BLOX

CNQ:BLOX

Cryptoblox Technologies Inc.

  • Stock

CAD

Last Close

0.14

08/11 20:52

Market Cap

18.07M

Beta: −3.36

Volume Today

757.01K

Avg: 167.00K

PE Ratio

−0.53

PFCF: −0.76

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Jan '15
Jan '16
Jan '17
Jan '18
Jan '19
Jan '20
Jan '21
Jan '22
Jan '23
Jan '24
net income
-853.38
-
-2.17M
254,156.94%
-1.17M
46.09%
-3.52M
200.74%
-8.66M
146.07%
-750.73K
91.33%
-1.65M
120.35%
-21.75M
1,214.71%
-7.06M
67.53%
-2.21M
68.65%
depreciation and amortization
189.17
-
501.31K
264,902.75%
484.28K
3.40%
877
99.82%
6.89K
685.86%
1.15K
83.34%
39.72K
3,360.10%
100K
151.75%
100K
0%
33.33K
66.67%
deferred income tax
656
-
989.96K
150,808.69%
3.74M
278.09%
-94.19K
-
stock based compensation
12.50
-
25.72K
-
1.83M
7,013.44%
140.99K
92.29%
43.02K
-
7.98K
81.45%
182.06K
-
change in working capital
-32.30K
-
479.33K
1,584.00%
421.67K
12.03%
201.47K
52.22%
872.53K
333.09%
374.01K
57.13%
10.04M
2,585.39%
253.01K
97.48%
447.14K
76.73%
accounts receivables
-123.44K
-
77.75K
162.99%
87.50K
12.55%
72.83K
16.77%
-57
100.08%
-64K
112,180.70%
-441.14K
589.28%
26.98K
106.12%
52.52K
94.65%
inventory
765.83K
-
10.72M
1,299.15%
-146.42K
101.37%
accounts payables
-108.46K
-
-263
99.76%
90.33K
34,445.25%
153.34K
69.76%
187.23K
22.10%
422.18K
125.49%
-537.64K
227.35%
369.52K
168.73%
331.33K
10.34%
other working capital
199.60K
-
401.85K
101.33%
243.84K
39.32%
-24.71K
110.13%
685.35K
2,873.58%
-750K
209.43%
307.40K
140.99%
2.93K
99.05%
394.62K
13,354.42%
other non cash items
341.85
-
620.31K
181,356.30%
10.26K
98.35%
194.90K
1,800%
1.67K
99.15%
9.25K
455.32%
-17.03K
284.21%
305.74K
1,895.12%
5.91M
1,834.27%
1.73M
70.76%
net cash provided by operating activities
-309.86
-
-1.08M
348,595.21%
-169.40K
84.32%
-80.83K
52.28%
-4.56M
5,543.50%
132.19K
102.90%
-1.21M
1,018.71%
-11.38M
837.41%
-794.52K
93.02%
-18.35K
97.69%
investments in property plant and equipment
-254.74
-
-16.57K
6,403.84%
-6.38K
-
-2.24K
64.88%
acquisitions net
483.68K
-
28.73K
-
purchases of investments
sales maturities of investments
other investing activites
-219.52
-
26.35K
-
26.07K
1.04%
net cash used for investing activites
-474.26
-
467.11K
98,592.39%
26.35K
94.36%
48.42K
83.79%
-2.24K
104.63%
-285.29K
-
-563.15K
97.40%
979.33K
273.90%
debt repayment
-200K
-
-40K
80%
common stock issued
426.31K
-
289.20K
-
4.18M
1,345.37%
1.44M
-
8.86M
517.28%
15K
99.83%
common stock repurchased
dividends paid
other financing activites
944.51
-
80K
8,370.04%
89.98K
12.48%
88.47K
1.68%
62.40K
29.47%
64.50K
-
3.09M
4,691.34%
-40K
-
net cash used provided by financing activities
944.51
-
506.31K
53,505.80%
89.98K
82.23%
377.67K
319.71%
4.24M
1,023.30%
1.50M
-
11.95M
696.83%
-185K
101.55%
effect of forex changes on cash
80.70K
-
-1.49K
-
-1.46K
1.82%
-1.07K
26.94%
566
153.10%
76
86.57%
-788
1,136.84%
-59
92.51%
net change in cash
160.39
-
-26.34K
16,522.05%
-53.07K
101.47%
343.78K
747.83%
-323.00K
193.96%
131.13K
140.60%
285.58K
117.78%
563.72K
97.40%
-980.31K
273.90%
-18.41K
98.12%
cash at beginning of period
80.19K
-
53.85K
32.84%
789
98.53%
344.57K
43,571.36%
21.57K
93.74%
152.70K
607.95%
438.28K
187.02%
1.00M
128.62%
21.68K
97.84%
cash at end of period
160.39
-
53.85K
33,477.95%
789
98.53%
344.57K
43,571.36%
21.57K
93.74%
152.70K
607.95%
438.28K
187.02%
1.00M
128.62%
21.68K
97.84%
3.28K
84.89%
operating cash flow
-309.86
-
-1.08M
348,595.21%
-169.40K
84.32%
-80.83K
52.28%
-4.56M
5,543.50%
132.19K
102.90%
-1.21M
1,018.71%
-11.38M
837.41%
-794.52K
93.02%
-18.35K
97.69%
capital expenditure
-254.74
-
-16.57K
6,403.84%
-6.38K
-
-2.24K
64.88%
free cash flow
-564.60
-
-1.10M
194,201.81%
-169.40K
84.56%
-87.21K
48.52%
-4.56M
5,133.34%
132.19K
102.90%
-1.21M
1,018.71%
-11.38M
837.41%
-794.52K
93.02%
-18.35K
97.69%

All numbers in CAD (except ratios and percentages)