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ZODIAC GOLD INC

Financial Statements (IFRS) · Amounts in CAD
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line Item FY 2023Mar 31, 2023 FY 2022Mar 31, 2022
Total Revenue 0.00 0.00
Operating Revenue 0.00 0.00
Selling General And Administration 1.4M 833,196
General And Administrative Expense 1.4M 833,196
Depreciation And Amortization In Income Statement 28,424 18,108
Other Operating Expenses 287,526 1.2M
Operating Expense 1.8M 2.1M
Operating Income -1.8M -2.1M
EBIT -1.4M -2.8M
Interest Expense 11,410 10,559
Interest Expense Non Operating 11,410 10,559
Net Interest Income -11,410 -10,559
Other Income Expense 373,507 -689,473
Special Income Charges 25,000 -748,466
Restructuring And Mergern Acquisition 0.00 823,035
Gain On Sale Of Security 348,507 58,993
Pretax Income -1.4M -2.8M
Tax Effect Of Unusual Items 0.00 0.00
Net Income From Continuing And Discontinued Operation -1.4M -2.8M
Net Income From Continuing Operation Net Minority Interest -1.4M -2.8M
Net Income Including Noncontrolling Interests -1.4M -2.8M
Net Income Common Stockholders -1.4M -2.8M
Net Income -1.4M -2.8M
EBITDA -1.4M -2.8M
Normalized EBITDA -1.7M -2.1M
Reconciled Depreciation 28,425 18,108
Basic EPS -0.02 -0.04
Diluted EPS -0.02 -0.04
Basic Average Shares 76.8M 76.8M
Diluted Average Shares 76.8M 76.8M
Total Unusual Items 373,507 -689,473
Total Unusual Items Excluding Goodwill 373,507 -689,473
Tax Rate For Calcs 0.00 0.00
Normalized Income -1.8M -2.1M
Depreciation Amortization Depletion Income Statement 28,424 18,108
Diluted NI Availto Com Stockholders -1.4M -2.8M
Net Income Continuous Operations -1.4M -2.8M
Net Non Operating Interest Income Expense -11,410 -10,559
Other Gand A 976,480 675,027
Other Special Charges -25,000 -74,569
Provision For Doubtful Accounts 33,555 15,752
Salaries And Wages 448,727 158,169
Total Expenses 1.8M 2.1M
Line Item FY 2023Mar 31, 2023 FY 2022Mar 31, 2022
Cash And Cash Equivalents 17,458 42,839
Cash Cash Equivalents And Short Term Investments 17,458 42,839
Cash Financial 17,458 42,839
Accounts Receivable 113,188 106,267
Receivables 113,188 106,267
Current Assets 130,646 149,106
Gross PPE 152,653 163,907
Accumulated Depreciation -25,747 -8,576
Net PPE 126,906 155,331
Total Non Current Assets 126,906 155,331
Total Assets 257,552 304,437
Current Debt And Capital Lease Obligation 18,300 10,000
Payables And Accrued Expenses 929,881 307,565
Other Current Liabilities 233,699 384,220
Current Liabilities 1.2M 701,785
Long Term Debt And Capital Lease Obligation 73,779 80,669
Long Term Capital Lease Obligation 73,779 80,669
Total Non Current Liabilities Net Minority Interest 73,779 80,669
Total Liabilities Net Minority Interest 1.3M 782,454
Common Stock 7.5M 7.1M
Capital Stock 7.5M 7.1M
Additional Paid In Capital 281,929 0.00
Retained Earnings -9.3M -7.9M
Gains Losses Not Affecting Retained Earnings 42,942 5,506
Other Equity Adjustments 42,942 5,506
Common Stock Equity -998,107 -478,017
Stockholders Equity -998,107 -478,017
Total Equity Gross Minority Interest -998,107 -478,017
Total Capitalization -998,107 -478,017
Net Tangible Assets -998,107 -478,017
Tangible Book Value -998,107 -478,017
Working Capital -1.1M -552,679
Invested Capital -998,107 -478,017
Total Debt 92,079 90,669
Share Issued 76.8M 76.8M
Ordinary Shares Number 76.8M 76.8M
Capital Lease Obligations 92,079 90,669
Construction In Progress 0.00 11,895
Current Capital Lease Obligation 18,300 10,000
Leases 11,895 0.00
Machinery Furniture Equipment 4,700 4,700
Other Equity Interest 536,274 348,299
Other Properties 136,058 147,312
Properties 0.00 0.00
Line Item FY 2023Mar 31, 2023 FY 2022Mar 31, 2022
Operating Cash Flow -690,070 -2.1M
Cash Flow From Continuing Operating Activities -690,070 -2.1M
Depreciation And Amortization 28,425 18,108
Depreciation Amortization Depletion 28,425 18,108
Stock Based Compensation 281,929 0.00
Change In Working Capital 602,733 -13,811
Change In Receivables -40,476 -44,131
Change In Payables And Accrued Expense 643,209 30,320
Other Non Cash Items 124,410 759,025
Capital Expenditure -- -51,293
Purchase Of PPE 0.00 -51,293
Net PPE Purchase And Sale 0.00 -51,293
Investing Cash Flow 0.00 609,867
Cash Flow From Continuing Investing Activities 0.00 609,867
Issuance Of Debt 0.00 1.4M
Repayment Of Debt -1,500 0.00
Net Issuance Payments Of Debt -1,500 1.4M
Issuance Of Capital Stock 667,475 102,219
Net Common Stock Issuance 667,475 102,219
Financing Cash Flow 664,689 1.5M
Cash Flow From Continuing Financing Activities 664,689 1.5M
Effect Of Exchange Rate Changes 0.00 1,612
Changes In Cash -25,381 40,954
Beginning Cash Position 42,839 273.00
End Cash Position 17,458 42,839
Free Cash Flow -690,070 -2.1M
Asset Impairment Charge 33,555 15,752
Common Stock Issuance 667,475 102,219
Gain Loss On Investment Securities -381,550 -65,623
Long Term Debt Issuance 0.00 1.4M
Long Term Debt Payments -1,500 0.00
Net Foreign Currency Exchange Gain Loss 33,043 -8,241
Net Income From Continuing Operations -1.4M -2.8M
Net Long Term Debt Issuance -1,500 1.4M
Net Other Financing Charges -1,286 -2,015
Net Other Investing Changes -- 661,160
Operating Gains Losses -348,507 -73,864
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