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Canadian Premium Sand Inc.

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 0.00 0.00 0.00 0.00 0.00
Operating Revenue 0.00 0.00 0.00 0.00 0.00
Cost Of Revenue 0.00 0.00 0.00 0.00 0.00
Gross Profit 0.00 0.00 0.00 0.00 0.00
Selling General And Administration 492,399 512,435 773,466 504,582 700,299
General And Administrative Expense 492,399 512,435 773,466 504,582 700,299
Research And Development 109,525 64,627 21,162 12,746 72,036
Depreciation And Amortization In Income Statement 12,953 12,252 12,252 11,924 11,237
Other Operating Expenses 73,643 85,103 54,746 93,160 29,546
Operating Expense 688,520 674,417 861,626 622,412 813,118
Operating Income -688,520 -674,417 -861,626 -622,412 -813,118
EBIT -743,741 -674,417 -861,626 -622,412 -1.4M
Net Interest Income -117,614 -106,734 -96,798 -101,848 -110,333
Other Income Expense -19,967 41,241 -2,818 -124,323 -582,597
Other Non Operating Income Expenses -- -- -- -- 0.00
Special Income Charges 0.00 0.00 0.00 -68,164 --
Gain On Sale Of Security -19,967 41,241 -2,818 -56,159 9,146
Pretax Income -826,101 -739,910 -961,242 -848,583 -1.5M
Tax Provision 0.00 0.00 0.00 0.00 0.00
Tax Effect Of Unusual Items 0.00 0.00 0.00 0.00 0.00
Net Income From Continuing And Discontinued Operation -826,101 -739,910 -961,242 -848,583 -1.5M
Net Income From Continuing Operation Net Minority Interest -826,101 -739,910 -961,242 -848,583 -1.5M
Net Income Including Noncontrolling Interests -826,101 -739,910 -961,242 -848,583 -1.5M
Net Income Common Stockholders -826,101 -739,910 -961,242 -848,583 -1.5M
Net Income -826,101 -739,910 -961,242 -848,583 -1.5M
EBITDA -730,788 -662,165 -849,374 -610,488 -1.3M
Normalized EBITDA -710,821 -703,406 -846,556 -486,165 -761,979
Reconciled Depreciation 12,953 12,252 12,252 11,924 11,237
Basic EPS -- -0.01 -0.01 -0.01 --
Diluted EPS -- -0.01 -0.01 -0.01 --
Basic Average Shares -- 92.6M 92.6M 84.7M --
Diluted Average Shares -- 92.6M 92.6M 84.7M --
Total Unusual Items -19,967 41,241 -2,818 -124,323 -582,597
Total Unusual Items Excluding Goodwill -19,967 41,241 -2,818 -124,323 -582,597
Tax Rate For Calcs 0.00 0.00 0.00 0.00 0.00
Normalized Income -806,134 -781,151 -958,424 -724,260 -923,451
Depreciation Amortization Depletion Income Statement 12,953 12,252 12,252 11,924 11,237
Depreciation Income Statement 12,953 12,252 12,252 11,924 11,237
Diluted NI Availto Com Stockholders -826,101 -739,910 -961,242 -848,583 -1.5M
Net Income Continuous Operations -826,101 -739,910 -961,242 -848,583 -1.5M
Net Non Operating Interest Income Expense -117,614 -106,734 -96,798 -101,848 -110,333
Other Gand A 164,558 185,066 360,122 326,589 332,750
Other Special Charges 0.00 -- -- 68,164 --
Reconciled Cost Of Revenue 0.00 0.00 0.00 0.00 0.00
Salaries And Wages 327,841 327,369 413,344 177,993 367,549
Total Expenses 688,520 674,417 861,626 622,412 813,118
Total Operating Income As Reported -708,487 -633,176 -864,444 -746,735 -1.4M
Total Other Finance Cost -302,190 106,734 96,798 101,848 -253,332
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 1.5M 2.0M 2.7M 3.7M 736,746
Cash Cash Equivalents And Short Term Investments 1.5M 2.0M 2.7M 3.7M 736,746
Accounts Receivable 4,020 13,704 13,866 14,000 5,534
Receivables 4,020 13,704 13,866 14,000 5,534
Prepaid Assets 162,274 168,959 122,358 111,779 112,249
Current Assets 1.7M 2.2M 2.9M 3.9M 854,529
Gross PPE 295,562 189,134 189,134 187,169 187,169
Accumulated Depreciation -153,080 -140,127 -127,875 -115,623 -103,699
