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QYOU Media Inc.

Financial Statements (IFRS) · Amounts in CAD
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line Item Q3 2025Sep 30, 2025 Q2 2025Jun 30, 2025 Q1 2025Mar 31, 2025 Q4 2024Dec 31, 2024 Q3 2024Sep 30, 2024
Total Revenue 9.6M 5.7M 5.7M 7.3M 6.7M
Operating Revenue 9.6M 5.7M 5.7M 7.3M 6.7M
Cost Of Revenue 4.7M 3.0M 2.8M 5.4M 3.4M
Gross Profit 4.9M 2.7M 2.9M 1.8M 3.2M
Selling General And Administration 3.5M 2.8M 3.4M 2.7M 2.1M
General And Administrative Expense 2.9M 2.6M 3.0M 3.9M 1.6M
Depreciation And Amortization In Income Statement 21,720 6,092 30,844 300,698 9,327
Operating Expense 3.5M 2.8M 3.4M 3.0M 2.1M
Operating Income 1.4M -47,468 -452,066 -1.2M 1.2M
EBIT 1.4M -56,160 -452,066 -1.3M 1.2M
Interest Expense 103,196 237,778 -- 671,238 49,661
Interest Expense Non Operating 103,196 237,778 -- 671,238 49,661
Interest Income -- -- 201,818 -- --
Interest Income Non Operating -- -- 201,818 -- --
Net Interest Income -103,196 -237,778 201,818 -671,238 -49,661
Other Income Expense 5,173 -8,692 -3,005 -142,062 48,736
Gain On Sale Of Security 5,173 -8,692 -3,005 82,895 48,736
Pretax Income 1.3M -293,938 -253,253 -2.0M 1.2M
Tax Provision 538,996 -214,719 379,687 598,144 162,312
Tax Effect Of Unusual Items 775.95 -1,304 -450.75 -21,309 6,787
Net Income From Continuing And Discontinued Operation 490,063 -25,401 -632,940 -4.9M -270,291
Net Income From Continuing Operation Net Minority Interest 493,752 5,729 -632,940 -2.3M 1.6M
Net Income Including Noncontrolling Interests 738,313 -110,349 -632,940 -5.2M -823,109
Minority Interests -248,250 84,948 -- 344,814 552,818
Net Income Common Stockholders 490,063 -25,401 -632,940 -4.9M -270,291
Net Income 490,063 -25,401 -632,940 -4.9M -270,291
EBITDA 1.4M -50,068 -421,222 -1.0M 1.2M
Normalized EBITDA 1.4M -41,376 -418,217 -901,291 1.2M
Reconciled Depreciation 21,720 6,092 30,844 300,698 -1.6M
Basic EPS 0.02 0.00 0.00 -- -0.02
Diluted EPS 0.01 0.00 0.00 -- -0.02
Basic Average Shares 45.3M 44.7M 44.3M -- 43.7M
Diluted Average Shares 45.3M 44.7M 44.3M -- 43.7M
Total Unusual Items 5,173 -8,692 -3,005 -142,062 48,736
Total Unusual Items Excluding Goodwill 5,173 -8,692 -3,005 -142,062 48,736
Tax Rate For Calcs 0.15 0.15 0.15 0.15 0.14
Normalized Income 489,355 13,117 -630,386 -2.1M 1.5M
Depreciation Amortization Depletion Income Statement 21,720 6,092 30,844 300,698 9,327
Diluted NI Availto Com Stockholders 490,063 -25,401 -632,940 -4.9M -270,291
Net Income Continuous Operations 742,002 -79,219 -632,940 -2.6M 1.0M
Net Income Discontinuous Operations -3,689 -31,130 -- -- -1.8M
Net Non Operating Interest Income Expense -103,196 -237,778 201,818 -671,238 -49,661
Other Gand A 589,198 283,166 549,619 250,447 339,569
Reconciled Cost Of Revenue 4.7M 3.0M 2.8M 5.4M 5.1M
Salaries And Wages 2.3M 2.3M 2.5M 3.6M 1.3M
Selling And Marketing Expense 649,275 125,156 364,084 -1.1M 451,612
Total Expenses 8.2M 5.8M 6.2M 8.5M 5.5M
Line Item Q3 2025Sep 30, 2025 Q2 2025Jun 30, 2025 Q1 2025Mar 31, 2025 Q4 2024Dec 31, 2024 Q3 2024Sep 30, 2024
Cash And Cash Equivalents 4.1M 871,689 1.3M 946,784 874,367
Cash Cash Equivalents And Short Term Investments 4.1M 871,689 1.3M 946,784 874,367
