◆ Market Data --:--
Commodities
Loading...
📈 Yields & Rates
Loading...
💱 FX Rates
Loading...
📈 Market Pulse
Loading...
🏛 Congress Trades
Loading...
👤 Insider Trades
Loading...

Reko International Group Inc.

Financial Statements (IFRS) · Amounts in CAD
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line Item FY 2025Jul 31, 2025 FY 2024Jul 31, 2024 FY 2023Jul 31, 2023 FY 2022Jul 31, 2022 FY 2021Jul 31, 2021
Total Revenue 42.2M 44.3M 46.8M 53.9M --
Operating Revenue 42.2M 44.3M 46.8M 53.9M --
Cost Of Revenue 35.0M 40.0M 39.7M 45.2M --
Gross Profit 7.2M 4.3M 7.1M 8.7M --
Selling General And Administration 6.5M 5.2M 5.8M 6.4M --
Operating Expense 6.5M 5.2M 5.8M 6.4M --
Operating Income 660,000 -907,000 1.3M 2.3M --
EBIT 891,000 -741,000 1.6M 3.0M --
Interest Expense 463,000 479,000 462,000 382,000 --
Interest Expense Non Operating 463,000 479,000 462,000 382,000 --
Interest Income 513,000 205,000 238,000 28,000 --
Interest Income Non Operating 513,000 205,000 238,000 28,000 --
Net Interest Income 50,000 -274,000 -224,000 -354,000 --
Other Income Expense -282,000 -39,000 105,000 636,000 --
Other Non Operating Income Expenses 373,000 -49,000 108,000 346,000 --
Special Income Charges -1,000 -120,000 -65,000 -35,000 --
Gain On Sale Of Security -654,000 130,000 62,000 325,000 --
Pretax Income 428,000 -1.2M 1.1M 2.6M --
Tax Provision -617,000 2.7M -185,000 488,000 --
Tax Effect Of Unusual Items -98,250 1,500 -1,200 53,650 --
Net Income From Continuing And Discontinued Operation 1.0M -3.9M 1.3M 2.1M --
Net Income From Continuing Operation Net Minority Interest 1.0M -3.9M 1.3M 2.1M --
Net Income Including Noncontrolling Interests 1.0M -3.9M 1.3M 2.1M --
Net Income Common Stockholders 1.0M -3.9M 1.3M 2.1M --
Net Income 1.0M -3.9M 1.3M 2.1M --
EBITDA 4.8M 3.2M 5.5M 6.4M --
Normalized EBITDA 5.4M 3.2M 5.5M 6.1M --
Reconciled Depreciation 3.9M 4.0M 3.9M 3.4M --
Basic EPS 0.19 -0.70 0.23 0.36 --
Diluted EPS 0.19 -0.70 0.22 0.35 --
Basic Average Shares 5.5M 5.6M 5.7M 5.9M --
Diluted Average Shares 5.5M 5.8M 5.9M 6.1M --
Total Unusual Items -655,000 10,000 -3,000 290,000 --
Total Unusual Items Excluding Goodwill -655,000 10,000 -3,000 290,000 --
Tax Rate For Calcs 0.15 0.15 0.40 0.18 --
Normalized Income 1.6M -3.9M 1.3M 1.9M --
Diluted NI Availto Com Stockholders 1.0M -3.9M 1.3M 2.1M --
Gain On Sale Of Ppe -28,000 -120,000 -65,000 -35,000 --
Impairment Of Capital Assets 250,000 0.00 -- -- --
Net Income Continuous Operations 1.0M -3.9M 1.3M 2.1M --
Net Non Operating Interest Income Expense 50,000 -274,000 -224,000 -354,000 --
Other Special Charges -277,000 -- -- -- --
Reconciled Cost Of Revenue 35.0M 40.0M 39.7M 45.2M --
Total Expenses 41.5M 45.2M 45.5M 51.6M --
Line Item FY 2025Jul 31, 2025 FY 2024Jul 31, 2024 FY 2023Jul 31, 2023 FY 2022Jul 31, 2022 FY 2021Jul 31, 2021
Cash And Cash Equivalents 18.0M 11.4M 12.1M 14.0M --
