Key Metrics (CAD, Q4 2024 vs prior periods):
- Revenue: CAD 5,768,000; YoY +22.62%; QoQ 0.00%
- Gross Profit: CAD 5,768,000; YoY +50.96%; QoQ 0.00%; Gross margin 100%
- Operating Income: CAD 5,168,000; YoY +0.51%; QoQ 0.00%; Operating margin ~89.60%
- Net Income: CAD 3,262,000; YoY -6.96%; QoQ 0.00%; Net margin ~56.55%
- EPS (diluted): CAD 0.0882; YoY +3.40%; QoQ 0.00%
- Cash Flow: Operating cash flow CAD 728,628; Free cash flow CAD 364,314; Net change in cash CAD -3,093,707; Cash at end CAD 3,883,536; Dividends paid CAD -1,942,125; Financing activities CAD -3,844,250
- Balance Sheet Highlights: Total assets CAD 176,570,103; Total liabilities CAD 55,953,398; Total stockholdersโ equity CAD 120,616,705; Cash and cash equivalents CAD 3,883,536; Net debt CAD 49,224,090; Long-term debt CAD 53,107,626; Long-term investments CAD 169,378,255; Current assets CAD 7,191,848; Current liabilities CAD 242,770
- Efficiency/Liquidity: Current ratio, quick ratio, and cash ratio are not fully disclosed in ratiosInfo, but implied liquidity is strong given CAD 3.88m cash and CAD 7.19m current assets against CAD 0.243m current liabilities (approx. 29.6x current ratio). Net debt to equity ~0.41; debt to equity ~0.44; Equity-to-assets ~0.68. These metrics suggest a conservative balance sheet posture and ample liquidity for near-term obligations.