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Kits Eyecare Ltd.

Financial Statements (IFRS) · Amounts in CAD
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Total Revenue 159.3M 120.5M 91.6M 82.4M
Operating Revenue 159.3M 120.5M 91.6M 82.4M
Cost Of Revenue 105.7M 79.7M 62.4M 61.5M
Gross Profit 53.6M 40.8M 29.2M 20.9M
Selling General And Administration 37.0M 29.0M 24.0M 27.3M
General And Administrative Expense 17.4M 13.5M 11.9M 12.6M
Depreciation And Amortization In Income Statement 1.2M 2.1M 2.3M 2.4M
Other Operating Expenses 12.7M 11.1M 9.6M 9.0M
Operating Expense 50.9M 42.2M 35.9M 38.6M
Operating Income 2.8M -1.4M -6.7M -17.8M
EBIT 5.7M -1.3M -4.2M -17.4M
Interest Expense 1.2M 1.6M 1.6M 1.5M
Interest Expense Non Operating 1.2M 1.6M 1.6M 1.5M
Interest Income 580,000 585,000 107,000 67,000
Interest Income Non Operating 580,000 585,000 107,000 67,000
Net Interest Income -817,000 -975,000 -1.5M -1.1M
Other Income Expense 2.5M -484,000 2.3M -12,000
Other Non Operating Income Expenses -- -- -- 350,000
Special Income Charges -158,000 466,000 0.00 -725,000
Gain On Sale Of Security 2.7M -950,000 2.3M 713,000
Pretax Income 4.5M -2.9M -5.9M -18.8M
Tax Provision 1.3M -676,000 -1.3M -4.2M
Tax Effect Of Unusual Items 754,330 -113,173 528,158 -2,691
Net Income From Continuing And Discontinued Operation 3.1M -2.2M -4.6M -14.6M
Net Income From Continuing Operation Net Minority Interest 3.1M -2.2M -4.6M -14.6M
Net Income Including Noncontrolling Interests 3.1M -2.2M -4.6M -14.6M
Net Income Common Stockholders 3.1M -2.2M -4.6M -14.6M
Net Income 3.1M -2.2M -4.6M -14.6M
EBITDA 8.3M 1.9M -721,000 -14.7M
Normalized EBITDA 5.8M 2.3M -3.1M -14.7M
Reconciled Depreciation 2.7M 3.2M 3.5M 2.7M
Basic EPS -0.07 -0.07 -0.15 -0.49
Diluted EPS -0.07 -0.07 -0.15 -0.49
Basic Average Shares 31.6M 31.4M 31.3M 30.1M
Diluted Average Shares 31.6M 31.4M 31.3M 30.1M
Total Unusual Items 2.5M -484,000 2.3M -12,000
Total Unusual Items Excluding Goodwill 2.5M -484,000 2.3M -12,000
Tax Rate For Calcs 0.30 0.23 0.23 0.22
Normalized Income 1.4M -1.8M -6.4M -14.6M
Depreciation Amortization Depletion Income Statement 1.2M 2.1M 2.3M 2.4M
Diluted NI Availto Com Stockholders 3.1M -2.2M -4.6M -14.6M
Net Income Continuous Operations 3.1M -2.2M -4.6M -14.6M
Net Non Operating Interest Income Expense -817,000 -975,000 -1.5M -1.1M
Other Gand A 3.6M 2.9M 2.3M 4.3M
Other Special Charges 158,000 -466,000 -- 725,000
Reconciled Cost Of Revenue 104.2M 78.7M 61.2M 61.2M
Rent And Landing Fees 342,000 124,000 190,000 203,000
Rent Expense Supplemental 342,000 124,000 190,000 203,000
Salaries And Wages 13.4M 10.5M 9.4M 8.1M
Selling And Marketing Expense 19.7M 15.5M 12.1M 14.7M
Total Expenses 156.6M 121.9M 98.3M 100.2M
Total Operating Income As Reported 5.4M -2.4M -4.4M -17.0M
Total Other Finance Cost 198,000 -- -- -350,000