Cash Cash Equivalents And Short Term Investments 18.0M 11.4M 12.1M 14.0M --
Cash Financial 18.0M 11.4M 12.1M 14.0M --
Other Short Term Investments -- -- -- 0.00 4.5M
Accounts Receivable 9.6M 12.3M 8.7M 11.6M --
Receivables 9.6M 12.3M 8.7M 11.6M --
Inventory 3.7M 5.6M 10.2M 9.2M --
Prepaid Assets -- -- -- 857,000 1.2M
Other Current Assets 825,000 822,000 1.2M 857,000 --
Current Assets 32.1M 30.1M 32.4M 35.8M --
Gross PPE 77.2M 77.9M 78.2M 76.3M --
Accumulated Depreciation -53.2M -52.0M -50.1M -47.2M --
Net PPE 24.0M 25.9M 28.1M 29.0M --
Total Non Current Assets 24.8M 25.9M 30.4M 31.1M --
Total Assets 56.9M 56.0M 62.8M 66.9M --
Current Debt 4.7M 1.6M 4.2M 9.5M --
Current Debt And Capital Lease Obligation 4.7M 1.6M 4.2M 9.5M --
Accounts Payable 1.0M 846,000 2.0M 2.8M --
Payables 1.0M 846,000 2.0M 2.8M --
Payables And Accrued Expenses 4.7M 2.9M 4.2M 6.8M --
Current Accrued Expenses 3.7M 2.0M 2.2M 4.0M --
Current Deferred Revenue 35,000 301,000 655,000 693,000 --
Other Current Liabilities 18,000 43,000 -- -- 138,000
Current Liabilities 9.4M 4.8M 9.1M 17.0M --
Long Term Debt 5.3M 9.4M 7.8M 3.5M --
Long Term Debt And Capital Lease Obligation 5.3M 9.4M 7.8M 3.5M --
Total Non Current Liabilities Net Minority Interest 5.3M 9.8M 7.8M 3.5M --
Total Liabilities Net Minority Interest 14.7M 14.6M 16.9M 20.5M --
Common Stock 16.0M 16.2M 16.4M 16.3M --
Capital Stock 16.0M 16.2M 16.4M 16.3M --
Additional Paid In Capital 848,000 839,000 1.3M 1.8M --
Retained Earnings 25.4M 24.3M 28.2M 28.3M --
Common Stock Equity 42.2M 41.4M 45.9M 46.4M --
Stockholders Equity 42.2M 41.4M 45.9M 46.4M --
Total Equity Gross Minority Interest 42.2M 41.4M 45.9M 46.4M --
Total Capitalization 47.5M 50.8M 53.7M 49.9M --
Net Tangible Assets 42.2M 41.4M 45.9M 46.4M --
Tangible Book Value 42.2M 41.4M 45.9M 46.4M --
Working Capital 22.7M 25.3M 23.3M 18.8M --
Invested Capital 52.2M 52.3M 58.0M 59.4M --
Total Debt 10.0M 11.0M 12.1M 13.0M --
Net Debt -- -- -- -- 2.9M
Share Issued 5.5M 5.6M 5.7M 5.8M --
Ordinary Shares Number 5.5M 5.6M 5.7M 5.8M --
Buildings And Improvements 14.9M 14.9M 14.9M 14.6M --
Construction In Progress 2.2M 234,000 700,000 1.5M --
Current Deferred Liabilities 35,000 301,000 655,000 693,000 --
Hedging Assets Current -- 0.00 143,000 26,000 0.00
Land And Improvements 661,000 661,000 661,000 661,000 --
Leases 922,000 869,000 859,000 844,000 --
Machinery Furniture Equipment 58.5M 61.2M 61.1M 58.7M --
Non Current Accounts Receivable -- -- -- -- 300,000
Non Current Deferred Assets 790,000 0.00 2.3M 2.1M --
Non Current Deferred Liabilities 0.00 379,000 0.00 -- --
Non Current Deferred Taxes Assets 790,000 0.00 2.3M 2.1M --
Non Current Deferred Taxes Liabilities 0.00 379,000 0.00 -- --
Other Current Borrowings 4.7M 1.6M 4.2M 9.5M --
Properties 0.00 0.00 0.00 0.00 --
Treasury Shares Number -- -- 0.00 -- --
Work In Process 3.7M 5.6M 10.2M 9.2M --
