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IC Group Holdings Inc.

Financial Statements (IFRS) · Amounts in CAD
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line Item FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Total Revenue 12.2M 11.6M --
Operating Revenue 12.2M 11.6M --
Cost Of Revenue 4.7M 4.0M --
Gross Profit 7.5M 7.7M --
Selling General And Administration 6.9M 5.7M --
General And Administrative Expense 6.8M 5.6M --
Depreciation And Amortization In Income Statement 659,450 553,977 --
Other Operating Expenses 190,087 229,996 --
Operating Expense 7.5M 6.1M --
Operating Income 64,085 1.5M --
EBIT 16,380 1.5M --
Interest Expense 234,835 85,017 --
Interest Expense Non Operating 234,835 85,017 --
Net Interest Income -234,835 -85,017 --
Other Income Expense -47,705 -7,525 --
Special Income Charges -275,000 0.00 --
Gain On Sale Of Security 227,295 -7,525 --
Pretax Income -218,455 1.4M --
Tax Provision 115,687 395,503 --
Tax Effect Of Unusual Items -19,082 -2,032 --
Net Income From Continuing And Discontinued Operation -258,855 1.2M --
Net Income From Continuing Operation Net Minority Interest -258,855 1.2M --
Net Income Including Noncontrolling Interests -334,142 1.0M --
Minority Interests 75,287 120,723 --
Net Income Common Stockholders -258,855 1.2M --
Net Income -258,855 1.2M --
EBITDA 675,830 2.1M --
Normalized EBITDA 723,535 2.1M --
Reconciled Depreciation 659,450 553,977 --
Basic EPS -0.01 0.03 --
Diluted EPS -0.01 0.03 --
Basic Average Shares 33.4M 33.4M --
Diluted Average Shares 33.4M 33.4M --
Total Unusual Items -47,705 -7,525 --
Total Unusual Items Excluding Goodwill -47,705 -7,525 --
Tax Rate For Calcs 0.40 0.27 --
Normalized Income -230,232 1.2M --
Amortization 659,450 553,977 --
Amortization Of Intangibles Income Statement 659,450 553,977 --
Depreciation Amortization Depletion Income Statement 659,450 553,977 --
Diluted NI Availto Com Stockholders -258,855 1.2M --
Impairment Of Capital Assets 275,000 0.00 --
Insurance And Claims 275,335 247,349 --
Net Income Continuous Operations -334,142 1.0M --
Net Non Operating Interest Income Expense -234,835 -85,017 --
Other Gand A 923,316 794,724 --
Other Taxes -275,861 -343,137 --
Reconciled Cost Of Revenue 4.7M 4.0M --
Rent And Landing Fees 352,290 298,824 --
Rent Expense Supplemental 352,290 298,824 --
Salaries And Wages 5.2M 4.3M --
Selling And Marketing Expense 95,797 70,948 --
Total Expenses 12.1M 10.1M --
Total Operating Income As Reported 16,380 1.5M --
Line Item FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Cash And Cash Equivalents 1.2M 2.1M 2.6M
Cash Cash Equivalents And Short Term Investments 1.5M 2.4M 2.8M
Cash Financial 1.2M 2.1M 2.6M
Other Short Term Investments 337,900 271,900 212,000
Accounts Receivable 2.2M 1.7M 747,737
Receivables 3.3M 1.9M 965,474
Other Current Assets 173,698 130,890 137,911
Current Assets 8.0M 11.5M 7.6M
Gross PPE 2.7M 2.7M 2.5M
Accumulated Depreciation -768,576 -681,299 -556,662
Net PPE 1.9M 2.0M 2.0M
Goodwill 4.4M 0.00 0.00
Goodwill And Other Intangible Assets 9.7M 2.7M 3.2M
Other Intangible Assets 5.3M 2.7M 3.2M
Investments And Advances 347,500 347,500 347,500
Long Term Equity Investment 347,500 347,500 347,500
Total Non Current Assets 12.2M 5.1M 5.5M
Total Assets 20.2M 16.6M 13.1M
Current Debt 10.6M 710,568 370,062
Current Debt And Capital Lease Obligation 10.6M 710,568 370,062
Accounts Payable 2.0M 977,011 1.7M
Payables 2.0M 977,011 1.7M
Payables And Accrued Expenses 2.0M 977,011 1.7M
Current Deferred Revenue 4.1M 8.8M 6.4M
Current Liabilities 16.7M 10.5M 8.4M
Long Term Debt -- 3.2M 2.7M
Long Term Debt And Capital Lease Obligation -- 3.2M 2.7M
