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CEMATRIX Corporation

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
Total Revenue 15.3M 10.6M 6.6M 10.3M 10.1M
Operating Revenue 15.3M 10.6M 6.6M 10.3M 10.1M
Cost Of Revenue 10.0M 6.5M 5.2M 7.4M 7.3M
Gross Profit 5.3M 4.1M 1.4M 3.0M 2.8M
Selling General And Administration 2.5M 2.5M 2.5M 2.5M 2.2M
General And Administrative Expense 2.5M 2.5M 2.5M 2.5M 2.2M
Operating Expense 2.5M 2.5M 2.5M 2.5M 2.2M
Operating Income 2.8M 1.7M -1.0M 501,000 601,000
EBIT 2.9M 1.6M -981,000 737,000 730,000
Interest Expense 82,000 80,000 72,000 72,000 56,000
Interest Expense Non Operating 82,000 80,000 72,000 72,000 56,000
Interest Income 47,000 54,000 56,000 84,000 66,000
Interest Income Non Operating 47,000 54,000 56,000 84,000 66,000
Net Interest Income -41,000 -25,000 -26,000 5,000 10,000
Other Income Expense 56,000 -131,000 -7,000 159,000 63,000
Other Non Operating Income Expenses 1,000 3,000 -3,000 191,000 --
Special Income Charges 0.00 0.00 0.00 0.00 60,000
Gain On Sale Of Security 55,000 -134,000 -4,000 48,000 3,000
Pretax Income 2.8M 1.5M -1.1M 665,000 674,000
Tax Provision 873,000 191,000 -147,000 -99,000 -36,000
Tax Effect Of Unusual Items 17,259 -16,805 -558.40 7,200 9,450
Net Income From Continuing And Discontinued Operation 1.9M 1.3M -906,000 764,000 710,000
Net Income From Continuing Operation Net Minority Interest 1.9M 1.3M -906,000 764,000 710,000
Net Income Including Noncontrolling Interests 1.9M 1.3M -906,000 764,000 710,000
Net Income Common Stockholders 1.9M 1.3M -906,000 764,000 710,000
Net Income 1.9M 1.3M -906,000 764,000 710,000
EBITDA 3.5M 2.2M -387,000 1.3M 1.3M
Normalized EBITDA 3.4M 2.3M -383,000 1.3M 1.2M
Reconciled Depreciation 603,000 592,000 594,000 568,000 572,000
Basic EPS 0.01 0.01 -0.01 -- 0.01
Diluted EPS 0.01 0.01 -0.01 -- 0.01
Basic Average Shares 150.2M 150.6M 150.5M -- 146.0M
Diluted Average Shares 153.6M 153.9M 150.5M -- 148.7M
Total Unusual Items 55,000 -134,000 -4,000 48,000 63,000
Total Unusual Items Excluding Goodwill 55,000 -134,000 -4,000 48,000 63,000
Tax Rate For Calcs 0.31 0.13 0.14 0.15 0.15
Normalized Income 1.9M 1.4M -902,558 723,200 656,450
Diluted NI Availto Com Stockholders 1.9M 1.3M -906,000 764,000 710,000
Gain On Sale Of Ppe 0.00 0.00 0.00 0.00 60,000
Net Income Continuous Operations 1.9M 1.3M -906,000 764,000 710,000
Net Non Operating Interest Income Expense -41,000 -25,000 -26,000 5,000 10,000
Other Gand A 2.4M 2.4M 2.1M 2.4M 2.1M
Reconciled Cost Of Revenue 10.0M 6.5M 5.2M 7.4M 7.3M
Salaries And Wages 71,000 95,000 313,000 100,000 65,000
Total Expenses 12.5M 9.0M 7.7M 9.8M 9.5M
Total Operating Income As Reported 2.8M 1.8M -707,000 601,000 666,000
Total Other Finance Cost 6,000 -1,000 10,000 -- --
Line Item Q3 2025Sep 30, 2025 Q2 2025Jun 30, 2025 Q1 2025Mar 31, 2025 Q4 2024Dec 31, 2024 Q3 2024Sep 30, 2024
Cash And Cash Equivalents 9.9M 8.6M 8.5M 10.3M 9.9M
Cash Cash Equivalents And Short Term Investments 9.9M 8.6M 8.5M 10.3M 9.9M
Cash Financial 9.9M 8.6M 8.5M 10.3M 9.9M
Accounts Receivable 13.4M 9.5M 6.7M 5.1M 7.5M
