RFLX — Reflex Advanced Materials Cashflow Statement
0.000.00%
- CA$1.84m
- CA$2.31m
Annual cashflow statement for Reflex Advanced Materials, fiscal year end - January 31st, CAD millions except per share, conversion factor applied.
2022 January 31st | 2023 January 31st | 2024 January 31st | 2025 January 31st | |
---|---|---|---|---|
Period Length: | 12 M | 12 M | 12 M | 12 M |
Source: | PROSPECTUS | ARS | ARS | ARS |
Standards: | IFRS | IFRS | IFRS | IFRS |
Status: | Final | Final | Final | Final |
Net Income/Starting Line | -0.03 | -2.22 | -6.33 | -3.33 |
Non-Cash Items | — | 1.17 | 0.033 | 2.34 |
Unusual Items | ||||
Other Non-Cash Items | ||||
Changes in Working Capital | 0.001 | -0.159 | 0.366 | 0.645 |
Change in Accounts Receivable | ||||
Change in Prepaid Expenses | ||||
Change in Payable / Accrued Expenses | ||||
Cash from Operating Activities | -0.029 | -1.21 | -5.94 | -0.344 |
Capital Expenditures | -0.065 | -0.355 | -0.261 | -0.136 |
Purchase of Fixed Assets | ||||
Other Investing Cash Flow Items | — | — | -0.12 | -0.003 |
Sale of Fixed Assets | ||||
Purchase of Investments | ||||
Other Investing Cash Flow | ||||
Cash from Investing Activities | -0.065 | -0.355 | -0.381 | -0.14 |
Financing Cash Flow Items | 0.19 | 0.338 | -0.248 | 0 |
Other Financing Cash Flow | ||||
Net Issuance / Retirement of Stock | ||||
Net Issuance / Retirement of Debt | ||||
Cash from Financing Activities | 0.598 | 1.49 | 5.95 | 0.421 |
Beginning Cash Balance | ||||
Ending Cash Balance | ||||
Net Change in Cash | 0.504 | -0.069 | -0.37 | -0.063 |