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Cash And Cash Equivalents 19.3M 16.0M 18.8M 20.5M
Cash Cash Equivalents And Short Term Investments 19.3M 16.0M 18.8M 20.5M
Accounts Receivable 2.2M 1.7M 850,000 440,000
Receivables 2.5M 1.8M 917,000 861,000
Inventory 22.5M 15.4M 16.4M 13.5M
Prepaid Assets -- -- 877,000 860,000
Other Current Assets 787,000 728,000 877,000 860,000
Current Assets 45.1M 34.0M 37.0M 35.7M
Gross PPE 18.6M 13.6M 13.3M 12.2M
Accumulated Depreciation -7.7M -4.9M -3.3M -1.3M
Net PPE 10.9M 8.7M 10.0M 10.9M
Goodwill 41.2M 37.9M 38.8M 36.3M
Goodwill And Other Intangible Assets 42.3M 39.3M 41.7M 40.7M
Other Intangible Assets 1.1M 1.5M 2.9M 4.5M
Total Non Current Assets 57.9M 53.7M 56.9M 55.2M
Total Assets 103.0M 87.6M 93.9M 90.9M
Current Debt 5.4M 3.0M 3.1M 3.1M
Current Debt And Capital Lease Obligation 6.2M 3.7M 3.7M 3.6M
Accounts Payable 21.8M 12.9M 14.5M 8.4M
Payables 22.3M 13.3M 14.9M 8.8M
Payables And Accrued Expenses 25.7M 16.4M 17.2M 10.7M
Current Accrued Expenses 3.4M 3.1M 2.3M 1.9M
Current Deferred Revenue 6.8M 4.4M 3.5M 2.5M
Current Liabilities 38.8M 24.5M 24.4M 16.8M
Long Term Debt 1.8M 6.7M 10.0M 13.0M
Long Term Debt And Capital Lease Obligation 6.4M 11.7M 15.7M 19.3M
Long Term Capital Lease Obligation 4.6M 5.0M 5.7M 6.3M
Total Non Current Liabilities Net Minority Interest 6.4M 11.7M 15.7M 19.3M
Total Liabilities Net Minority Interest 45.1M 36.2M 40.2M 36.2M
Common Stock 78.2M 77.4M 77.0M 76.6M
Capital Stock 78.2M 77.4M 77.0M 76.6M
Additional Paid In Capital 3.1M 3.0M 2.9M 1.9M
Retained Earnings -24.8M -27.9M -25.7M -21.1M
Gains Losses Not Affecting Retained Earnings 1.4M -1.1M -440,000 -2.6M
Other Equity Adjustments 1.4M -1.1M -440,000 -2.6M
Common Stock Equity 57.9M 51.4M 53.7M 54.8M
Stockholders Equity 57.9M 51.4M 53.7M 54.8M
Total Equity Gross Minority Interest 57.9M 51.4M 53.7M 54.8M
Total Capitalization 59.7M 58.1M 63.8M 67.8M
Net Tangible Assets 15.6M 12.1M 12.0M 14.0M
Tangible Book Value 15.6M 12.1M 12.0M 14.0M
Working Capital 6.3M 9.5M 12.6M 18.9M
Invested Capital 65.0M 61.2M 66.8M 70.9M
Total Debt 12.6M 15.4M 19.4M 22.9M
Share Issued 31.6M 31.4M 31.3M 31.2M
Ordinary Shares Number 31.6M 31.4M 31.3M 31.2M
Buildings And Improvements 7.2M 6.1M 6.1M 5.7M
Capital Lease Obligations 5.4M 5.7M 6.3M 6.9M
Construction In Progress -- -- 0.00 0.00
Current Capital Lease Obligation 841,000 691,000 623,000 552,000
Current Deferred Liabilities 6.8M 4.4M 3.5M 2.5M
Current Notes Payable 2.4M 0.00 -- --
Finished Goods 22.1M 15.1M 15.9M 12.8M
Leases 946,000 869,000 874,000 800,000
Machinery Furniture Equipment 535,000 413,000 399,000 289,000
Non Current Deferred Assets 4.8M 5.7M 5.1M 3.6M
Non Current Deferred Liabilities -- -- -- 0.00
Non Current Deferred Taxes Assets 4.8M 5.7M 5.1M 3.6M
Non Current Deferred Taxes Liabilities -- -- -- 0.00
