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COM:THINKIFIC

Thinkific

  • Stock

CAD

Last Close

2.82

22/11 20:59

Market Cap

290.58M

Beta: -

Volume Today

17.06K

Avg: -

Preview

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Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
236.30K
-
290.55K
22.96%
-1.29M
545.04%
-26.38M
1,939.70%
-36.42M
38.09%
-9.78M
73.15%
depreciation and amortization
155.96K
-
253.28K
62.40%
483.05K
90.72%
681.33K
41.05%
1.20M
75.50%
1.34M
12.20%
deferred income tax
-171.96K
-
204.07K
218.67%
103.67K
49.20%
2.31M
2,126.65%
2.85M
-
stock based compensation
96.12K
-
245.46K
155.35%
601.45K
145.04%
4.12M
585.62%
2.79M
32.43%
5.75M
106.42%
change in working capital
536.80K
-
629.57K
17.28%
2.69M
327.89%
969.17K
64.02%
1.84M
89.41%
-2.11M
215.08%
accounts receivables
47.96K
-
-171.85K
458.30%
-567.06K
229.98%
-585.70K
3.29%
-1.32M
125.42%
-605.10K
54.17%
inventory
accounts payables
other working capital
488.83K
-
801.42K
63.94%
3.26M
306.89%
1.55M
52.32%
3.16M
102.97%
-1.51M
147.77%
other non cash items
84.06K
-
27.96K
66.74%
44.44K
58.98%
37.31K
16.06%
4.75M
12,634.00%
-3.48M
173.20%
net cash provided by operating activities
937.28K
-
1.65M
76.14%
2.63M
59.51%
-18.26M
793.23%
-25.85M
41.62%
-5.43M
79.01%
investments in property plant and equipment
-16.53K
-
-83.54K
405.49%
-289.80K
246.90%
-655.16K
126.08%
-1.26M
92.25%
-17.60K
98.60%
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
5.41K
-
66.53K
1,129.04%
70.97K
-
net cash used for investing activites
-11.11K
-
-17.01K
53.06%
-289.80K
1,603.67%
-655.16K
126.08%
-1.26M
92.25%
53.37K
104.24%
debt repayment
-121.78K
-
-252.74K
107.54%
-447.63K
77.11%
-538.83K
20.37%
-521.95K
3.13%
-531.71K
1.87%
common stock issued
3.63M
-
148.62M
3,988.92%
common stock repurchased
-900.16K
-
dividends paid
other financing activites
10.01K
-
832.76K
8,220.95%
-39.09K
104.69%
-9.82M
25,029.96%
280.77K
102.86%
-982.55K
449.95%
net cash used provided by financing activities
-111.77K
-
580.02K
618.93%
3.15M
442.72%
138.26M
4,291.99%
-241.18K
100.17%
-2.41M
901.07%
effect of forex changes on cash
49.20K
-
-68.14K
238.48%
-117.35K
72.23%
-2.36M
1,907.64%
-4.85M
106.05%
551.81K
111.37%
net change in cash
863.59K
-
2.15M
148.47%
5.37M
150.45%
116.99M
2,076.88%
-32.21M
127.53%
-7.24M
77.54%
cash at beginning of period
682.52K
-
1.55M
126.53%
3.69M
138.78%
9.07M
145.57%
126.05M
1,290.41%
93.85M
25.55%
cash at end of period
1.55M
-
3.69M
138.78%
9.07M
145.57%
126.05M
1,290.41%
93.85M
25.55%
86.61M
7.71%
operating cash flow
937.28K
-
1.65M
76.14%
2.63M
59.51%
-18.26M
793.23%
-25.85M
41.62%
-5.43M
79.01%
capital expenditure
-16.53K
-
-83.54K
405.49%
-289.80K
246.90%
-655.16K
126.08%
-1.26M
92.25%
-17.60K
98.60%
free cash flow
920.75K
-
1.57M
70.22%
2.34M
49.53%
-18.91M
906.90%
-27.11M
43.38%
-5.44M
79.92%

All numbers in CAD (except ratios and percentages)