net Other Financing Charges 282,082 191,050 -34,350 -46,400
Proceeds From Stock Option Exercised -- -- 0.00 26,400
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