US Stock MarketDetailed Quotes

BVNNF BevCanna Enterprises

Watchlist
  • 1.000000
  • 0.0000000.00%
15min DelayClose Apr 25 16:00 ET
3.07MMarket Cap-62P/E (TTM)

BevCanna Enterprises Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-92.42%81.28K
317.66%111.54K
96.58%-58.15K
90.25%-674K
100.45%7.06K
214.21%1.07M
97.17%-51.25K
56.00%-1.7M
-200.72%-6.91M
-78.02%-1.57M
Net income from continuing operations
32.36%-1.7M
52.23%-1.35M
29.90%-1.59M
82.84%-16.98M
89.42%-9.37M
16.85%-2.51M
47.20%-2.83M
-12.15%-2.28M
-594.61%-98.95M
-910.57%-88.54M
Operating gains losses
-99.78%1.51K
118.58%6.4K
77.91%-50.2K
103.67%433.07K
-103.87%-1.2K
906.24%695.96K
-169.06%-34.44K
-463.29%-227.25K
-61.52%212.63K
-92.40%31.04K
Depreciation and amortization
-9.23%193.06K
-6.78%193.06K
-5.08%192.74K
-66.07%835.51K
-63.37%212.68K
-64.92%212.68K
-65.13%207.1K
-70.22%203.06K
68.61%2.46M
12.18%580.64K
Other non cash items
-64.24%105.67K
-69.53%80.61K
-34.41%101.69K
-86.93%1.03M
-96.18%311.58K
168.45%295.52K
231.97%264.58K
171.11%155.05K
350.52%7.86M
371.85%8.15M
Change In working capital
-42.47%1.37M
-49.46%1.18M
510.32%1.29M
234.86%5.57M
186.43%637.82K
2.82%2.38M
-15.19%2.34M
107.92%211.79K
-36.01%1.66M
-157.73%-737.99K
-Change in receivables
177.81%318.47K
-143.43%-35.51K
111.89%45.69K
84.77%-64.71K
2,168.60%123.21K
127.07%114.64K
144.89%81.76K
-305.89%-384.32K
-313.48%-424.97K
98.63%-5.96K
-Change in inventory
-74.26%116.19K
177.49%209.88K
78.17%-35.07K
130.26%119.72K
1,128.48%99.78K
588.62%451.4K
9.59%-270.83K
-2,761.97%-160.62K
---395.62K
---9.7K
-Change in prepaid assets
60.56%352.69K
-145.28%-52.24K
83.84%-18.27K
244.73%166.55K
93.70%-55.48K
-76.18%219.67K
-93.69%115.37K
94.31%-113.01K
63.93%-115.08K
-54.16%-880.41K
-Change in payables and accrued expense
-59.79%618.96K
-53.29%1.07M
20.75%1.3M
105.90%5.4M
-28.49%494.21K
-10.58%1.54M
105.10%2.29M
218.81%1.08M
-13.29%2.62M
-74.95%691.11K
-Change in other working capital
-172.95%-38.45K
----
----
-118.16%-46.12K
95.52%-23.91K
-71.46%52.71K
-56.32%132.1K
-933.69%-207.02K
-5,334.70%-21.14K
-12.07%-533.03K
Cash from discontinued investing activities
Operating cash flow
-102.70%-28.96K
317.66%111.54K
96.58%-58.15K
90.25%-674K
100.67%7.06K
721.27%1.07M
97.17%-51.25K
56.00%-1.7M
-200.72%-6.91M
-19.77%-1.06M
Investing cash flow
Cash flow from continuing investing activities
100.00%2
88.26%-6.3K
0
184.12%715.35K
-100.00%-1
-40.59%-1.09M
89.83%-53.69K
4,045.59%1.86M
-121.68%-850.41K
138.48%409.02K
Net PPE purchase and sale
--2
88.26%-6.3K
--0
75.86%-255.93K
-100.00%-1
--0
80.31%-53.69K
-88.19%-202.24K
-13.18%-1.06M
109.62%96.41K
Net business purchase and sale
--0
--0
--0
4,011.25%971.28K
--0
---1.09M
--0
1,254.04%2.06M
-95.37%23.63K
102.43%1.47K
Net investment purchase and sale
----
----
----
--0
----
----
----
----
330.10%181.82K
----
Net other investing changes
----
----
----
----
----
----
----
----
--4.33K
--129.33K
Cash from discontinued investing activities
Investing cash flow
100.00%2
88.26%-6.3K
--0
184.12%715.35K
-100.00%-1
