SLBG

COM:SLINGERBAG

Slinger Bag

  • Stock

Last Close

1.00

01/01 00:00

Volume Today

3.50K

Avg: -

Preview

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Jul '16
Oct '16
Jan '17
Apr '17
Jul '17
Oct '17
Jan '18
Apr '18
Jul '18
Oct '18
Jan '19
Apr '19
Jul '19
Oct '19
Jan '20
Apr '20
Jul '20
Oct '20
Jan '21
Apr '21
Jul '21
Oct '21
Jan '22
net income
-2.02K
-
3.30K
263.37%
-2.13K
164.39%
4.64K
318.21%
-2.47K
153.27%
864
134.98%
-2.29K
365.39%
-3.75K
63.41%
-6.52K
73.93%
-6.05K
7.14%
-3.47K
42.63%
-12.25K
252.76%
-7.72K
36.94%
-191.82K
2,383.47%
-450.22K
134.71%
-8.54M
1,797.83%
-1.37M
83.92%
-2.52M
83.70%
-1.29M
48.85%
-13.41M
938.31%
-3.44M
74.37%
-38.83M
1,030.18%
-2.37M
93.90%
depreciation and amortization
250
-
516
106.40%
516
0%
784
51.94%
650
17.09%
650
0%
650
0%
650
0%
650
0%
650
0%
1.30K
-
1.43K
10.16%
41.17K
2,776.94%
90.79K
120.53%
2.62M
2,783.66%
deferred income tax
stock based compensation
65.83K
-
118.02K
79.29%
263.63K
123.38%
-376.48K
242.80%
187.80K
149.88%
32.38M
17,142.17%
187.80K
99.42%
change in working capital
1.50K
-
3.73K
-
-5.87K
257.54%
10.98K
286.96%
2.36K
78.53%
2.10K
10.95%
1.80K
14.20%
-1.10K
161.08%
-2.80K
154.55%
-11.60K
314.21%
-7.07K
39.01%
43.07K
708.88%
-1.38M
3,313.92%
694.27K
150.15%
46.67K
93.28%
353.11K
656.57%
-704.03K
299.38%
-510.48K
27.49%
1.67M
427.30%
-3.83M
329.46%
1.20M
131.18%
accounts receivables
2.80M
-
-63.53K
102.27%
-289.98K
356.46%
-1.08M
272.38%
673.25K
162.35%
235.89K
64.96%
-320.15K
235.72%
-126.95K
60.35%
inventory
604.46K
-
-865.79K
243.24%
-127.25K
85.30%
-408.73K
221.19%
-1.36M
233.46%
-1.48M
8.48%
-3.41M
130.47%
-1.57M
53.80%
accounts payables
392.30K
-
-123.96K
131.60%
451.54K
464.27%
1.02M
126.98%
-405.75K
139.59%
1.96M
583.10%
1.30M
33.88%
4.60M
254.76%
other working capital
3.73K
-
-5.87K
257.54%
10.98K
286.96%
2.36K
78.53%
2.10K
10.95%
1.80K
14.20%
-1.10K
161.08%
-2.80K
154.55%
-11.60K
314.21%
-7.07K
39.01%
43.07K
708.88%
-1.38M
3,313.92%
-3.11M
124.37%
1.10M
135.41%
318.81K
71.02%
-240.38K
175.40%
584.99K
343.36%
953.28K
62.96%
-1.40M
247.08%
-1.70M
21.35%
other non cash items
-10.98K
-
-2.49K
77.31%
11.60K
-
7.07K
39.01%
-33.47K
573.17%
10.54K
131.48%
5.66M
53,565.18%
-332.96K
105.89%
2.10M
731.74%
134.94K
93.59%
12.91M
9,469.71%
1.43M
88.92%
4.29M
199.98%
-3.52M
181.99%
net cash provided by operating activities
-2.02K
-
4.80K
337.62%
-2.13K
144.27%
8.62K
505.41%
-7.83K
190.85%
1.38K
117.63%
-1.64K
219.06%
-998
39.26%
-4.07K
307.41%
-6.50K
59.91%
-5.62K
13.53%
-11.60K
106.30%
-7.07K
39.01%
-182.22K
2,475.95%
-1.82M
900.96%
-2.19M
20.34%
-1.59M
27.36%
50.45K
103.16%
-1.60M
3,262.22%
-1.38M
13.61%
-104.68K
92.40%
-5.89M
5,531.05%
-1.89M
67.97%
investments in property plant and equipment
-4.80K
-
