BLOX
CNQ:BLOX
Cryptoblox Technologies Inc.
- Stock
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
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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)