Net PPE 142,482 49,007 61,259 71,546 83,470
Total Non Current Assets 203,457 109,982 122,234 132,521 144,445
Total Assets 1.9M 2.3M 3.0M 4.0M 998,974
Current Debt 3.8M 3.7M 3.6M -- 3.4M
Current Debt And Capital Lease Obligation 3.8M 3.7M 3.6M 53,501 3.4M
Payables And Accrued Expenses 1.1M 972,454 1.0M 1.4M 1.3M
Current Liabilities 4.9M 4.7M 4.7M 1.4M 4.8M
Long Term Debt -- -- -- 3.4M --
Long Term Debt And Capital Lease Obligation 106,330 -- 13,648 3.5M 41,171
Long Term Capital Lease Obligation 106,330 0.00 13,648 26,887 41,171
Total Non Current Liabilities Net Minority Interest 201,945 91,372 116,186 3.6M 145,157
Total Liabilities Net Minority Interest 5.1M 4.8M 4.8M 5.0M 4.9M
Common Stock 43.1M 43.1M 43.1M 43.1M 39.1M
Capital Stock 43.1M 43.1M 43.1M 43.1M 39.1M
Retained Earnings -50.4M -49.6M -48.8M -47.9M -48.1M
Common Stock Equity -3.2M -2.5M -1.8M -1.0M -3.9M
Stockholders Equity -3.2M -2.5M -1.8M -1.0M -3.9M
Total Equity Gross Minority Interest -3.2M -2.5M -1.8M -1.0M -3.9M
Total Capitalization -3.2M -2.5M -1.8M 2.4M -3.9M
Net Tangible Assets -3.2M -2.5M -1.8M -1.0M -3.9M
Tangible Book Value -3.2M -2.5M -1.8M -1.0M -3.9M
Working Capital -3.3M -2.5M -1.8M 2.4M -3.9M
Invested Capital 551,638 1.2M 1.8M 2.4M -541,921
Total Debt 4.0M 3.7M 3.6M 3.5M 3.5M
Net Debt 2.3M 1.7M 825,658 -- 2.6M
Share Issued 92.6M 92.6M 92.6M 92.6M 83.4M
Ordinary Shares Number 92.6M 92.6M 92.6M 92.6M 83.4M
Capital Lease Obligations 152,505 55,579 69,166 80,388 93,099
Current Capital Lease Obligation 46,175 55,579 55,518 53,501 51,928
Leases 295,562 189,134 189,134 187,169 187,169
Long Term Provisions 95,615 91,372 102,538 98,739 103,986
Machinery Furniture Equipment -- -- -- -- --
Non Current Prepaid Assets 60,975 60,975 60,975 60,975 60,975
Other Current Borrowings 3.8M 3.7M 3.6M -- 3.4M
Other Equity Interest 4.0M 4.0M 3.9M 3.7M 5.1M
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 -490,263 -691,145 -990,000 -663,978 -502,443
Cash Flow From Continuing Operating Activities -490,263 -691,145 -990,000 -663,978 -502,441
Depreciation And Amortization 12,953 12,252 12,252 11,924 11,237
Depreciation Amortization Depletion 12,953 12,252 12,252 11,924 11,237
Stock Based Compensation 53,777 46,663 178,003 -22,290 105,306
Change In Working Capital 120,687 -74,840 -339,044 -31,096 147,127
Other Non Cash Items 131,387 109,180 120,723 103,980 159,662
Investing Cash Flow 0.00 0.00 0.00 0.00 0.00
Repayment Of Debt -14,139 -15,373 -15,373 -15,225 -12,755
Net Issuance Payments Of Debt -14,139 -15,373 -15,373 -15,225 -12,755
Financing Cash Flow -14,139 -15,373 -15,373 3.7M -12,755
Cash Flow From Continuing Financing Activities -14,139 -15,373 -15,373 3.7M -12,755
Changes In Cash -504,402 -706,518 -1.0M 3.0M -515,198
Beginning Cash Position 2.0M 2.7M 3.7M 736,746 1.3M
End Cash Position 1.5M 2.0M 2.7M 3.7M 736,746
Free Cash Flow -490,263 -691,145 -990,000 -663,978 -502,443
Interest Paid Supplemental Data -- 0.00 0.00 0.00 -1,507
Depreciation 12,953 12,252 12,252 11,924 11,237
Gain Loss On Investment Securities 0.00 -- -- 68,164 --
Long Term Debt Payments -14,139 -15,373 -15,373 -15,225 -12,755
Net Foreign Currency Exchange Gain Loss 17,034 -44,490 -692.00 53,923 -11,470
Net Income From Continuing Operations -826,101 -739,910 -961,242 -848,583 -1.5M
Net Long Term Debt Issuance -14,139 -15,373 -15,373 -15,225 -12,755
Operating Gains Losses 17,034 -44,490 -692.00 122,087 580,273
Proceeds From Stock Option Exercised 0.00 0.00 0.00 3.7M 0.00
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