Cash Financial 4.1M 871,689 1.3M 946,784 874,367
Accounts Receivable 6.9M 6.3M 5.6M 6.7M 6.6M
Receivables 8.6M 7.9M 7.1M 8.8M 8.0M
Prepaid Assets 2.4M 2.1M 1.6M 1.2M 1.0M
Current Assets 15.0M 10.9M 9.9M 11.0M 9.9M
Gross PPE 881,464 895,459 935,127 972,495 964,425
Accumulated Depreciation -759,634 -751,599 -778,368 -769,539 -721,961
Net PPE 121,830 143,860 156,759 202,956 242,464
Goodwill -- -- -- 0.00 214,557
Goodwill And Other Intangible Assets 665,185 94,324 736,133 1.1M 2.6M
Other Intangible Assets 665,185 94,324 736,133 1.1M 2.4M
Total Non Current Assets 868,279 320,256 979,259 1.4M 3.0M
Total Assets 15.9M 11.8M 10.9M 12.3M 12.9M
Current Debt 1.0M 1.3M 941,998 2.0M 1.1M
Current Debt And Capital Lease Obligation 1.1M 1.4M 1.0M 2.0M 1.2M
Accounts Payable 10.7M 10.0M 9.8M 10.6M 8.8M
Payables 10.7M 10.0M 9.8M 10.6M 8.8M
Payables And Accrued Expenses 10.7M 10.0M 9.8M 10.6M 8.8M
Current Deferred Revenue 745,836 829,256 87,372 103,370 207,905
Other Current Liabilities 2.5M 378,864 346,547 714,461 822,790
Current Liabilities 15.0M 12.6M 11.2M 13.5M 11.1M
Long Term Debt 47,915 48,293 51,924 53,298 51,293
Long Term Debt And Capital Lease Obligation 47,915 48,293 71,960 91,833 105,504
Long Term Capital Lease Obligation 0.00 0.00 20,036 38,535 54,211
Total Non Current Liabilities Net Minority Interest 47,915 48,293 71,960 91,833 147,958
Total Liabilities Net Minority Interest 15.1M 12.6M 11.3M 13.6M 11.2M
Common Stock 57.7M 57.0M 56.9M 55.1M 54.6M
Capital Stock 57.7M 57.0M 56.9M 55.1M 54.6M
Retained Earnings -73.9M -74.4M -74.4M -72.7M -67.8M
Gains Losses Not Affecting Retained Earnings 82,222 -307,851 157,060 121,817 67,897
Common Stock Equity 732,185 -724,736 -349,189 -230,699 3.9M
Stockholders Equity 732,185 -724,736 -349,189 -230,699 3.9M
Total Equity Gross Minority Interest 842,590 -862,581 -402,086 -1.2M 1.7M
Minority Interest 110,405 -137,845 -52,897 -1.0M -2.2M
Total Capitalization 780,100 -676,443 -297,265 -177,401 4.0M
Net Tangible Assets 67,000 -819,060 -1.1M -1.3M 1.3M
Tangible Book Value 67,000 -819,060 -1.1M -1.3M 1.3M
Working Capital 22,228 -1.7M -1.3M -2.5M -1.2M
Invested Capital 1.8M 649,284 644,733 1.8M 5.1M
Total Debt 1.1M 1.4M 1.1M 2.1M 1.3M
Net Debt -- 502,331 -- 1.1M 300,341
Share Issued 51.9M 49.8M 49.3M 43.4M 43.6M
Ordinary Shares Number 51.9M 49.8M 49.3M 43.4M 43.6M
Allowance For Doubtful Accounts Receivable -104,752 -108,135 -159,591 -251,619 -53,224
Buildings And Improvements 41,596 56,239 74,276 89,131 134,162
Capital Lease Obligations 52,732 69,977 90,869 106,401 158,264
Current Capital Lease Obligation 52,732 69,977 70,833 67,866 104,053
Current Deferred Liabilities 745,836 829,256 87,372 103,370 207,905
Foreign Currency Translation Adjustments 82,222 -307,851 157,060 121,817 67,897
Gross Accounts Receivable 7.0M 6.4M 5.8M 7.0M 6.7M
Line Of Credit -- -- -- 0.00 182,632
Machinery Furniture Equipment 839,868 839,220 860,851 883,364 830,263
Non Current Deferred Liabilities -- -- -- 0.00 42,454
Non Current Deferred Taxes Liabilities -- -- -- 0.00 42,454
Non Current Prepaid Assets 81,264 82,072 86,367 84,882 163,508
Other Current Borrowings 1.0M 1.3M 941,998 2.0M 940,783
Other Equity Interest 16.9M 17.0M 17.0M 17.3M 17.1M
Other Receivables 1.6M 1.6M 1.5M 2.1M 1.3M