Other Current Borrowings 3.0M 3.0M 3.1M 3.1M
Other Inventories 436,000 297,000 543,000 683,000
Other Properties 9.9M 6.2M 6.0M 5.4M
Preferred Securities Outside Stock Equity -- -- -- 0.00
Properties 0.00 0.00 0.00 0.00
Taxes Receivable 332,000 115,000 67,000 421,000
Total Tax Payable 448,000 412,000 422,000 395,000
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Operating Cash Flow 13.0M 2.4M 4.7M -19.5M
Cash Flow From Continuing Operating Activities 13.0M 2.4M 4.7M -19.5M
Depreciation And Amortization 2.7M 3.2M 3.5M 2.7M
Depreciation Amortization Depletion 2.7M 3.2M 3.5M 2.7M
Stock Based Compensation 1.0M 513,000 1.3M 1.5M
Deferred Tax 1.3M -676,000 -1.3M -4.2M
Deferred Income Tax 1.3M -676,000 -1.3M -4.2M
Change In Working Capital 3.8M 343,000 4.1M -6.8M
Changes In Account Receivables -703,000 -897,000 -457,000 669,000
Change In Receivables -703,000 -897,000 -457,000 669,000
Change In Inventory -7.1M 1.0M -2.9M -7.7M
Change In Payables And Accrued Expense 9.3M -845,000 6.5M -94,000
Change In Other Working Capital 2.4M 938,000 961,000 278,000
Other Non Cash Items 1.5M 1.1M 1.6M 1.9M
Capital Expenditure -3.2M -563,000 -258,000 -3.6M
Purchase Of PPE -3.2M -563,000 -258,000 -3.6M
Net PPE Purchase And Sale -3.2M -563,000 -258,000 -3.6M
Investing Cash Flow -3.2M -563,000 -258,000 -3.6M
Cash Flow From Continuing Investing Activities -3.2M -563,000 -258,000 -3.6M
Repayment Of Debt -4.9M -5.1M -5.1M -9.9M
Net Issuance Payments Of Debt -4.9M -5.1M -5.1M -9.9M
Issuance Of Capital Stock -- -- 0.00 55.0M
Repurchase Of Capital Stock -213,000 0.00 -- --
Net Common Stock Issuance -213,000 0.00 0.00 55.0M
Common Stock Payments -213,000 0.00 -- --
Financing Cash Flow -5.0M -5.1M -5.1M 41.5M
Cash Flow From Continuing Financing Activities -5.0M -5.1M -5.1M 41.5M
Effect Of Exchange Rate Changes -1.6M 480,000 -1.0M -187,000
Changes In Cash 4.9M -3.2M -709,000 18.4M
Beginning Cash Position 16.0M 18.8M 20.5M 2.3M
End Cash Position 19.3M 16.0M 18.8M 20.5M
Free Cash Flow 9.9M 1.8M 4.4M -23.1M
Interest Paid Supplemental Data 688,000 1.1M -- --
Amortization Cash Flow 356,000 1.5M 1.7M 1.6M
Amortization Of Intangibles 356,000 1.5M 1.7M 1.6M
Change In Prepaid Assets -59,000 142,000 -17,000 53,000
Common Stock Issuance -- -- 0.00 55.0M
Depreciation 2.3M 1.7M 1.8M 1.0M
Long Term Debt Payments -4.9M -5.1M -5.1M -9.9M
Net Foreign Currency Exchange Gain Loss -444,000 146,000 -391,000 -130,000
Net Income From Continuing Operations 3.1M -2.2M -4.6M -14.6M
Net Long Term Debt Issuance -4.9M -5.1M -5.1M -9.9M
Net Other Financing Charges -- -- -- -4.0M
Operating Gains Losses -444,000 146,000 -391,000 -130,000
Proceeds From Stock Option Exercised 71,000 65,000 0.00 312,000
Taxes Refund Paid -27,000 11,000 401,000 151,000
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