Receivables 15.6M 11.2M 8.1M 6.7M 8.9M
Inventory 908,000 815,000 712,000 832,000 803,000
Prepaid Assets -- -- -- -- 174,000
Other Current Assets 280,000 502,000 570,000 591,000 --
Current Assets 26.7M 21.1M 17.8M 18.5M 19.8M
Gross PPE 14.5M 14.4M 15.6M 26.6M 13.7M
Accumulated Depreciation -- -- -- -10.8M --
Net PPE 14.5M 14.4M 15.6M 15.8M 13.7M
Goodwill -- -- -- 6.5M --
Goodwill And Other Intangible Assets 6.3M 6.2M 6.5M 6.5M 6.1M
Investments And Advances 2.6M 2.5M 2.6M 2.6M 2.6M
Total Non Current Assets 23.4M 23.2M 24.7M 24.9M 22.4M
Total Assets 50.1M 44.3M 42.5M 43.4M 42.3M
Current Debt 270,000 108,000 108,000 995,000 467,000
Current Debt And Capital Lease Obligation 1.1M 668,000 751,000 1.8M 1.3M
Accounts Payable 4.6M 2.6M 765,000 929,000 1.8M
Payables 5.0M 3.0M 765,000 929,000 2.0M
Payables And Accrued Expenses 5.9M 3.3M 1.4M 1.8M 2.7M
Current Accrued Expenses 908,000 362,000 663,000 893,000 760,000
Current Liabilities 7.0M 4.0M 2.2M 3.6M 4.0M
Long Term Debt 1.4M 1.5M 1.5M 108,000 568,000
Long Term Debt And Capital Lease Obligation 2.7M 3.0M 3.1M 1.8M 2.4M
Long Term Capital Lease Obligation 1.4M 1.5M 1.6M 1.7M 1.8M
Total Non Current Liabilities Net Minority Interest 3.9M 3.8M 3.6M 2.4M 2.9M
Total Liabilities Net Minority Interest 10.8M 7.8M 5.8M 6.0M 6.9M
Common Stock 47.8M 47.8M 47.9M 47.9M 47.9M
Capital Stock 47.8M 47.8M 47.9M 47.9M 47.9M
Additional Paid In Capital 10.2M 10.1M 10.2M 9.8M 9.7M
Retained Earnings -19.5M -21.4M -22.8M -21.9M -22.6M
Gains Losses Not Affecting Retained Earnings 826,000 28,000 1.5M 1.5M 379,000
Other Equity Adjustments 826,000 28,000 1.5M 1.5M 379,000
Common Stock Equity 39.3M 36.5M 36.8M 37.4M 35.4M
Stockholders Equity 39.3M 36.5M 36.8M 37.4M 35.4M
Total Equity Gross Minority Interest 39.3M 36.5M 36.8M 37.4M 35.4M
Total Capitalization 40.6M 38.0M 38.3M 37.5M 35.9M
Net Tangible Assets 33.0M 30.3M 30.2M 30.8M 29.2M
Tangible Book Value 33.0M 30.3M 30.2M 30.8M 29.2M
Working Capital 19.7M 17.1M 15.6M 14.9M 15.8M
Invested Capital 40.9M 38.1M 38.4M 38.5M 36.4M
Total Debt 3.8M 3.7M 3.9M 3.6M 3.6M
Share Issued 150.2M 150.2M 150.5M 150.4M 150.4M
Ordinary Shares Number 150.2M 150.2M 150.5M 150.4M 150.4M
Available For Sale Securities -- -- -- 2.5M 2.6M
Capital Lease Obligations 2.2M 2.0M 2.2M 2.5M 2.6M
Current Capital Lease Obligation 808,000 560,000 643,000 760,000 821,000
Financial Assets Designatedas Fair Value Through Profitor Loss Total -- -- -- 91,000 --
Held To Maturity Securities -- -- -- 0.00 0.00
Interest Payable -- -- -- -- --
Investmentin Financial Assets 2.6M 2.5M 2.6M 2.6M 2.6M
Machinery Furniture Equipment -- -- -- 1.0M --
Non Current Deferred Liabilities 1.1M 772,000 463,000 611,000 503,000
Non Current Deferred Taxes Liabilities 1.1M 772,000 463,000 611,000 503,000
Other Current Borrowings 270,000 108,000 108,000 995,000 467,000
Other Payable -- -- -- -- 217,000
Other Properties 14.5M 14.4M 15.6M 25.6M 13.7M
Other Receivables 2.2M 1.9M 1.5M 1.8M 1.5M
Raw Materials 908,000 815,000 712,000 832,000 803,000
Receivables Adjustments Allowances -51,000 -105,000 -111,000 -111,000 -45,000
