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Lithium Ionic Corp.

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 0.00 0.00 0.00 --
Operating Revenue 0.00 0.00 0.00 --
Cost Of Revenue 357,167 305,250 33,153 --
Gross Profit -357,167 -305,250 -33,153 --
Selling General And Administration 10.2M 10.5M 11.9M --
General And Administrative Expense 10.2M 10.5M 11.9M --
Other Operating Expenses 18.3M 54.0M 9.9M --
Operating Expense 28.5M 64.5M 21.8M --
Operating Income -28.9M -64.8M -21.8M --
EBIT -29.1M -64.3M -26.1M --
Interest Expense 134,475 34,606 5,352 --
Interest Expense Non Operating 134,475 34,606 5,352 --
Interest Income 341,332 819,940 459,530 --
Interest Income Non Operating 341,332 819,940 459,530 --
Net Interest Income 206,857 785,334 454,178 --
Other Income Expense -542,543 -291,432 -4.8M --
Special Income Charges 9,291 -858.00 -4.6M --
Restructuring And Mergern Acquisition -- 0.00 4.6M --
Gain On Sale Of Security -551,834 -290,574 -116,621 --
Pretax Income -29.2M -64.3M -26.1M --
Tax Effect Of Unusual Items 0.00 0.00 0.00 --
Net Income From Continuing And Discontinued Operation -29.2M -64.3M -26.1M --
Net Income From Continuing Operation Net Minority Interest -29.2M -64.3M -26.1M --
Net Income Including Noncontrolling Interests -29.2M -64.3M -26.1M --
Net Income Common Stockholders -29.2M -64.3M -26.1M --
Net Income -29.2M -64.3M -26.1M --
EBITDA -28.7M -64.0M -26.1M --
Normalized EBITDA -28.2M -63.7M -21.3M --
Reconciled Depreciation 357,167 305,250 33,153 --
Basic EPS -0.19 -0.50 -0.28 --
Diluted EPS -0.19 -0.50 -0.28 --
Basic Average Shares 149.8M 128.1M 93.8M --
Diluted Average Shares 149.8M 128.1M 93.8M --
Total Unusual Items -542,543 -291,432 -4.8M --
Total Unusual Items Excluding Goodwill -542,543 -291,432 -4.8M --
Tax Rate For Calcs 0.00 0.00 0.00 --
Normalized Income -28.6M -64.0M -21.4M --
Diluted NI Availto Com Stockholders -29.2M -64.3M -26.1M --
Gain On Sale Of Ppe 9,291 0.00 -- --
Net Income Continuous Operations -29.2M -64.3M -26.1M --
Net Non Operating Interest Income Expense 206,857 785,334 454,178 --
Other Gand A 9.5M 7.5M 5.0M --
Other Special Charges -- 858.00 -- --
Reconciled Cost Of Revenue 357,167 305,250 33,153 --
Salaries And Wages 612,300 3.0M 6.9M --
Total Expenses 28.9M 64.8M 21.8M --
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Cash And Cash Equivalents 23.8M 11.2M 21.5M 7.8M
Cash Cash Equivalents And Short Term Investments 23.8M 11.2M 31.5M 7.8M
Cash Equivalents 18.7M 8.5M 20.5M 0.00
Cash Financial 5.0M 2.7M 992,788 7.8M
Other Short Term Investments -- 0.00 10.0M 0.00
Accounts Receivable 574,742 336,155 572,150 43,424
Receivables 574,742 336,155 572,150 43,424
Prepaid Assets 489,108 511,679 426,863 1,000
Current Assets 24.8M 12.0M 32.5M 7.8M
Gross PPE 1.4M 1.5M 378,895 0.00
Accumulated Depreciation -579,195 -349,180 -33,153 0.00
Net PPE 770,805 1.2M 345,742 0.00
Goodwill And Other Intangible Assets 7.1M 0.00 -- --
Other Intangible Assets 7.1M -- -- --
Total Non Current Assets 7.9M 1.2M 345,742 0.00
Total Assets 32.7M 13.2M 32.8M 7.8M
Current Debt And Capital Lease Obligation 158,423 256,168 110,792 --
Payables And Accrued Expenses 5.6M 4.5M 2.0M 945,956
Current Liabilities 5.8M 4.8M 2.1M 945,956
Long Term Debt And Capital Lease Obligation 52,592 238,872 136,778 --
Long Term Capital Lease Obligation 52,592 238,872 136,778 0.00
Other Non Current Liabilities 29.9M -- -- --
Total Non Current Liabilities Net Minority Interest 29.9M 238,872 136,778 0.00
Total Liabilities Net Minority Interest 35.7M 5.0M 2.3M 945,956
