Quarter End | Sept 2022 | Déc 2022 | Mar 2023 | Juin 2023 | Sept 2023 | Déc 2023 | Mar 2024 | Juin 2024 |
---|---|---|---|---|---|---|---|---|
CAD ($) | CAD ($) | CAD ($) | CAD ($) | CAD ($) | CAD ($) | CAD ($) | CAD ($) | |
Actif total | 136,67M | 141,65M | 130,07M | 123,31M | 119,39M | 116,9M | 107,19M | 106,69M |
Total de l'actif circulant | 119,85M | 123,73M | 112,11M | 105,01M | 96,44M | 95,02M | 85,64M | 85,15M |
Trésorerie et équivalents | 88,23M | 85,94M | 80,15M | 65,67M | 59,82M | 55,46M | 55,54M | 51,58M |
Total des actifs non courants | 11,65M | 12,19M | 18,86M | 14,61M | 15,44M | 16,23M | 16,37M | 17,26M |
Total des passifs | 32,01M | 38,52M | 29,46M | 27,9M | 35,45M | 36,2M | 29M | 30,75M |
Total des passifs courants | 27,43M | 33,5M | 24,53M | 24,23M | 27,78M | 29,06M | 22,23M | 24,88M |
Total des passifs non courants | 9,15M | 8,98M | 8,8M | 6,26M | 14,32M | 13,27M | 12,44M | 11,08M |
Capitaux propres ordinaire | 118,21M | 119,93M | 120,05M | 118,69M | 109,35M | 108,77M | 112,17M | 111M |
Bénéfices non distribués | -22,83M | -21,34M | -24,9M | -30,51M | -29,75M | -32,33M | -33,47M | -34,48M |
Fin d'année 31 Décembre 2023 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 |
---|---|---|---|---|---|---|---|---|
CAD ($) | CAD ($) | CAD ($) | CAD ($) | CAD ($) | CAD ($) | CAD ($) | CAD ($) | |
Actif total | 32,14M | 41,43M | 67,6M | 69,36M | 72,43M | 149,83M | 141,65M | 116,9M |
Total de l'actif circulant | 23,32M | 21,67M | 44,14M | 48,41M | 56,42M | 136,46M | 123,73M | 95,02M |
Trésorerie et équivalents | 7,27M | 4,84M | 8,02M | 7,41M | 22,64M | 102,21M | 85,94M | 55,46M |
Total des actifs non courants | 2,85M | 14,44M | 10,14M | 15,6M | 32,05M | 113,06M | 103,13M | 80,7M |
Total des passifs | 29,3M | 26,99M | 57,46M | 53,76M | 40,38M | 36,77M | 38,52M | 36,2M |
Total des passifs courants | 24,43M | 25,22M | 48,64M | 46,68M | 29,66M | 30,77M | 33,5M | 29,06M |
Total des passifs non courants | 6,37M | 2,78M | 14,56M | 14,16M | 21,45M | 12M | 8,98M | 13,27M |
Total des capitaux propres | 2,85M | 14,44M | 10,14M | 15,6M | 32,05M | 113,06M | 103,13M | 80,7M |
Capitaux propres ordinaire | 13,97M | 29,57M | 36,02M | 44,52M | 57,01M | 124,04M | 119,93M | 108,77M |
Bénéfices non distribués | -12,93M | -19,49M | -30,69M | -36,29M | -32,6M | -22,05M | -21,34M | -32,33M |
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