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TSX:BU

Burcon NutraScience Corporation

  • Stock

CAD

Last Close

0.19

26/07 16:42

Market Cap

31.97M

Beta: 2.36

Volume Today

9.95K

Avg: 68.95K

PE Ratio

−0.92

PFCF: −4.13

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Mar '14
Mar '15
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
Mar '24
net income
-5.96M
-
-6.58M
10.36%
-6.57M
0.15%
-5.78M
12.08%
-5.62M
2.66%
-4.78M
15.04%
-4.63M
3.01%
-617.49K
86.67%
-10.26M
1,561.30%
-25.36M
147.25%
-7.45M
70.64%
depreciation and amortization
590.36K
-
683.95K
15.85%
126.35K
81.53%
149.88K
18.63%
147.59K
1.53%
100.25K
32.08%
37.29K
62.80%
123.23K
230.47%
261.41K
112.13%
660.99K
152.85%
703.18K
6.38%
deferred income tax
-439.79K
-
-212.47K
51.69%
243.56K
214.63%
-133.35K
154.75%
-73.26K
45.06%
-2.26K
96.91%
933.57K
41,390.27%
-4.69M
602.06%
3.30M
170.35%
13.39M
306.09%
stock based compensation
538.64K
-
731.45K
35.80%
914.30K
25.00%
752.46K
17.70%
488.24K
35.11%
253.15K
48.15%
514.98K
103.43%
1.65M
219.74%
1.44M
12.81%
1.26M
12.47%
change in working capital
-119.68K
-
200.28K
267.35%
-37.80K
118.87%
-120.56K
218.95%
214.87K
278.22%
-190.18K
188.51%
-3.68K
98.06%
45.39K
1,332.75%
-510.03K
1,223.66%
-238.24K
53.29%
-105.69K
55.64%
accounts receivables
-106.42K
-
-4.58K
95.69%
-6.62K
44.43%
-11.53K
74.12%
27.68K
-
-205.64K
842.82%
-6.47K
96.86%
138.37K
2,239.68%
-131.78K
195.23%
-196.04K
48.77%
inventory
-132.14K
-
-331
99.75%
287
186.71%
322.18K
112,157.14%
-68.32K
121.21%
accounts payables
-1.41K
-
187.90K
13,388.40%
-8.40K
104.47%
-101.25K
1,105.19%
257.09K
353.92%
-140.47K
154.64%
39.81K
128.34%
327.77K
723.41%
-509.07K
255.32%
-322.18K
36.71%
162.81K
150.53%
other working capital
-11.85K
-
16.96K
243.17%
-22.78K
234.31%
-7.79K
65.81%
-42.23K
442.15%
-77.39K
83.27%
294.30K
480.27%
-275.58K
193.64%
-139.62K
49.34%
-106.46K
23.75%
-4.13K
96.12%
other non cash items
439.79K
-
357.94K
18.61%
439.79K
22.87%
520.67K
18.39%
221.42K
57.47%
469.47K
112.03%
413.10K
12.01%
456.38K
10.48%
-139.59K
130.59%
4.28M
3,165.35%
2.67M
37.66%
net cash provided by operating activities
-4.95M
-
-4.82M
2.70%
-4.88M
1.36%
-4.61M
5.66%
-4.62M
0.36%
-4.15M
10.32%
-2.74M
33.97%
-3.03M
10.76%
-5.91M
94.98%
-6.02M
1.73%
-5.69M
5.42%
investments in property plant and equipment
-254.76K
-
-50.40K
80.22%
-59.83K
18.70%
-157.13K
162.65%
-20.08K
87.22%
-18.55K
7.60%
-1.57M
8,351.97%
-2.87M
83.18%
-1.27M
55.84%
-359.91K
71.63%
-127.11K
64.68%
acquisitions net
-13M
-
purchases of investments
-13M
-
-4.11M
-
sales maturities of investments
2.09M
-
14.47M
-
other investing activites
-1.26M
-
1.37M
209.03%
19.43K
98.58%
-1.47M
-
155.97K
110.63%
36.74K
76.44%
32.43K
11.72%
net cash used for investing activites
1.83M
-
-1.31M
171.44%
1.31M
200.26%
-137.70K
110.50%
-20.08K
85.42%
-18.55K
7.60%
-14.57M
78,413.95%
-2.72M
81.35%
-1.23M
54.66%
-4.43M
260.02%
-127.11K
97.13%
debt repayment
-1.25M
-
-4.05M
224.40%
-90.15K
97.78%
-97.95K
8.64%
-14.40K
85.30%
-1M
6,845.41%
common stock issued
7.22M
-
3.84M
46.74%
5.14M
33.65%
3.49M
32.14%
25.75M
-
5.03M
80.48%
272.02K
94.59%
7.67M
-
common stock repurchased
dividends paid
other financing activites
-88.81K
-
-191.03K
115.09%
-131.51K
31.16%
1.81M
1,475.95%
-105.64K
105.84%
2.48M
2,449.03%
10.15M
308.99%
-239.59K
102.36%
4.91M
-
net cash used provided by financing activities
-88.81K
-
7.03M
8,010.03%
3.71M
47.17%
6.95M
87.14%
3.38M
51.34%
1.23M
63.56%
31.85M
2,485.80%
4.70M
85.25%
174.08K
96.29%
4.90M
2,712.50%
8.56M
74.94%
effect of forex changes on cash
109.64K
-
-60.36K
155.05%
20.64K
134.20%
-15.77K
176.41%
2.26K
114.33%
1.80K
20.48%
-4.47K
348.83%
-548
87.75%
10.49K
2,013.69%
net change in cash
-3.21M
-
1.01M
131.42%
78.90K
92.18%
2.22M
2,715.37%
-1.28M
157.64%
-2.93M
128.99%
14.54M
596.03%
-1.06M
107.28%
-6.97M
558.76%
-5.54M
20.48%
2.74M
149.43%
cash at beginning of period
4.60M
-
1.39M
69.75%
2.40M
72.43%
2.48M
3.29%
4.70M
89.57%
3.42M
27.23%
489.21K
85.70%
15.03M
2,972.47%
13.97M
7.04%
7.00M
49.90%
1.46M
79.19%
cash at end of period
1.39M
-
2.40M
72.43%
2.48M
3.29%
4.70M
89.57%
3.42M
27.23%
489.21K
85.70%
15.03M
2,972.47%
13.97M
7.04%
7.00M
49.90%
1.46M
79.19%
4.20M
188.10%
operating cash flow
-4.95M
-
-4.82M
2.70%
-4.88M
1.36%
-4.61M
5.66%
-4.62M
0.36%
-4.15M
10.32%
-2.74M
33.97%
-3.03M
10.76%
-5.91M
94.98%
-6.02M
1.73%
-5.69M
5.42%
capital expenditure
-254.76K
-
-50.40K
80.22%
-59.83K
18.70%
-157.13K
162.65%
-20.08K
87.22%
-18.55K
7.60%
-1.57M
8,351.97%
-2.87M
83.18%
-1.27M
55.84%
-359.91K
71.63%
-127.11K
64.68%
free cash flow
-5.21M
-
-4.87M
6.50%
-4.94M
1.53%
-4.76M
3.62%
-4.64M
2.53%
-4.17M
10.30%
-4.31M
3.38%
-5.91M
37.13%
-7.18M
21.61%
-6.38M
11.23%
-5.82M
8.77%

All numbers in CAD (except ratios and percentages)