Line Item FY 2025Jul 31, 2025 FY 2024Jul 31, 2024 FY 2023Jul 31, 2023 FY 2022Jul 31, 2022 FY 2021Jul 31, 2021
Operating Cash Flow 10.4M 3.2M 4.5M 7.8M --
Cash Flow From Continuing Operating Activities 10.4M 3.2M 4.5M 7.8M --
Depreciation And Amortization 3.9M 4.0M 3.9M 3.4M --
Depreciation Amortization Depletion 3.9M 4.0M 3.9M 3.4M --
Stock Based Compensation 29,000 -4,000 173,000 160,000 --
Deferred Tax -617,000 2.7M -185,000 488,000 --
Deferred Income Tax -617,000 2.7M -185,000 488,000 --
Change In Working Capital 5.8M -217,000 -1.1M 1.6M --
Changes In Account Receivables 2.7M -3.6M 3.0M -2.0M --
Change In Receivables 2.7M -3.6M 3.0M -2.0M --
Change In Inventory 1.9M 4.7M -1.0M 1.6M --
Change In Payables And Accrued Expense 1.8M -1.3M -2.7M 2.1M --
Change In Other Working Capital -266,000 -354,000 -38,000 -644,000 --
Other Non Cash Items -50,000 274,000 224,000 354,000 --
Capital Expenditure -2.9M -2.2M -3.4M -5.4M --
Purchase Of PPE -2.9M -2.2M -3.4M -5.4M --
Net PPE Purchase And Sale -2.3M -1.8M -3.1M -5.3M --
Sale Of Investment -- -- 0.00 4.5M 500,000
Net Investment Purchase And Sale -- -- 0.00 4.5M 500,000
Investing Cash Flow -2.0M -1.8M -3.1M -788,000 --
Cash Flow From Continuing Investing Activities -2.0M -1.8M -3.1M -788,000 --
Issuance Of Debt -- 0.00 2.4M 4.5M 0.00
Repayment Of Debt -1.6M -1.5M -3.7M -796,000 --
Net Issuance Payments Of Debt -1.6M -1.5M -1.3M 3.7M --
Repurchase Of Capital Stock -241,000 -628,000 -568,000 -1.4M --
Net Common Stock Issuance -241,000 -628,000 -568,000 -1.4M --
Common Stock Dividend Paid -- 0.00 -1.4M -1.5M 0.00
Common Stock Payments -241,000 -628,000 -568,000 -1.4M --
Financing Cash Flow -1.8M -2.1M -3.3M 797,000 --
Cash Flow From Continuing Financing Activities -1.8M -2.1M -3.3M 797,000 --
Changes In Cash 6.6M -705,000 -1.9M 7.8M --
Beginning Cash Position 11.4M 12.1M 14.0M 6.2M --
End Cash Position 18.0M 11.4M 12.1M 14.0M --
Free Cash Flow 7.5M 1.0M 1.0M 2.4M --
Asset Impairment Charge 250,000 0.00 -- -- --
Capital Expenditure Reported -- -- -- -- -3.1M
Cash Dividends Paid -- 0.00 -1.4M -1.5M 0.00
Change In Prepaid Assets -280,000 364,000 -329,000 598,000 --
Depreciation 3.9M 4.0M 3.9M 3.4M --
Gain Loss On Investment Securities -25,000 186,000 -117,000 -164,000 --
Gain Loss On Sale Of PPE 28,000 120,000 65,000 35,000 --
Interest Paid Cfo -- -274,000 -224,000 -313,000 -339,000
Interest Received Cfo 50,000 -- -- -- --
Long Term Debt Issuance -- 0.00 2.4M 4.5M 0.00
Long Term Debt Payments -1.6M -1.5M -3.7M -796,000 --
Net Foreign Currency Exchange Gain Loss 10,000 403,000 357,000 125,000 --
Net Income From Continuing Operations 1.0M -3.9M 1.3M 2.1M --
Net Long Term Debt Issuance -1.6M -1.5M -1.3M 3.7M --
Net Other Investing Changes 277,000 -- -- -- -186,000
Operating Gains Losses 13,000 709,000 305,000 -4,000 --
Sale Of PPE 571,000 413,000 341,000 76,000 --
NEWS
Loading news...
TRENDING
Loading...