Common Stock 101.8M 86.5M 49.7M 7.5M
Capital Stock 101.8M 86.5M 49.7M 7.5M
Retained Earnings -119.6M -91.2M -26.9M -779,368
Gains Losses Not Affecting Retained Earnings 6,192 0.00 -- --
Other Equity Adjustments 6,192 -- -- --
Common Stock Equity -3.1M 8.2M 30.6M 6.9M
Stockholders Equity -3.1M 8.2M 30.6M 6.9M
Total Equity Gross Minority Interest -3.1M 8.2M 30.6M 6.9M
Total Capitalization -3.1M 8.2M 30.6M 6.9M
Net Tangible Assets -10.1M 8.2M 30.6M 6.9M
Tangible Book Value -10.1M 8.2M 30.6M 6.9M
Working Capital 19.0M 7.2M 30.4M 6.9M
Invested Capital -3.1M 8.2M 30.6M 6.9M
Total Debt 211,015 495,040 247,570 0.00
Share Issued 158.6M 138.2M 117.1M 100.5M
Ordinary Shares Number 158.6M 138.2M 117.1M 100.5M
Capital Lease Obligations 211,015 495,040 247,570 0.00
Current Capital Lease Obligation 158,423 256,168 110,792 0.00
Land And Improvements 271,368 271,368 0.00 0.00
Machinery Furniture Equipment 433,261 644,456 181,243 0.00
Other Equity Interest 14.8M 12.9M 7.8M 179,241
Other Properties 645,371 617,908 197,652 --
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Operating Cash Flow -21.0M -44.9M -14.5M --
Cash Flow From Continuing Operating Activities -21.0M -44.9M -14.5M --
Depreciation And Amortization 357,167 305,250 33,153 --
Depreciation Amortization Depletion 357,167 305,250 33,153 --
Stock Based Compensation 612,300 3.0M 6.9M --
Change In Working Capital 893,394 -3.2M 46,048 --
Change In Receivables -238,587 239,958 -518,801 --
Change In Payables And Accrued Expense 1.1M -3.4M 990,712 --
Other Non Cash Items 6.1M 19.3M 4.6M --
Capital Expenditure -4.4M -654,087 -10.1M --
Purchase Of PPE -46,317 -654,087 -99,980 --
Net PPE Purchase And Sale -46,317 -654,087 -99,980 --
Purchase Of Business -4.1M -2.9M 0.00 --
Sale Of Business 0.00 142,469 701,110 --
Sale Of Investment 0.00 10.0M -- --
Net Investment Purchase And Sale 0.00 10.0M -- --
Investing Cash Flow -8.5M 6.6M -9.4M --
Cash Flow From Continuing Investing Activities -8.5M 6.6M -9.4M --
Issuance Of Debt 600,000 0.00 -- --
Repayment Of Debt -886,536 -225,550 -35,669 --
Net Issuance Payments Of Debt -286,536 -225,550 -35,669 --
Issuance Of Capital Stock 16.0M 28.8M 39.0M --
Net Common Stock Issuance 16.0M 28.8M 39.0M --
Financing Cash Flow 41.0M 28.0M 37.6M --
Cash Flow From Continuing Financing Activities 41.0M 28.0M 37.6M --
Effect Of Exchange Rate Changes 1.1M 0.00 -- --
Changes In Cash 11.5M -10.3M 13.7M --
Beginning Cash Position 11.2M 21.5M 7.8M --
End Cash Position 23.8M 11.2M 21.5M --
Free Cash Flow -25.4M -45.6M -24.6M --
Capital Expenditure Reported -4.3M 0.00 -- --
Change In Prepaid Assets 22,571 -79,005 -425,863 --
Common Stock Issuance 16.0M 28.8M 39.0M --
Depreciation 357,167 305,250 33,153 --
Long Term Debt Payments -286,536 -225,550 -35,669 --
Net Business Purchase And Sale -4.1M -2.7M 701,110 --
Net Foreign Currency Exchange Gain Loss 147,787 20,766 -1,028 --
Net Income From Continuing Operations -29.2M -64.3M -26.1M --
Net Intangibles Purchase And Sale -- -- -10.0M --
Net Long Term Debt Issuance -286,536 -225,550 -35,669 --
Net Other Financing Charges 25.2M -2.0M -2.0M --
Net Other Investing Changes 23,852 -- -- --
Net Short Term Debt Issuance 0.00 0.00 -- --
Operating Gains Losses 138,496 21,624 -1,028 --
Proceeds From Stock Option Exercised 86,678 1.4M 573,583 --
Purchase Of Intangibles -- -- -10.0M --
Short Term Debt Issuance 600,000 0.00 -- --
Short Term Debt Payments -600,000 0.00 -- --
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