Total Non Current Liabilities Net Minority Interest 1.1M 3.3M 2.8M
Total Liabilities Net Minority Interest 17.8M 13.9M 11.2M
Common Stock 257,102 257,102 257,102
Capital Stock 257,102 257,102 257,102
Retained Earnings 2.3M 2.6M 1.7M
Common Stock Equity 2.6M 2.8M 1.9M
Stockholders Equity 2.6M 2.8M 1.9M
Total Equity Gross Minority Interest 2.4M 2.7M 1.9M
Minority Interest -175,482 -104,425 2,370
Total Capitalization 2.6M 6.0M 4.6M
Net Tangible Assets -7.1M 102,141 -1.3M
Tangible Book Value -7.1M 102,141 -1.3M
Working Capital -8.7M 987,081 -799,568
Invested Capital 13.2M 6.8M 5.0M
Total Debt 10.6M 3.9M 3.0M
Net Debt 9.4M 1.8M 443,135
Share Issued 33.4M 33.4M 33.4M
Ordinary Shares Number 33.4M 33.4M 33.4M
Allowance For Doubtful Accounts Receivable 0.00 0.00 0.00
Buildings And Improvements 1.2M 1.2M 1.2M
Current Deferred Liabilities 4.1M 8.8M 6.4M
Gross Accounts Receivable 2.2M 1.7M 747,737
Investments In Other Ventures Under Equity Method 347,500 347,500 347,500
Land And Improvements 875,000 875,000 875,000
Leases 147,455 147,455 110,617
Machinery Furniture Equipment 507,582 491,989 392,246
Non Current Deferred Liabilities 1.1M 131,500 120,500
Non Current Deferred Taxes Liabilities 1.1M 131,500 120,500
Non Current Note Receivables 201,560 0.00 0.00
Other Current Borrowings 10.6M 710,568 370,062
Properties 0.00 0.00 0.00
Restricted Cash 3.0M 7.1M 3.7M
Taxes Receivable 1.1M 251,474 217,737
Line Item FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Operating Cash Flow 543,568 -1.1M --
Cash Flow From Continuing Operating Activities 543,568 -1.1M --
Depreciation And Amortization 659,450 553,977 --
Depreciation Amortization Depletion 659,450 553,977 --
Deferred Tax 115,687 395,503 --
Deferred Income Tax 115,687 395,503 --
Change In Working Capital -220,510 -2.5M --
Change In Receivables -563,299 -910,281 --
Change In Payables And Accrued Expense 1.1M -686,658 --
Change In Other Working Capital -680,209 -952,889 --
Other Non Cash Items 234,835 85,017 --
Capital Expenditure -328,419 -140,592 --
Purchase Of PPE -15,593 -140,592 --
Net PPE Purchase And Sale -15,593 -140,592 --
Purchase Of Business -7.5M 0.00 --
Purchase Of Investment -66,000 -59,900 --
Net Investment Purchase And Sale -66,000 -59,900 --
Investing Cash Flow -8.1M -200,492 --
Cash Flow From Continuing Investing Activities -8.1M -200,492 --
Issuance Of Debt 7.5M 1.2M --
Repayment Of Debt -835,543 -370,061 --
Net Issuance Payments Of Debt 6.7M 872,065 --
Common Stock Dividend Paid 0.00 -200,000 --
Financing Cash Flow 6.7M 672,065 --
Cash Flow From Continuing Financing Activities 6.7M 672,065 --
Effect Of Exchange Rate Changes -25,738 112,591 --
Changes In Cash -887,954 -621,880 --
Beginning Cash Position 2.1M 2.6M --
End Cash Position 1.2M 2.1M --
Free Cash Flow 215,149 -1.2M --
Amortization Cash Flow 572,173 429,340 --
Amortization Of Intangibles 572,173 429,340 --
Asset Impairment Charge 275,000 0.00 --
Cash Dividends Paid 0.00 -200,000 --
Change In Prepaid Assets -42,808 7,021 --
Depreciation 87,277 124,637 --
Interest Paid Cfo -234,835 -85,017 --
Long Term Debt Issuance 7.5M 1.2M --
Long Term Debt Payments -835,543 -370,061 --
Net Business Purchase And Sale -7.5M 0.00 --
Net Foreign Currency Exchange Gain Loss 25,738 -112,591 --
Net Income From Continuing Operations -334,142 1.0M --
Net Intangibles Purchase And Sale -312,826 0.00 --
Net Long Term Debt Issuance 6.7M 872,065 --
Net Other Investing Changes -201,560 -- --
Operating Gains Losses 25,738 -112,591 --
Purchase Of Intangibles -312,826 0.00 --
Taxes Refund Paid 22,345 -418,240 --
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