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COM:BRIGHTMINDSBIO

Bright Minds

  • Stock

CAD

Last Close

45.18

22/11 20:59

Market Cap

6.12M

Beta: -

Volume Today

2.35K

Avg: -

Preview

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Dec '19
Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
net income
-31.41K
-
-16.73K
46.76%
-29.62K
77.12%
-402.62K
1,259.09%
-753.42K
87.13%
-1.50M
98.68%
-3.53M
136.05%
-2.87M
18.86%
-4.86M
69.45%
-4.49M
7.63%
-2.66M
40.76%
-2.96M
11.38%
-2.34M
21.13%
-2.05M
12.20%
-1.46M
28.88%
-1.53M
4.78%
-1.68M
10.23%
-574.14K
65.91%
229.90K
140.04%
depreciation and amortization
6.04K
-
18.11K
200.02%
18.11K
0.01%
18.11K
0%
18.11K
0.01%
18.11K
0.01%
18.11K
0.01%
18.11K
0.01%
deferred income tax
-6.04K
-
-130.47K
-
163.44K
225.27%
42.30K
74.12%
stock based compensation
161.30K
-
236.41K
46.57%
6.84K
97.11%
260.80K
3,713.36%
376.56K
44.39%
260.93K
30.71%
290.83K
11.46%
293.38K
0.88%
29.91K
89.80%
484.14K
1,518.40%
29.96K
93.81%
237.53K
692.95%
400.50K
68.61%
218.95K
45.33%
change in working capital
-28.32K
-
-21.10K
25.50%
49.42K
334.24%
30.68K
37.91%
-94.37K
407.53%
140.67K
249.06%
6.67K
95.26%
253.12K
3,697.15%
-162.47K
164.19%
544.20K
434.96%
-501.36K
192.13%
845.93K
268.73%
-837.55K
199.01%
484.58K
157.86%
-322.00K
166.45%
-255.36K
20.70%
579.85K
327.07%
-479.99K
182.78%
-153.43K
68.03%
accounts receivables
-91.34K
-
96.50K
205.65%
25.91K
73.15%
-70.31K
371.35%
66.69K
194.85%
-8.06K
112.08%
-508.21K
6,206.10%
536.01K
205.47%
inventory
accounts payables
other working capital
937.27K
-
-934.05K
199.66%
458.67K
149.10%
-251.69K
154.87%
-322.05K
27.96%
587.91K
282.55%
28.22K
95.20%
-689.45K
2,543.46%
other non cash items
3.80K
-
293.25K
7,621.22%
-152.29K
151.93%
-191.38K
25.67%
6.99K
103.65%
4.28K
38.80%
-43.42K
1,115.20%
7.05K
116.23%
2.00M
28,307.29%
4.58K
99.77%
3.79K
17.26%
2.97K
21.53%
775.37K
25,997.81%
-354.21K
145.68%
net cash provided by operating activities
-59.73K
-
-37.82K
36.68%
19.80K
152.34%
-210.63K
1,164.06%
-611.37K
190.26%
-1.35M
120.10%
-2.97M
120.92%
-2.39M
19.62%
-4.95M
107.19%
-3.65M
26.37%
-2.86M
21.49%
-2.13M
25.63%
-2.66M
25.14%
484.58K
118.19%
-1.65M
440.62%
-1.20M
27.45%
-822.09K
31.35%
-805.09K
2.07%
240.16K
129.83%
investments in property plant and equipment
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
net cash used for investing activites
-11.19M
-
debt repayment
-24.84K
-
-21.49K
13.49%
-21.49K
0.01%
-21.49K
0.00%
-21.64K
0.73%
-21.96K
1.44%
common stock issued
91.68K
-
-10K
110.91%
926.65K
9,366.50%
1.88M
102.48%
25.91M
1,280.78%
-39.25K
100.15%
4.03M
-
1.22M
69.83%
900K
-
common stock repurchased
dividends paid
other financing activites
-1.17M
-
-506.30K
56.85%
-9.70K
98.08%
118.25K
1,319.07%
1.68K
98.58%
12K
612.59%
1.05M
8,685.08%
1.06M
0.39%
net cash used provided by financing activities
91.68K
-
-10K
110.91%
926.65K
9,366.50%
1.88M
102.48%
24.73M
1,218.25%
-545.55K
102.21%
-9.70K
98.22%
118.25K
1,319.07%
1.68K
98.58%
12K
612.59%
5.06M
42,102.13%
2.25M
55.49%
-21.49K
100.95%
-21.49K
0.00%
-21.64K
0.73%
878.04K
4,156.56%
-21.96K
102.50%
-21.96K
0%
effect of forex changes on cash
75.30K
-
152.29K
102.25%
191.38K
25.67%
-6.99K
103.65%
22.97K
428.70%
51.46K
123.99%
-7.05K
113.70%
-5.33K
24.37%
130.47K
2,547.38%
-163.44K
225.27%
-42.30K
74.12%
net change in cash
-59.73K
-
53.86K
190.16%
9.79K
81.81%
716.02K
7,210.05%
1.26M
76.66%
23.39M
1,748.71%
-3.44M
114.72%
-2.25M
34.74%
-4.64M
106.56%
-3.65M
21.34%
-2.83M
22.56%
2.99M
205.66%
-416.41K
113.94%
-10.73M
2,477.32%
-1.54M
85.64%
-1.38M
10.31%
13.66K
100.99%
-829.21K
6,169.91%
257.81K
131.09%
cash at beginning of period
79.99K
-
20.26K
74.67%
74.11K
265.86%
83.91K
13.22%
799.93K
853.32%
2.06M
158.13%
25.45M
1,132.52%
22.01M
13.53%
19.76M
10.21%
15.12M
23.49%
11.47M
24.15%
8.64M
24.65%
11.63M
34.57%
11.21M
3.58%
9.67M
13.73%
8.13M
15.94%
6.75M
17.00%
6.68M
1.08%
5.85M
12.42%
cash at end of period
20.26K
-
74.11K
265.86%
83.91K
13.22%
799.93K
853.32%
2.06M
158.13%
25.45M
1,132.52%
22.01M
13.53%
19.76M
10.21%
15.12M
23.49%
11.47M
24.15%
8.64M
24.65%
11.63M
34.57%
11.21M
3.58%
479.25K
95.73%
8.13M
1,596.53%
6.75M
17.00%
6.76M
0.20%
5.85M
13.54%
6.10M
4.41%
operating cash flow
-59.73K
-
-37.82K
36.68%
19.80K
152.34%
-210.63K
1,164.06%
-611.37K
190.26%
-1.35M
120.10%
-2.97M
120.92%
-2.39M
19.62%
-4.95M
107.19%
-3.65M
26.37%
-2.86M
21.49%
-2.13M
25.63%
-2.66M
25.14%
484.58K
118.19%
-1.65M
440.62%
-1.20M
27.45%
-822.09K
31.35%
-805.09K
2.07%
240.16K
129.83%
capital expenditure
free cash flow
-59.73K
-
-37.82K
36.68%
19.80K
152.34%
-210.63K
1,164.06%
-611.37K
190.26%
-1.35M
120.10%
-2.97M
120.92%
-2.39M
19.62%
-4.95M
107.19%
-3.65M
26.37%
-2.86M
21.49%
-2.13M
25.63%
-2.66M
25.14%
484.58K
118.19%
-1.65M
440.62%
-1.20M
27.45%
-822.09K
31.35%
-805.09K
2.07%
240.16K
129.83%

All numbers in CAD (except ratios and percentages)