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Spackman Equities Group 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 5.6M 14.1M 0.00 0.00
Operating Revenue 5.6M 14.1M 0.00 0.00
Cost Of Revenue 4.2M 10.9M -- --
Gross Profit 1.4M 3.2M -- --
Selling General And Administration 1.7M 1.9M 136,222 149,631
General And Administrative Expense 1.6M 1.7M 136,222 149,631
Depreciation And Amortization In Income Statement 348,763 404,707 -- --
Other Operating Expenses 2.1M 37,943 105,244 243,858
Operating Expense 4.1M 2.4M 241,466 393,489
Operating Income -2.7M 816,139 -241,466 -393,489
EBIT -2.6M 945,647 -272,722 -403,569
Interest Expense 42,899 30,114 46,662 34,982
Interest Expense Non Operating 42,899 30,114 46,662 34,982
Interest Income 62,107 94,204 -- --
Interest Income Non Operating 62,107 94,204 -- --
Net Interest Income 19,208 64,090 -46,662 -34,982
Other Income Expense 8,019 35,304 -31,256 -10,080
Other Non Operating Income Expenses 10,486 23,870 -- 13,648
Special Income Charges -90,074 0.00 0.00 17,402
Write Off 104,878 0.00 0.00 -17,402
Gain On Sale Of Security 87,607 11,434 -31,256 -23,728
Pretax Income -2.7M 915,533 -319,383 -438,551
Tax Provision 103,221 231,392 -- --
Tax Effect Of Unusual Items -370.05 2,890 0.00 0.00
Net Income From Continuing And Discontinued Operation -2.8M 684,141 -319,383 -438,551
Net Income From Continuing Operation Net Minority Interest -2.8M 684,141 -319,383 -438,551
Net Income Including Noncontrolling Interests -2.8M 684,141 -319,383 -438,551
Net Income Common Stockholders -2.8M 684,141 -319,383 -438,551
Net Income -2.8M 684,141 -319,383 -438,551
EBITDA -2.3M 1.4M -272,722 -403,569
Normalized EBITDA -2.3M 1.3M -241,466 -379,840
Reconciled Depreciation 348,763 404,707 -- --
Basic EPS -0.01 0.00 -0.11 -0.16
Diluted EPS -0.01 0.00 -0.11 -0.16
Basic Average Shares 204.5M 200.7M 3.0M 3.0M
Diluted Average Shares 204.5M 200.7M 3.0M 3.0M
Total Unusual Items -2,467 11,434 -31,256 -23,728
Total Unusual Items Excluding Goodwill -2,467 11,434 -31,256 -23,728
Tax Rate For Calcs 0.15 0.25 0.00 0.00
Normalized Income -2.8M 675,597 -288,128 -414,823
Amortization 155,690 152,047 -- --
Amortization Of Intangibles Income Statement 155,690 152,047 -- --
Depreciation Amortization Depletion Income Statement 348,763 404,707 -- --
Depreciation Income Statement 193,073 252,660 -- --
Diluted NI Availto Com Stockholders -2.8M 684,141 -319,383 -438,551
Gain On Sale Of Ppe 14,804 0.00 -- --
Net Income Continuous Operations -2.8M 684,141 -319,383 -438,551
Net Non Operating Interest Income Expense 19,208 64,090 -46,662 -34,982
Other Gand A 1.4M 1.5M 136,222 149,631
Reconciled Cost Of Revenue 4.2M 10.9M -- --
Rent And Landing Fees 216,093 238,711 -- --
Rent Expense Supplemental 216,093 238,711 -- --
Selling And Marketing Expense 150,333 202,224 -- --
Total Expenses 8.3M 13.3M 241,466 393,489
Total Operating Income As Reported -579,819 945,647 -- --
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Cash And Cash Equivalents 3.0M 2.6M 5,504 57,251
Cash Cash Equivalents And Short Term Investments 4.7M 5.0M 5,504 57,251
