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Marksmen Energy Inc.

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 371,420 844,932 1.2M 842,317
Operating Revenue 371,420 844,932 1.2M 842,317
Cost Of Revenue 305,161 724,500 653,549 585,362
Gross Profit 66,259 120,432 550,324 256,955
Selling General And Administration 468,462 1.3M 1.0M 768,938
General And Administrative Expense 468,462 1.3M 1.0M 768,938
Other Operating Expenses -36,246 52,954 3,433 62,173
Operating Expense 432,216 1.3M 1.0M 831,111
Operating Income -365,957 -1.2M -475,498 -574,156
EBIT -1.5M -4.7M -474,971 -475,455
Interest Expense 178,272 174,527 172,600 169,740
Interest Expense Non Operating 178,272 174,527 172,600 169,740
Net Interest Income -178,272 -199,458 -172,073 -175,139
Other Income Expense -1.1M -3.4M -- 104,100
Other Non Operating Income Expenses -- -- -- 98,737
Special Income Charges -1.1M -3.4M 0.00 5,363
Restructuring And Mergern Acquisition -- -- 0.00 -24,740
Write Off 0.00 21,122 0.00 --
Pretax Income -1.7M -4.8M -647,571 -645,195
Tax Effect Of Unusual Items 0.00 0.00 0.00 0.00
Net Income From Continuing And Discontinued Operation -1.7M -4.8M -647,571 -645,195
Net Income From Continuing Operation Net Minority Interest -1.7M -4.8M -647,571 -645,195
Net Income Including Noncontrolling Interests -1.7M -4.8M -647,571 -645,195
Net Income Common Stockholders -1.7M -4.8M -647,571 -645,195
Net Income -1.7M -4.8M -647,571 -645,195
EBITDA -1.4M -4.4M -166,509 -260,080
Normalized EBITDA -306,862 -913,476 -166,509 -265,443
Reconciled Depreciation 59,095 311,469 308,462 215,375
Basic EPS -0.01 -0.03 -0.00 -0.00
Diluted EPS -0.01 -0.03 -0.00 -0.00
Basic Average Shares 198.9M 188.4M 167.3M 142.5M
Diluted Average Shares 198.9M 188.4M 167.3M 142.5M
Total Unusual Items -1.1M -3.4M 0.00 5,363
Total Unusual Items Excluding Goodwill -1.1M -3.4M 0.00 5,363
Tax Rate For Calcs 0.00 0.00 0.00 0.00
Normalized Income -544,229 -1.4M -647,571 -650,558
Diluted NI Availto Com Stockholders -1.7M -4.8M -647,571 -645,195
Gain On Sale Of Ppe -53,518 53,662 0.00 0.00
Impairment Of Capital Assets 1.1M 3.5M 0.00 19,377
Net Income Continuous Operations -1.7M -4.8M -647,571 -645,195
Net Non Operating Interest Income Expense -178,272 -199,458 -172,073 -175,139
Other Gand A 468,462 899,907 534,560 581,390
Other Special Charges -- -4,521 -- --
Reconciled Cost Of Revenue 305,161 724,500 653,549 585,362
Salaries And Wages 0.00 367,585 487,829 187,548
Total Expenses 737,377 2.0M 1.7M 1.4M
Total Operating Income As Reported -402,203 -1.1M -472,065 -511,983
Total Other Finance Cost -- 24,931 -527.00 5,399
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Cash And Cash Equivalents 88,795 88,938 338,319 621,413
Cash Cash Equivalents And Short Term Investments 88,795 88,938 338,319 621,413
Cash Financial 88,795 88,938 338,319 621,413
Accounts Receivable 41,210 57,981 165,947 224,512
Receivables 41,210 57,981 165,947 224,512
Prepaid Assets 69,934 65,922 64,252 62,096
Current Assets 199,939 303,257 568,518 908,021
Gross PPE 6.6M 7.4M 8.4M 6.1M
Accumulated Depreciation -6.2M -5.7M -3.0M -2.5M
Net PPE 427,180 1.7M 5.4M 3.5M
Total Non Current Assets 427,180 1.7M 5.4M 3.5M
Total Assets 627,119 2.0M 6.0M 4.5M
Current Debt 60,000 1.2M 35,069 1.3M
Current Debt And Capital Lease Obligation 60,000 1.2M 35,069 1.3M
Accounts Payable -- 485,181 994,220 464,669
Payables -- 485,181 994,220 464,669
Payables And Accrued Expenses 622,124 485,181 994,220 464,669
