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IEMR Resources Inc.

Financial Statements (IFRS) · Amounts in CAD
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line Item Q2 2025Apr 30, 2025 Q1 2025Jan 31, 2025 Q4 2024Oct 31, 2024 Q3 2024Jul 31, 2024
Total Revenue 0.00 0.00 0.00 0.00
Operating Revenue 0.00 0.00 0.00 0.00
Selling General And Administration 22,898 16,677 43,311 21,981
General And Administrative Expense 22,898 16,677 43,311 21,981
Other Operating Expenses 6,390 4,948 4,231 2,318
Operating Expense 29,288 21,625 47,542 24,299
Operating Income -29,288 -21,625 -47,542 -24,299
EBIT -29,288 -21,625 -47,542 -24,299
Interest Income 64.00 45.00 50.00 116.00
Interest Income Non Operating 64.00 45.00 50.00 116.00
Net Interest Income 64.00 45.00 50.00 116.00
Special Income Charges 0.00 0.00 -- --
Pretax Income -29,224 -21,580 -2.5M -24,183
Tax Effect Of Unusual Items 0.00 0.00 0.00 0.00
Net Income From Continuing And Discontinued Operation -29,225 -21,581 -2.5M -24,184
Net Income From Continuing Operation Net Minority Interest -29,225 -21,581 -2.5M -24,184
Net Income Including Noncontrolling Interests -29,224 -21,580 -2.5M -24,183
Net Income Common Stockholders -29,225 -21,581 -2.5M -24,184
Net Income -29,225 -21,581 -2.5M -24,184
EBITDA -29,288 -21,625 -47,542 -24,299
Normalized EBITDA -29,288 -21,625 -47,542 -24,299
Basic EPS 0.00 0.00 -- 0.00
Diluted EPS 0.00 0.00 -- 0.00
Basic Average Shares 94.8M 94.8M -- 94.8M
Diluted Average Shares 94.8M 94.8M -- 94.8M
Total Unusual Items 0.00 0.00 -- --
Total Unusual Items Excluding Goodwill 0.00 0.00 -- --
Tax Rate For Calcs 0.00 0.00 0.00 0.00
Normalized Income -29,225 -21,581 -2.5M -24,184
Diluted NI Availto Com Stockholders -29,225 -21,581 -2.5M -24,184
Impairment Of Capital Assets 0.00 0.00 -- --
Net Income Continuous Operations -29,224 -21,580 -2.5M -24,183
Net Non Operating Interest Income Expense 64.00 45.00 50.00 116.00
Other Gand A 22,121 15,900 42,534 21,204
Rent And Landing Fees 777.00 777.00 777.00 777.00
Rent Expense Supplemental 777.00 777.00 777.00 777.00
Total Expenses 29,288 21,625 47,542 24,299
Line Item Q2 2025Apr 30, 2025 Q1 2025Jan 31, 2025 Q4 2024Oct 31, 2024 Q3 2024Jul 31, 2024
Cash And Cash Equivalents 240,385 307,865 361,929 437,755
Cash Cash Equivalents And Short Term Investments 240,385 307,865 361,929 437,755
Cash Financial 240,385 307,865 361,929 437,755
Receivables 93,598 70,797 69,418 11,721
Prepaid Assets 11,597 16,144 8,328 9,550
Other Current Assets -- -1.00 -- --
Current Assets 345,580 394,805 439,675 459,026
Net PPE 0.00 0.00 0.00 2.4M
Total Non Current Assets 0.00 0.00 0.00 2.4M
Total Assets 345,580 394,805 439,675 2.9M
Payables And Accrued Expenses 43,767 63,767 87,056 17,339
Current Liabilities 43,767 63,767 87,056 17,339
Total Non Current Liabilities Net Minority Interest 0.00 0.00 0.00 0.00
Total Liabilities Net Minority Interest 43,767 63,767 87,056 17,339
Common Stock 7.2M 7.2M 7.2M 7.2M
Capital Stock 7.2M 7.2M 7.2M 7.2M
Retained Earnings -7.7M -7.7M -7.6M -5.1M
Gains Losses Not Affecting Retained Earnings 827,603 827,603 827,603 827,603
Common Stock Equity 301,813 331,038 352,619 2.9M
Stockholders Equity 301,813 331,038 352,619 2.9M
Total Equity Gross Minority Interest 301,813 331,038 352,619 2.9M
Total Capitalization 301,813 331,038 352,619 2.9M
Net Tangible Assets 301,813 331,038 352,619 2.9M
Tangible Book Value 301,813 331,038 352,619 2.9M
Working Capital 301,813 331,038 352,619 441,687
Invested Capital 301,813 331,038 352,619 2.9M
Share Issued 98.8M 98.8M 98.8M 98.8M
Ordinary Shares Number 94.8M 94.8M 94.8M 94.8M
Duefrom Related Parties Current 84,176 63,799 63,799 6,919
Taxes Receivable 9,422 6,998 5,619 4,802
Treasury Shares Number 4.0M 4.0M 4.0M 4.0M
Line Item Q2 2025Apr 30, 2025 Q1 2025Jan 31, 2025 Q4 2024Oct 31, 2024 Q3 2024Jul 31, 2024
Operating Cash Flow -67,480 -54,064 -40,652 -18,236
Cash Flow From Continuing Operating Activities -67,479 -54,066 -40,650 -18,236
Change In Working Capital -38,254 -32,485 13,243 5,948
Change In Receivables -2,424 -1,380 -817.00 5,132
Change In Payables And Accrued Expense -20,000 -23,289 69,717 0.00
Other Non Cash Items -1.00 2.00 -- 1.00
Capital Expenditure -- -- -35,173 -17,019
Purchase Of PPE 0.00 0.00 -35,173 -17,019
Net PPE Purchase And Sale 0.00 0.00 -35,173 -17,019
Investing Cash Flow 0.00 0.00 -35,173 -17,019
Cash Flow From Continuing Investing Activities 0.00 0.00 -35,173 -17,019
Changes In Cash -67,480 -54,064 -75,826 -35,255
Beginning Cash Position 307,865 361,929 437,755 473,010
End Cash Position 240,385 307,865 361,929 437,755
Free Cash Flow -67,480 -54,064 -75,825 -35,255
Income Tax Paid Supplemental Data 0.00 0.00 0.00 0.00
Interest Paid Supplemental Data 0.00 0.00 0.00 0.00
Asset Impairment Charge 0.00 0.00 -- --
Change In Prepaid Assets -15,830 -7,816 -55,657 816.00
Net Income From Continuing Operations -29,225 -21,581 -2.5M -24,185
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