DNN Cash Flow Statement


* In Millions (except for per share items) of CAD
Period Ending: LTM
(Last Twelve Months)
2023
12-31
2022
12-31
2021
12-31
2020
12-31
2019
12-31
2018
12-31
2017
12-31
2016
12-31
2015
12-31
2014
12-31
2013
12-31
2012
12-31
2011
12-31
2010
12-31
2009
12-31
2008
12-31
2007
12-31
2005
09-30
2004
09-30
2003
09-30
2002
09-30
2001
09-30
2000
09-30
1999
09-30
1998
09-30
1997
09-30
Report Filing: 2023-12-31 2022-12-31 2021-12-31 2020-12-31 2019-12-31 2018-12-31 2017-12-31 2016-12-31 2015-12-31 2014-12-31 2013-12-31 2012-12-31 2011-12-31 2010-12-31 2009-12-31 2008-12-31 2007-12-31 2005-12-28 2005-02-14 2004-02-17 2003-02-18 2002-04-01 2001-03-30 2001-06-25 1999-07-20 1997-09-30
Net Income/Starting Line 89364000 14354000 18977000 -16283000 -18141000 -30077000 -17816260 -23310726.3 -71549296.4 -36802744.58 -89264992.95 -117338208.84 -72357249 -14237277.6 -153936265.2 -98148616 46785733 -2758024.3782 -2757817.68801 74818101 293588 -4451675.452 -22902884.5776 -25119500.05736 2394040 0
Cash From Operating Activities -30667000 -28144000 -21245000 -13485000 -18801000 -20951000 15567850 -10927533 -24607906.77 -27280210 -22512432.11 -6734004.27 -20402643 35556688 -44441018.2 -10665788 -22860085.2 -5131944.0759 -1162997.53017 -5944298.87606 3846742 -3230057.133 8264196 -14811497.65564 -7980134.4245 -4400955.2924
Depreciation and Amortization 5813000 8667000 -36139000 2223000 4990000 8585000 5819710 5408658 5031763 2432001 693165 19161420 40818559 60607695 38034860 48178596 0 638184 684894 834989 1290352 1375628 1644142 2101631 3092302 0
Deferred Income Tax -2343000 -2269000 -1995000 -860000 -5376000 -8294000 -4574785 -5315915.5 -5230203.61 -2674621.44 16475186 -3552537.93 -1119016 -531084.96 -38578305.3 51492487 0 0 -737963.88827 0 0 0 0 0 0 0
Stock Based Compensation 3746000 3736000 2832000 1827000 2222000 0 1299000 457901 815838 926456 959311 1585829 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items -129117000 -54375000 -4721000 -85000 -4752000 6645000 32366792 10350914 48921623 13287203 51567875 94240245 35810554 -7418186.719999999 146112334 10430907 -44959620 -2792601.5891999993 -699993.2409399997 -1016025.94668 -361587.1238000002 -1292485.5450000004 18373817 21816935 399005 -100021.64839999937
Changes in Working Capital 1870000 1743000 -199000 -307000 2256000 355000 -1446125 1481198 -2597755.68 -4450737.24 -2945153.82 -737169.03 -26958484 -4695751.2 -40101835.8 -29996616 -26054793 -219502.50675 2347883 -80581363.66219 2624388 1138475 11149121 -13610565.29422 -13865483.429 -4300933.644
Accounts Receivable 2230000 -512000 -282000 649000 -201000 968000 -1586000 3337478 4145177 -6149351 -1914456.46 9418290 6899918 0 360202 29144716 0 0 0 0 0 0 0 0 0 0
Inventory -866000 741000 -410000 220000 232000 -186000 -392340 -90054.7 -863143.18 -603647.2 -199111.99 -13952490.75 -23793384 -1877300.32 -23275985.9 -62187483 -9376160.4 -2481390.4131 721371 -54646.59838 16297 42552 13838576 -15411964.57062 -3092302.7955 -12602737.3682
Accounts Payable 759000 1385000 676000 -754000 2385000 -214000 639000 -959243 -5030505 0 352438 0 -5786007 0 -15780844.1 3816512 0 0 0 0 0 0 0 0 0 0
Deferred Revenue -253000 129000 -183000 -422000 -160000 541000 -1053785 1571252 -1734612.5 -3847090.04 -1184024.2399999998 13215321 -4279011 -2818450.88 -1405208.1999999955 -770361 -16678632.6 2261887 1626511 -80526717.06381 2608091 1095923 -2689455.2544 1801399 -10773180.6335 8301803
Other Working Capital 0 0 0 0 0 -754000 947000 -2378234.3 885328.0 6149351.0 0.8699999998789281 -9418289.28 0 0.0 0.39999999664723873 0 0.0 0.9063499998301268 1 0.0 0 0 0.25439999997615814 0.27639999985694885 0.000000001862645149230957 0.7242000000551343
Cash From Investing Activities -719000 -6761000 -99004000 305000 -921000 35973000 -44643765 7778306 -7524055.18 9532982 -8388258.06 -15960057.69 -87544624 -19475115.52 -28393163.6 -140814202 -156931850.7 -8716424.2548 -6081197.11367 1552791 9635151 -20526798.143 789745 -5404194.89212 -3790563.5845 -28206125.5698
Investments in Property Plant and Equipment -3234000 -6869000 -1230000 -278000 -929000 -1567000 -1051270 -1701630.6 -2757340.03 -997178.74 -2408509.74 -13054159.26 -24783754 -27314369.6 -40679835 -123193259 -59000093.4 -11838453.4203 -5837710.51108 -1934546.91466 -1197353.0466 -123244.127 -866889.3072 -4403418.65854 -10673429.9645 -20204388.1722