Current Liabilities 1.1M 2.0M 1.3M 1.9M
Long Term Debt 1.2M 60,000 1.2M --
Long Term Debt And Capital Lease Obligation 1.2M 60,000 1.2M --
Total Non Current Liabilities Net Minority Interest 1.4M 340,158 1.5M 272,356
Total Liabilities Net Minority Interest 2.4M 2.3M 2.8M 2.2M
Common Stock 23.3M 23.2M 21.9M 20.3M
Capital Stock 23.3M 23.2M 21.9M 20.3M
Additional Paid In Capital 8.2M 8.2M 7.2M 7.1M
Retained Earnings -34.3M -32.6M -27.8M -27.1M
Gains Losses Not Affecting Retained Earnings 837,774 782,567 826,638 583,635
Common Stock Equity -1.8M -370,763 3.2M 2.3M
Stockholders Equity -1.8M -370,763 3.2M 2.3M
Total Equity Gross Minority Interest -1.8M -370,763 3.2M 2.3M
Total Capitalization -552,780 -310,763 4.4M 2.3M
Net Tangible Assets -1.8M -370,763 3.2M 2.3M
Tangible Book Value -1.8M -370,763 3.2M 2.3M
Working Capital -877,329 -1.7M -712,954 -980,394
Invested Capital -492,780 910,965 4.4M 3.6M
Total Debt 1.3M 1.3M 1.2M 1.3M
Net Debt 1.2M 1.2M 893,951 641,583
Share Issued 211.4M 192.1M 177.2M 163.1M
Ordinary Shares Number 211.4M 192.1M 177.2M 163.1M
Assets Held For Sale Current 0.00 90,416 0.00 --
Current Notes Payable -- 1.2M 0.00 1.2M
Current Provisions 395,144 290,021 252,183 160,750
Long Term Provisions 102,631 280,158 322,595 272,356
Other Current Borrowings 60,000 1.2M 35,069 35,596
Other Equity Interest 139,198 121,107 1.0M 1.4M
Other Properties 6.6M 7.4M 8.4M 6.1M
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Operating Cash Flow -404,178 -347,572 -120,181 -621,700
Cash Flow From Continuing Operating Activities -404,178 -347,572 -120,181 -621,700
Depreciation And Amortization 881.00 745.00 487.00 821.00
Depreciation Amortization Depletion 59,095 311,469 308,462 215,375
Stock Based Compensation 0.00 367,584 158,839 187,548
Change In Working Capital 88,930 233,374 32,937 -325,605
Change In Receivables 16,771 107,966 58,565 -133,870
Change In Payables And Accrued Expense 76,171 127,078 -23,472 -191,668
Other Non Cash Items -7,974 102,412 27,152 -73,200
Capital Expenditure -58,343 -229,702 -1.8M -390,386
Purchase Of PPE -- -- -- -1.0M
Net PPE Purchase And Sale -- -- -- 0.00
Sale Of Business 220,302 0.00 -- --
Investing Cash Flow 222,728 -879,045 -1.3M -704,608
Cash Flow From Continuing Investing Activities 222,728 -879,045 -1.3M -704,608
Issuance Of Capital Stock 182,113 120,801 0.00 1.7M
Net Common Stock Issuance 182,113 120,801 0.00 1.7M
Financing Cash Flow 182,113 981,551 1.1M 1.8M
Cash Flow From Continuing Financing Activities 182,113 981,551 1.1M 1.8M
Effect Of Exchange Rate Changes -807.00 -4,315 53,249 -10,831
Changes In Cash 664.00 -245,066 -336,343 496,617
Beginning Cash Position 88,938 338,319 621,413 135,627
End Cash Position 88,795 88,938 338,319 621,413
Free Cash Flow -462,521 -577,274 -2.0M -1.0M
Asset Impairment Charge 1.1M 3.5M 0.00 19,377
Capital Expenditure Reported -58,343 -229,702 -1.8M -390,386
Change In Prepaid Assets -4,012 -1,670 -2,156 -67.00
Common Stock Issuance 182,113 120,801 0.00 1.7M
Depletion 58,214 310,724 307,975 214,554
Depreciation 881.00 745.00 487.00 821.00
Gain Loss On Sale Of PPE 53,518 0.00 -- 0.00
Net Business Purchase And Sale 220,302 0.00 -- --
Net Income From Continuing Operations -1.7M -4.8M -647,571 -645,195
Net Other Investing Changes 60,769 -649,343 543,890 -314,222
Operating Gains Losses 53,518 -- -- --
Proceeds From Stock Option Exercised 0.00 860,750 1.1M 162,050
Sale Of PPE -- -- -- 0.00
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