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J2 METALS INC

Financial Statements (IFRS) · Amounts in CAD
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line Item FY 2025Mar 31, 2025 FY 2024Mar 31, 2024 FY 2023Mar 31, 2023
Total Revenue 0.00 0.00 0.00
Operating Revenue 0.00 0.00 0.00
Selling General And Administration 258,997 27,786 166,126
General And Administrative Expense 258,997 27,786 166,126
Other Operating Expenses 26,857 4,312 10,662
Operating Expense 285,854 32,098 176,788
Operating Income -285,854 -32,098 -176,788
EBIT -790,425 -22,258 -165,184
Interest Expense 175.00 4,768 44.00
Interest Expense Non Operating 175.00 4,768 44.00
Net Interest Income -175.00 -4,768 -44.00
Other Income Expense -504,571 9,840 11,604
Other Non Operating Income Expenses 6,052 8,464 12,604
Special Income Charges -502,623 0.00 --
Gain On Sale Of Security -8,000 1,376 -1,000
Pretax Income -790,600 -27,026 -165,228
Tax Provision -75,200 -4,700 46,200
Tax Effect Of Unusual Items -48,569 239.30 -400.00
Net Income From Continuing And Discontinued Operation -715,400 -22,326 -211,428
Net Income From Continuing Operation Net Minority Interest -715,400 -22,326 -211,428
Net Income Including Noncontrolling Interests -715,400 -22,326 -211,428
Net Income Common Stockholders -715,400 -22,326 -211,428
Net Income -715,400 -22,326 -211,428
EBITDA -790,425 -22,258 -165,184
Normalized EBITDA -279,802 -23,634 -164,184
Basic EPS -0.11 -0.00 -0.01
Diluted EPS -0.11 -0.00 -0.01
Basic Average Shares 6.8M 21.2M 21.2M
Diluted Average Shares 6.8M 21.2M 21.2M
Total Unusual Items -510,623 1,376 -1,000
Total Unusual Items Excluding Goodwill -510,623 1,376 -1,000
Tax Rate For Calcs 0.10 0.17 0.40
Normalized Income -253,346 -23,463 -210,828
Diluted NI Availto Com Stockholders -715,400 -22,326 -211,428
Net Income Continuous Operations -715,400 -22,326 -211,428
Net Non Operating Interest Income Expense -175.00 -4,768 -44.00
Other Gand A 258,997 27,786 79,545
Other Special Charges 502,623 -- --
Salaries And Wages -- 0.00 86,581
Total Expenses 285,854 32,098 176,788
Line Item FY 2025Mar 31, 2025 FY 2024Mar 31, 2024 FY 2023Mar 31, 2023
Cash And Cash Equivalents 925,927 130,479 566.00
Cash Cash Equivalents And Short Term Investments 938,727 151,279 14,566
Cash Financial 925,927 130,479 566.00
Other Short Term Investments 12,800 20,800 14,000
Current Assets 938,727 151,279 14,566
Net PPE 3.1M 3.0M 2.9M
Other Non Current Assets -- 24,900 --
Total Non Current Assets 3.1M 3.0M 2.9M
Total Assets 4.1M 3.1M 2.9M
Payables And Accrued Expenses 193,000 77,681 26,002
Current Liabilities 242,400 83,733 34,518
Total Non Current Liabilities Net Minority Interest 163,400 238,600 243,300
Total Liabilities Net Minority Interest 405,800 322,333 277,818
Common Stock 4.7M 3.2M 2.9M
Capital Stock 4.7M 3.2M 2.9M
Retained Earnings -1.3M -615,288 -592,962
Gains Losses Not Affecting Retained Earnings 271,726 259,729 259,729
Common Stock Equity 3.7M 2.8M 2.6M
Stockholders Equity 3.7M 2.8M 2.6M
Total Equity Gross Minority Interest 3.7M 2.8M 2.6M
Total Capitalization 3.7M 2.8M 2.6M
Net Tangible Assets 3.7M 2.8M 2.6M
Tangible Book Value 3.7M 2.8M 2.6M
Working Capital 696,327 67,546 -19,952
Invested Capital 3.7M 2.8M 2.6M
Share Issued 21.2M 21.2M 21.2M
Ordinary Shares Number 21.2M 21.2M 21.2M
Current Deferred Liabilities 49,400 6,052 8,516
Non Current Deferred Liabilities 163,400 238,600 243,300
Non Current Deferred Taxes Liabilities 163,400 238,600 243,300
Non Current Prepaid Assets 24,900 24,900 0.00
Other Equity Interest -- 259,729 259,729
Line Item FY 2025Mar 31, 2025 FY 2024Mar 31, 2024 FY 2023Mar 31, 2023
Operating Cash Flow -126,303 -23,958 -71,597
Cash Flow From Continuing Operating Activities -126,303 -23,958 -71,597
Stock Based Compensation -- 0.00 86,581
Deferred Tax -75,200 -4,700 46,200
Deferred Income Tax -75,200 -4,700 46,200
Change In Working Capital 159,726 13,532 18,654
Change In Payables And Accrued Expense 159,726 13,532 15,467
Other Non Cash Items 496,571 -8,464 -12,604
Sale Of Investment 0.00 7,500 15,000
Net Investment Purchase And Sale 0.00 7,500 15,000
Investing Cash Flow 126,635 -77,129 -472,613
Cash Flow From Continuing Investing Activities 126,635 -77,129 -472,613
Issuance Of Capital Stock 814,400 156,000 115,520
Net Common Stock Issuance 814,400 156,000 115,520
Financing Cash Flow 795,116 231,000 115,520
Cash Flow From Continuing Financing Activities 795,116 231,000 115,520
Changes In Cash 795,448 129,913 -428,690
Beginning Cash Position 130,479 566.00 429,256
End Cash Position 925,927 130,479 566.00
Free Cash Flow -126,303 -23,958 -71,597
Change In Prepaid Assets -- 0.00 3,187
Common Stock Issuance 814,400 156,000 115,520
Net Income From Continuing Operations -715,400 -22,326 -211,428
Net Other Financing Charges -19,284 75,000 --
Net Other Investing Changes 126,635 -84,629 -487,613
Unrealized Gain Loss On Investment Securities 8,000 -2,000 1,000
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