Payments for Acquisitions 125000 -800000 -1356000 137000 8000 361000 -101857.5 -1115603 1244757 -229850.28 -6135204.74 -549146.16 -60957784 1566250 2004149 4868 -157044744.9 116788 80892 311116 65011 66087 0 0 0 0
Purchases of Securities -17511000 -800000 -91674000 -7000 -511000 -71000 -37585417.5 -672050 -11287470.46 -660529.34 0 -1806611.28 0 -966154.56 -1579026.8 -19560841 -2960006.7 -1464215.8317 -1604662.4846 -1347594.25672 -1194455.0933 -20612427.666 0 -1501165.08464 -598510.12 -10902367.964
Proceeds from Sales and Maturities of Securities 19901000 896000 15600000 477000 261000 37500000 2473502 11455764 5596553 11061834 0 103462 0 8119298 11652128 1601572 52357161 4683895 47983 5537883 15361196 2751276 711443 0 0 0
Other Investing Activities -126000 812000 -20344000 -24000 250000 40000 -8378722.5 -188174.00000000093 -320556.38999999873 358705 155456 -653603.3100000005 -1803086 -880140.8000000007 209420 333458 9715833 -214439.16600000113 1232299 -1014068.0045200002 -3399248.4353 -2608490.4679999985 945191 500388 7481376 2900630
Cash From Financing Activities 111179000 20959000 159817000 30506000 4705000 4549000 17281822 11834800 16659218 16418042 14850347 6526084 63568481 60574690 89436999 130397899 106175014 6949393 17845601 238290 -6585460.8009 9114006 7744185 11408856 -199502.8645 51811252
Debt Repayment -218000 -209000 -252000 -467000 -662000 0 -354615 -467746.8 -353108 -61525.58 -128837.17 0 -184801 -685109.6 0 0 0 0 0 0 0 0 0 0 0 0
Common Stock Issued 111397000 19551000 153721000 30825000 4292000 4549000 17548412 11883188 15705875 14911246 14509620 6522105 63418394 61100774 193749101 7390841 101160135 6967390 17863853 593464 27608 15471 0 0 0 51811252
Common Stock Repurchased 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -199502.8645 0
Dividends Paid 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Financing Activities 0 1617000 6348000 148000 1075000 4549000 88025 419359 953343 1568321 469563 3979.3199999993667 334888 159025 -104312102 123007058 5014879 -17996.659350000322 -18251.941679999232 -355174.4939 -6613069.1227 9098534 7744185 11408856 199502 0
Effect of Forex Changes on Cash 346000 863000 -562000 -524000 0 0 552042 12096 -2946065.87 -2322880.86 -1414014.56 920217 -585033 1106176 776948 1033233 24649557 0 -0.000000001862645149230957 0 1.5870499992743134 0.000000001862645149230957 -1.5023999996483326 300232 199502 0
Net Change in Cash 80139000 -13083000 39006000 16802000 -15017000 19571000 -11242050 8697671 -18418809.37 -3652065.5600000024 -17464357.54 -15247759.410000004 -44963819 77762440 17379765 -20048858 -48967364.099999994 -6898974.425399999 10601406 -4153217.1984 6896435 -14642848.712 16798125 -8506603.125319999 -11770698.009000001 19204171
Cash at Beginning of Period 50915000 63998000 24992000 8190000 23207000 3636000 14886285 7213784 25866541 25290495 40661436 53238327 99602634 19807168 3357002 23950560 68456468 14004066 4589570 9073579 3753922 18372996 705216 9207146 21346859 100020
Cash at End of Period 131054000 50915000 63998000 24992000 8190000 23207000 3644235 15911455 7447732 21638430 23197079 37990568 54638815 97569608 20736768 3901702 19489104 7105092 15190976 4920362 10650357 3730147 17503341 700543 9576161 19304191
Free Cash Flow -33901000 -35013000 -22475000 -13763000 -19730000 -22518000 14516580 -12629163.6 -27365246.8 -28277388.74 -24920941.85 -19788163.53 -45186397 8242318 -85120853.2 -133859047 -81860178.6 -16970397.4962 -7000708.04125 -7878845.79072 2649389 -3353301.26 7397306 -19214916.31418 -18653564.389 -24605343.4646
Operating Cash Flow -30667000 -28144000 -21245000 -13485000 -18801000 -20951000 15567850 -10927533 -24607906.77 -27280210 -22512432.11 -6734004.27 -20402643 35556688 -44441018.2 -10665788 -22860085.2 -5131944.0759 -1162997.53017 -5944298.87606 3846742 -3230057.133 8264196 -14811497.65564 -7980134.4245 -4400955.2924
Capital Expenditure -3234000 -6869000 -1230000 -278000 -929000 -1567000 -1051270 -1701630.6 -2757340.03 -997178.74 -2408509.74 -13054159.26 -24783754 -27314369.6 -40679835 -123193259 -59000093.4 -11838453.4203 -5837710.51108 -1934546.91466 -1197353.0466 -123244.127 -866889.3072 -4403418.65854 -10673429.9645 -20204388.1722

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