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
-3K
-
73.40K
-
-30K
-
-300K
-
-1.10M
266.67%
-1.15M
4.55%
net cash used for investing activites
-3K
-
-4.80K
-
73.40K
-
-30K
-
-300K
-
-1.10M
266.67%
-1.15M
4.55%
debt repayment
common stock issued
4.40K
-
5.10K
15.91%
9.60K
88.24%
4K
58.33%
common stock repurchased
dividends paid
other financing activites
200
-
9K
-
6.15K
31.67%
493.85K
7,930.08%
1.52M
208.80%
2.19M
43.79%
1.62M
26.12%
500K
69.14%
1.30M
160%
2M
53.85%
500K
75%
7.71M
1,441.88%
2.50M
67.57%
net cash used provided by financing activities
4.60K
-
5.10K
10.87%
9.60K
88.24%
4K
58.33%
9K
-
6.15K
31.67%
493.85K
7,930.08%
1.52M
208.80%
2.19M
43.79%
1.62M
26.12%
500K
69.14%
1.30M
160%
2M
53.85%
500K
75%
7.71M
1,441.88%
2.50M
67.57%
effect of forex changes on cash
-5.03K
-
-1.39K
72.33%
-1.54K
10.84%
2.82K
282.45%
-23.47K
933.30%
-10.80K
53.97%
19.68K
282.17%
-42.35K
315.19%
net change in cash
-2.02K
-
4.80K
337.62%
-5.13K
206.77%
13.21K
357.85%
-7.53K
156.96%
10.98K
245.87%
2.36K
78.53%
-998
142.34%
-4.07K
307.41%
-6.50K
59.91%
-5.62K
13.53%
-2.60K
53.79%
-924
64.43%
311.63K
33,825.87%
-298.99K
195.94%
66.14K
122.12%
24.12K
63.53%
548.90K
2,175.62%
-322.43K
158.74%
598.36K
285.58%
84.51K
85.88%
734.35K
768.92%
-665.22K
190.59%
cash at beginning of period
5.10K
-
3.08K
39.61%
7.88K
155.84%
2.75K
65.04%
15.97K
479.67%
8.44K
47.13%
19.42K
130.05%
21.78K
12.14%
20.78K
4.58%
16.72K
19.57%
10.21K
38.90%
4.59K
55.04%
1.99K
56.58%
1.07K
46.34%
312.70K
29,124.02%
13.71K
95.62%
79.85K
482.36%
103.97K
30.21%
652.87K
527.95%
330.44K
49.39%
928.80K
181.08%
1.01M
9.10%
1.75M
72.47%
cash at end of period
3.08K
-
7.88K
155.84%
2.75K
65.04%
15.97K
479.67%
8.44K
47.13%
19.42K
130.05%
21.78K
12.14%
20.78K
4.58%
16.72K
19.57%
10.21K
38.90%
4.59K
55.04%
1.99K
56.58%
1.07K
46.34%
312.70K
29,124.02%
13.71K
95.62%
79.85K
482.36%
103.97K
30.21%
652.87K
527.95%
330.44K
49.39%
928.80K
181.08%
1.01M
9.10%
1.75M
72.47%
1.08M
38.06%
operating cash flow
-2.02K
-
4.80K
337.62%
-2.13K
144.27%
8.62K
505.41%
-7.83K
190.85%
1.38K
117.63%
-1.64K
219.06%
-998
39.26%
-4.07K
307.41%
-6.50K
59.91%
-5.62K
13.53%
-11.60K
106.30%
-7.07K
39.01%
-182.22K
2,475.95%
-1.82M
900.96%
-2.19M
20.34%
-1.59M
27.36%
50.45K
103.16%
-1.60M
3,262.22%
-1.38M
13.61%
-104.68K
92.40%
-5.89M
5,531.05%
-1.89M
67.97%
capital expenditure
-4.80K
-
free cash flow
-2.02K
-
4.80K
337.62%
-2.13K
144.27%
8.62K
505.41%
-12.63K
246.57%
1.38K
110.93%
-1.64K
219.06%
-998
39.26%
-4.07K
307.41%
-6.50K
59.91%
-5.62K
13.53%
-11.60K
106.30%
-7.07K
39.01%
-182.22K
2,475.95%
-1.82M
900.96%
-2.19M
20.34%
-1.59M
27.36%
50.45K
103.16%
-1.60M
3,262.22%
-1.38M
13.61%
-104.68K
92.40%
-5.89M
5,531.05%
-1.89M
67.97%

All numbers in (except ratios and percentages)