Total Tax Payable 358,000 378,000 -- -- --
Line Item Q3 2025Sep 30, 2025 Q2 2025Jun 30, 2025 Q1 2025Mar 31, 2025 Q4 2024Dec 31, 2024 Q3 2024Sep 30, 2024
Operating Cash Flow 1.8M 754,000 -1.6M 2.4M -1.3M
Cash Flow From Continuing Operating Activities 1.8M 754,000 -1.6M 2.4M -1.3M
Depreciation And Amortization 603,000 592,000 594,000 568,000 572,000
Depreciation Amortization Depletion 603,000 592,000 594,000 568,000 572,000
Stock Based Compensation 71,000 95,000 313,000 100,000 65,000
Deferred Tax 604,000 170,000 -147,000 -187,000 -36,000
Deferred Income Tax 604,000 170,000 -147,000 -187,000 -36,000
Change In Working Capital -1.5M -1.6M -1.6M 1.0M -2.6M
Change In Receivables -4.1M -3.5M -1.3M 2.8M -2.7M
Change In Inventory -86,000 -112,000 120,000 -15,000 149,000
Change In Payables And Accrued Expense 2.5M 1.9M -374,000 -1.3M -127,000
Change In Payable 2.5M 1.9M -374,000 -1.3M -127,000
Other Non Cash Items 88,000 79,000 82,000 79,000 56,000
Capital Expenditure -95,000 -48,000 -383,000 -1.9M -73,000
Purchase Of PPE -95,000 -48,000 -383,000 -1.9M -73,000
Net PPE Purchase And Sale -95,000 -48,000 -383,000 -1.9M -13,000
Purchase Of Investment 0.00 -84,000 -- -- 0.00
Net Investment Purchase And Sale 0.00 -84,000 -- -- 0.00
Investing Cash Flow -95,000 -132,000 -383,000 -1.9M -13,000
Cash Flow From Continuing Investing Activities -95,000 -132,000 -383,000 -1.9M -13,000
Issuance Of Debt 0.00 0.00 1.6M -- 0.00
Repayment Of Debt -217,000 -200,000 -1.3M -225,000 -231,000
Net Issuance Payments Of Debt -217,000 -200,000 278,000 -225,000 -231,000
Issuance Of Capital Stock 0.00 -- -- 1,000 6.0M
Repurchase Of Capital Stock 0.00 -210,000 -- -- 0.00
Net Common Stock Issuance 0.00 -210,000 -- 1,000 6.0M
Common Stock Payments 0.00 -210,000 -- -- 0.00
Financing Cash Flow -305,000 -487,000 202,000 -128,000 5.7M
Cash Flow From Continuing Financing Activities -305,000 -487,000 202,000 -128,000 5.7M
Effect Of Exchange Rate Changes 38,000 -60,000 -8,000 43,000 -9,000
Changes In Cash 1.4M 135,000 -1.8M 320,000 4.4M
Beginning Cash Position 8.6M 8.5M 10.3M 9.9M 5.5M
End Cash Position 9.9M 8.6M 8.5M 10.3M 9.9M
Free Cash Flow 1.7M 706,000 -2.0M 536,000 -1.3M
Cash Dividends Paid 0.00 0.00 0.00 0.00 0.00
Change In Prepaid Assets 230,000 51,000 21,000 -407,000 85,000
Common Stock Issuance 0.00 -- -- 1,000 6.0M
Gain Loss On Sale Of PPE 0.00 0.00 0.00 0.00 -60,000
Interest Paid Cff -88,000 -79,000 -82,000 -79,000 -56,000
Long Term Debt Issuance 0.00 0.00 1.6M -- 0.00
Long Term Debt Payments -217,000 -200,000 -1.3M -225,000 -231,000
Net Foreign Currency Exchange Gain Loss -56,000 134,000 1,000 -306,000 -2,000
Net Income From Continuing Operations 1.9M 1.3M -906,000 764,000 710,000
Net Long Term Debt Issuance -217,000 -200,000 278,000 -225,000 -231,000
Net Other Financing Charges -- -- -- -- --
Operating Gains Losses -56,000 134,000 1,000 -226,000 -62,000
Proceeds From Stock Option Exercised 0.00 2,000 6,000 0.00 0.00
Sale Of PPE 0.00 0.00 0.00 0.00 60,000
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