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Primary Hydrogen Corp.

Financial Statements (IFRS) · Amounts in CAD
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line Item FY 2024Nov 30, 2024 FY 2023Nov 30, 2023 FY 2022Nov 30, 2022 FY 2021Nov 30, 2021
Total Revenue 0.00 0.00 0.00 0.00
Operating Revenue 0.00 0.00 0.00 0.00
Selling General And Administration 658,335 81,047 206,990 197,040
General And Administrative Expense 627,870 81,047 206,990 197,040
Other Operating Expenses 144,145 14,105 28,788 40,956
Operating Expense 802,480 95,152 235,778 237,996
Operating Income -802,480 -95,152 -235,778 -237,996
EBIT -802,480 -95,152 -235,778 -237,996
Other Income Expense -201,363 -- -- --
Special Income Charges -201,363 0.00 -- --
Pretax Income -1.0M -95,152 -235,778 -237,996
Tax Effect Of Unusual Items 0.00 0.00 0.00 0.00
Net Income From Continuing And Discontinued Operation -1.0M -95,152 -235,778 -237,996
Net Income From Continuing Operation Net Minority Interest -1.0M -95,152 -235,778 -237,996
Net Income Including Noncontrolling Interests -1.0M -95,152 -235,778 -237,996
Net Income Common Stockholders -1.0M -95,152 -235,778 -237,996
Net Income -1.0M -95,152 -235,778 -237,996
EBITDA -802,480 -95,152 -235,778 -237,996
Normalized EBITDA -601,117 -95,152 -235,778 -237,996
Basic EPS -0.60 -0.10 -0.20 -0.20
Diluted EPS -0.60 -0.10 -0.20 -0.20
Basic Average Shares 1.6M 1.1M 1.1M 974,319
Diluted Average Shares 1.6M 1.1M 1.1M 974,319
Total Unusual Items -201,363 0.00 -- --
Total Unusual Items Excluding Goodwill -201,363 0.00 -- --
Tax Rate For Calcs 0.00 0.00 0.00 0.00
Normalized Income -802,480 -95,152 -235,778 -237,996
Diluted NI Availto Com Stockholders -1.0M -95,152 -235,778 -237,996
Impairment Of Capital Assets 201,363 0.00 -- --
Insurance And Claims 3,315 3,322 2,540 0.00
Net Income Continuous Operations -1.0M -95,152 -235,778 -237,996
Other Gand A 267,420 60,582 84,820 184,183
Rent And Landing Fees 17,143 17,143 17,143 12,857
Rent Expense Supplemental 17,143 17,143 17,143 12,857
Salaries And Wages 339,992 0.00 102,487 0.00
Selling And Marketing Expense 30,465 0.00 -- --
Total Expenses 802,480 95,152 235,778 237,996
Line Item FY 2024Nov 30, 2024 FY 2023Nov 30, 2023 FY 2022Nov 30, 2022 FY 2021Nov 30, 2021
Cash And Cash Equivalents 3.1M 105,072 192,568 399,993
Cash Cash Equivalents And Short Term Investments 3.1M 105,072 192,568 399,993
Cash Financial 3.1M 105,072 192,568 399,993
Receivables 13,595 16,115 24,898 14,239
Prepaid Assets 114,608 1,105 2,770 0.00
Current Assets 3.2M 122,292 220,236 414,232
Net PPE 187,078 201,363 201,363 139,466
Total Non Current Assets 187,078 201,363 201,363 139,466
Total Assets 3.4M 323,655 421,599 553,698
Payables And Accrued Expenses 177,691 21,009 23,801 22,609
Current Accrued Expenses 177,691 21,009 23,801 22,609
Current Liabilities 177,691 21,009 23,801 22,609
Total Non Current Liabilities Net Minority Interest 0.00 0.00 0.00 0.00
Total Liabilities Net Minority Interest 177,691 21,009 23,801 22,609
Common Stock 4.3M 798,900 798,900 798,900
Capital Stock 4.3M 798,900 798,900 798,900
Additional Paid In Capital 494,075 102,487 102,487 0.00
Retained Earnings -1.6M -598,741 -503,589 -267,811
Common Stock Equity 3.2M 302,646 397,798 531,089
Stockholders Equity 3.2M 302,646 397,798 531,089
Total Equity Gross Minority Interest 3.2M 302,646 397,798 531,089
Total Capitalization 3.2M 302,646 397,798 531,089
Net Tangible Assets 3.2M 302,646 397,798 531,089
Tangible Book Value 3.2M 302,646 397,798 531,089
Working Capital 3.0M 101,283 196,435 391,623
Invested Capital 3.2M 302,646 397,798 531,089
Share Issued 3.2M 1.1M 1.1M 1.1M
Ordinary Shares Number 3.2M 1.1M 1.1M 1.1M
Taxes Receivable 13,595 16,115 24,898 14,239
Treasury Shares Number -- 0.00 -- --
Line Item FY 2024Nov 30, 2024 FY 2023Nov 30, 2023 FY 2022Nov 30, 2022 FY 2021Nov 30, 2021
Operating Cash Flow -423,042 -87,496 -145,528 -271,006
Cash Flow From Continuing Operating Activities -423,042 -87,496 -145,528 -271,006
Stock Based Compensation 339,992 0.00 102,487 0.00
Change In Working Capital 39,446 7,656 -12,237 -33,010
Change In Receivables 2,520 8,783 -10,659 -14,239
Change In Payables And Accrued Expense 150,429 -2,792 1,192 -18,771
Capital Expenditure -94,825 -- -61,897 -82,958
Purchase Of PPE -- 0.00 -61,897 -82,958
Net PPE Purchase And Sale -94,825 0.00 -61,897 -82,958
Investing Cash Flow -94,825 0.00 -61,897 -82,958
Cash Flow From Continuing Investing Activities -94,825 0.00 -61,897 -82,958
Issuance Of Capital Stock 3.5M 0.00 0.00 432,900
Net Common Stock Issuance 3.5M 0.00 0.00 432,900
Financing Cash Flow 3.5M 0.00 0.00 433,900
Cash Flow From Continuing Financing Activities 3.5M 0.00 0.00 433,900
Changes In Cash 2.9M -87,496 -207,425 79,936
Beginning Cash Position 105,072 192,568 399,993 320,057
End Cash Position 3.1M 105,072 192,568 399,993
Free Cash Flow -517,867 -87,496 -207,425 -353,964
Asset Impairment Charge 201,363 0.00 -- --
Capital Expenditure Reported -- -- -61,897 -82,958
Change In Accrued Expense -- -- 1,192 -18,771
Change In Prepaid Assets -113,503 1,665 -2,770 0.00
Common Stock Issuance 3.5M 0.00 0.00 432,900
Net Income From Continuing Operations -1.0M -95,152 -235,778 -237,996
Net Other Financing Charges -- -- -- 1,000
Net Other Investing Changes -94,825 -- -61,897 -82,958
Proceeds From Stock Option Exercised 12,188 0.00 -- --
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