Cash Financial 3.0M 2.6M 5,504 57,251
Other Short Term Investments 1.8M 2.4M -- --
Accounts Receivable 1.8M 2.5M -- --
Receivables 1.8M 2.7M -- --
Current Assets 6.6M 7.8M 5,504 57,251
Gross PPE 642,477 787,546 -- --
Accumulated Depreciation -368,530 -399,893 -- --
Net PPE 273,947 387,653 -- --
Goodwill 1.3M 1.5M -- --
Goodwill And Other Intangible Assets 1.9M 2.1M -- --
Other Intangible Assets 603,205 590,174 -- --
Investments And Advances 2.1M 0.00 434,675 542,080
Total Non Current Assets 4.2M 2.5M 434,675 542,080
Total Assets 10.8M 10.3M 440,179 599,331
Current Debt 293,587 522,185 -- --
Current Debt And Capital Lease Obligation 382,176 681,513 -- --
Accounts Payable 434,823 493,310 61,452 40,857
Payables 604,593 584,099 74,332 40,857
Payables And Accrued Expenses 1.1M 904,111 231,981 184,130
Current Accrued Expenses 449,981 320,012 157,648 143,273
Current Deferred Revenue 1.5M 3.1M -- --
Current Liabilities 3.0M 4.7M 231,981 184,130
Long Term Debt -- 800,000 737,393 665,398
Long Term Debt And Capital Lease Obligation 89,939 905,921 737,393 665,398
Long Term Capital Lease Obligation 89,939 105,921 -- --
Total Non Current Liabilities Net Minority Interest 109,092 964,005 737,393 665,398
Total Liabilities Net Minority Interest 3.1M 5.7M 969,374 849,528
Common Stock 9.3M 2.5M 8.5M 9.1M
Capital Stock 9.3M 2.5M 8.5M 9.1M
Additional Paid In Capital -- 1.6M 1.1M 1.2M
Retained Earnings -128,202 2.6M -10.2M -10.6M
Gains Losses Not Affecting Retained Earnings -1.4M -550,687 -- --
Other Equity Adjustments -1.4M -550,687 -- --
Common Stock Equity 7.7M 4.6M -529,195 -250,197
Stockholders Equity 7.7M 4.6M -529,195 -250,197
Total Equity Gross Minority Interest 7.7M 4.6M -529,195 -250,197
Total Capitalization 7.7M 5.4M 208,198 415,201
Net Tangible Assets 5.8M 2.5M -529,195 -250,197
Tangible Book Value 5.8M 2.5M -529,195 -250,197
Working Capital 3.6M 3.1M -226,477 -126,879
Invested Capital 8.0M 5.9M 208,198 415,201
Total Debt 472,115 1.6M 737,393 665,398
Net Debt -- 1.3M 731,889 608,147
Share Issued 252.1M 3.0M 3.0M 3.0M
Ordinary Shares Number 252.1M 3.0M 3.0M 3.0M
Available For Sale Securities 953,341 519,378 434,675 542,080
Capital Lease Obligations 178,528 265,249 -- --
Current Capital Lease Obligation 88,589 159,328 -- --
Current Deferred Liabilities 1.5M 3.1M -- --
Dueto Related Parties Current 0.00 58,444 12,881 --
Employee Benefits 4,939 6,256 -- --
Financial Assets Designatedas Fair Value Through Profitor Loss Total 1.1M 0.00 -- --
Interest Payable 6,971 16,585 -- --
Investmentin Financial Assets 2.1M 0.00 434,675 542,080
Leases 172,610 206,234 -- --
Loans Receivable 0.00 50,000 -- --
Machinery Furniture Equipment 469,867 581,312 -- --
Non Current Accounts Receivable -- 23,267 -- --
Non Current Deferred Liabilities 14,214 51,828 -- --
Non Current Deferred Taxes Liabilities 14,214 51,828 -- --
Non Current Pension And Other Postretirement Benefit Plans 4,939 6,256 -- --
Non Current Prepaid Assets 12,279 10,510 -- --
Other Current Borrowings 293,587 522,185 -- --
Other Payable 166,433 32,345 -- --