Properties 0.00 0.00 0.00 0.00 0.00
Line Item Q3 2025Sep 30, 2025 Q2 2025Jun 30, 2025 Q1 2025Mar 31, 2025 Q4 2024Dec 31, 2024 Q3 2024Sep 30, 2024
Operating Cash Flow 1.2M -1.2M 683,523 976,885 -850,908
Cash Flow From Continuing Operating Activities 1.2M -1.2M 683,523 976,885 -850,908
Depreciation And Amortization 21,720 6,092 30,844 300,698 -1.6M
Depreciation Amortization Depletion 21,720 6,092 30,844 300,698 -1.6M
Stock Based Compensation 42,218 50,473 257,813 1.6M 290,206
Deferred Tax 538,996 -214,719 379,687 598,144 162,312
Deferred Income Tax 538,996 -214,719 379,687 598,144 162,312
Change In Working Capital -345,026 -803,570 486,404 780,143 -520,400
Changes In Account Receivables -631,472 -687,468 1.1M -66,525 -823,517
Change In Receivables -716,648 -1.3M 1.7M -808,911 -712,864
Change In Payables And Accrued Expense 733,345 217,825 -867,472 1.8M 8,420
Change In Payable 733,345 217,825 -867,472 1.8M 8,420
Change In Other Working Capital -83,420 741,884 -15,998 -104,535 158,540
Other Non Cash Items 106,227 -163,027 204,981 248,925 134,397
Capital Expenditure -689.00 -- -74,287 -- --
Purchase Of PPE -2,150 0.00 0.00 -25,893 528.00
Net PPE Purchase And Sale -2,150 0.00 0.00 -25,893 528.00
Purchase Of Business -- -- -367,914 -299,062 0.00
Sale Of Business 839,187 -410,887 844,616 748,465 0.00
Investing Cash Flow -102,847 385,054 402,415 883,974 528.00
Cash Flow From Continuing Investing Activities -102,847 385,054 402,415 883,974 528.00
Issuance Of Debt 12,223 709,741 0.00 6.4M 2.8M
Repayment Of Debt -327,713 -320,982 -1.1M -5.5M -2.3M
Net Issuance Payments Of Debt -315,490 388,759 -1.1M 794,902 521,102
Issuance Of Capital Stock -- -- 1.1M -502,329 0.00
Net Common Stock Issuance -- -- 1.1M -502,329 0.00
Financing Cash Flow 2.4M 263,197 387,909 392,728 521,102
Cash Flow From Continuing Financing Activities 2.4M 263,197 387,909 392,728 521,102
Effect Of Exchange Rate Changes 28,687 -676.00 -3,306 4,486 -845.00
Changes In Cash 3.2M -381,310 310,197 67,931 -135,344
Beginning Cash Position 871,689 1.3M 946,784 874,367 1.0M
End Cash Position 4.1M 871,689 1.3M 946,784 874,367
Free Cash Flow 1.2M -1.2M 609,236 1.5M -850,380
Capital Expenditure Reported 1,461 3,001 -74,287 598,285 -742,634
Cash Dividends Paid 0.00 0.00 0.00 -- 0.00
Cash Flow From Discontinued Operation -213,786 194,211 -1.2M -- 193,934
Change In Prepaid Assets -278,303 -478,221 -362,522 -120,572 25,504
Common Stock Issuance -- -- 1.1M -502,329 0.00
Gain Loss On Sale Of Business -- -- 0.00 -- --
Interest Paid Cff -192,204 -90,765 -141,839 -- 0.00
Long Term Debt Issuance 12,223 709,741 0.00 1.3M 2.8M
Long Term Debt Payments -327,713 -320,982 -1.1M -297,057 -2.3M
Net Business Purchase And Sale 322,868 -42,973 476,702 449,403 -241,346
Net Foreign Currency Exchange Gain Loss 70,738 -19,802 -43,266 101,829 -329,029
Net Income From Continuing Operations 742,002 -79,219 -632,940 -2.6M 1.0M
Net Long Term Debt Issuance -315,490 388,759 -1.1M 953,447 521,102
Net Short Term Debt Issuance -- -- -- -158,545 -326,600
Operating Gains Losses 70,738 -19,802 -43,266 101,829 -329,029
Proceeds From Stock Option Exercised -- 1.1M 459,927 433,084 -1.7M
Short Term Debt Issuance -- -- -- -- -326,600
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