Properties 0.00 0.00 -- --
Restricted Cash 54,422 38,778 -- --
Taxes Receivable 1,347 127,453 -- --
Total Tax Payable 3,337 0.00 -- --
Line Item FY 2024Dec 31, 2024 FY 2023Dec 31, 2023 FY 2022Dec 31, 2022 FY 2021Dec 31, 2021
Operating Cash Flow -2.7M -544,870 -113,025 -112,107
Cash Flow From Continuing Operating Activities -2.7M -544,870 -113,025 -112,107
Depreciation And Amortization 348,763 404,707 -- --
Depreciation Amortization Depletion 348,763 404,707 -- --
Change In Working Capital -2.1M -1.2M 46,119 72,224
Changes In Account Receivables 488,757 1.3M -- --
Change In Receivables 488,757 1.3M -- --
Change In Payables And Accrued Expense -2.5M -2.5M 46,119 72,224
Change In Payable -2.5M -2.5M -- --
Change In Other Working Capital -590.00 -39,359 -- --
Other Non Cash Items 2.0M -64,090 12,169 -10,603
Capital Expenditure -245,461 -548,764 -- --
Purchase Of PPE -15,461 -130,736 -- --
Net PPE Purchase And Sale -2,393 -103,941 -- --
Purchase Of Investment -2.2M 0.00 -- --
Sale Of Investment 374,110 6,346 -- --
Net Investment Purchase And Sale -1.8M 6,346 -- --
Investing Cash Flow -2.0M -507,936 -- --
Cash Flow From Continuing Investing Activities -2.0M -507,936 -- --
Issuance Of Debt 211,587 800,000 64,745 118,317
Repayment Of Debt -1.4M -256,325 0.00 -14,230
Net Issuance Payments Of Debt -1.2M 543,675 64,745 104,088
Issuance Of Capital Stock 6.3M 499,526 -- --
Net Common Stock Issuance 6.3M 499,526 -- --
Financing Cash Flow 5.1M 971,667 64,745 104,088
Cash Flow From Continuing Financing Activities 5.1M 971,667 64,745 104,088
Changes In Cash 364,413 -81,139 -48,280 -8,019
Beginning Cash Position 2.6M 2.7M 53,784 65,270
End Cash Position 3.0M 2.6M 5,504 57,251
Free Cash Flow -3.0M -1.1M -113,025 -112,107
Amortization Cash Flow 155,690 152,047 -- --
Amortization Of Intangibles 155,690 152,047 -- --
Asset Impairment Charge -- -- 0.00 -17,402
Cash Dividends Paid 0.00 0.00 -- --
Change In Prepaid Assets -3,060 0.00 -- --
Common Stock Issuance 6.3M 499,526 -- --
Depreciation 193,073 252,660 -- --
Gain Loss On Investment Securities -- -2,760 -- --
Gain Loss On Sale Of PPE -14,804 37,628 -- --
Interest Paid Cff -36,118 -21,534 -- --
Interest Received Cfi 46,912 7,687 -- --
Long Term Debt Issuance -- 296,820 64,745 118,317
Long Term Debt Payments -206,391 -225,683 0.00 -14,230
Net Foreign Currency Exchange Gain Loss -399,631 -21,310 29,759 24,010
Net Income From Continuing Operations -2.7M 915,533 -294,148 -438,551
Net Intangibles Purchase And Sale -230,000 -418,028 -- --
Net Long Term Debt Issuance -206,391 -225,683 64,745 104,088
Net Other Financing Charges 53,284 -50,000 -- --
Net Short Term Debt Issuance -1.0M 769,358 -- --
Operating Gains Losses -414,435 13,558 29,759 24,010
Purchase Of Intangibles -230,000 -418,028 -- --
Sale Of PPE 13,068 26,795 -- --
Short Term Debt Issuance 211,587 800,000 -- --
Short Term Debt Payments -1.2M -30,642 -- --
Taxes Refund Paid -14,266 -573,363 -- --
Unrealized Gain Loss On Investment Securities 104,878 0.00 93,075 240,813
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