-40.59%-1.09M
89.83%-53.69K
4,045.59%1.86M
-121.68%-850.41K
138.48%409.02K
Financing cash flow
Cash flow from continuing financing activities
0
-196.67%-14.94K
179.22%14.94K
-101.63%-112.63K
100.78%1K
-150.88%-110.23K
-97.61%15.45K
-100.30%-18.86K
90.83%6.93M
-104.37%-128.22K
Net issuance payments of debt
----
----
----
--0
----
----
----
----
-736.33%-254.53K
--123.53K
Net common stock issuance
----
----
----
--0
----
----
----
----
362.57%2.65M
-350.00%-250K
Cash dividends paid
--0
----
----
--0
--0
--0
--0
--0
--0
----
Proceeds from stock option exercised by employees
--0
--0
--0
-99.42%27.5K
--0
--0
--0
-99.18%27.5K
180.95%4.7M
-88.51%175.12K
Net other financing activities
----
----
--14.94K
----
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
--0
-196.67%-14.94K
179.22%14.94K
-101.63%-112.63K
-99.46%1K
-15.00%-110.23K
-97.61%15.45K
-100.30%-18.86K
90.83%6.93M
-93.72%184.28K
Net cash flow
Beginning cash position
-27.99%185.87K
-72.94%95.89K
-41.03%135.8K
-77.74%230.27K
-79.99%131.19K
-84.78%258.14K
-90.20%354.29K
-77.74%230.27K
1,062.63%1.03M
1,227.91%655.56K
Current changes in cash
77.54%-28.95K
200.92%90.31K
-131.08%-43.22K
91.46%-71.28K
101.73%8.06K
87.67%-128.9K
95.30%-89.49K
-94.61%139.05K
-188.09%-834.87K
-147.04%-464.4K
Effect of exchange rate changes
-47.29%132.82K
95.23%-318
121.97%3.3K
-175.78%-23.19K
-748.09%-253.47K
5,068.80%251.98K
---6.67K
---15.03K
1,522.26%30.61K
1,917.38%39.11K
End cash Position
19.83%157.19K
-27.99%185.87K
-72.94%95.89K
-41.03%135.8K
-41.03%135.8K
-79.99%131.19K
-84.78%258.14K
-90.20%354.29K
-77.74%230.27K
-77.74%230.27K
Free cash flow
-102.70%-28.96K
200.29%105.24K
96.95%-58.15K
88.33%-929.93K
100.73%7.06K
213.04%1.07M
94.96%-104.94K
52.10%-1.91M
-146.41%-7.97M
47.18%-961.3K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -92.42%81.28K317.66%111.54K96.58%-58.15K90.25%-674K100.45%7.06K214.21%1.07M97.17%-51.25K56.00%-1.7M-200.72%-6.91M-78.02%-1.57M
Net income from continuing operations 32.36%-1.7M52.23%-1.35M29.90%-1.59M82.84%-16.98M89.42%-9.37M16.85%-2.51M47.20%-2.83M-12.15%-2.28M-594.61%-98.95M-910.57%-88.54M
Operating gains losses -99.78%1.51K118.58%6.4K77.91%-50.2K103.67%433.07K-103.87%-1.2K906.24%695.96K-169.06%-34.44K-463.29%-227.25K-61.52%212.63K-92.40%31.04K
Depreciation and amortization -9.23%193.06K-6.78%193.06K-5.08%192.74K-66.07%835.51K-63.37%212.68K-64.92%212.68K-65.13%207.1K-70.22%203.06K68.61%2.46M12.18%580.64K
Other non cash items -64.24%105.67K-69.53%80.61K-34.41%101.69K-86.93%1.03M-96.18%311.58K168.45%295.52K231.97%264.58K171.11%155.05K350.52%7.86M371.85%8.15M
Change In working capital -42.47%1.37M-49.46%1.18M510.32%1.29M234.86%5.57M186.43%637.82K2.82%2.38M-15.19%2.34M107.92%211.79K-36.01%1.66M-157.73%-737.99K
-Change in receivables 177.81%318.47K-143.43%-35.51K111.89%45.69K84.77%-64.71K2,168.60%123.21K127.07%114.64K144.89%81.76K-305.89%-384.32K-313.48%-424.97K98.63%-5.96K
-Change in inventory -74.26%116.19K177.49%209.88K78.17%-35.07K130.26%119.72K1,128.48%99.78K588.62%451.4K9.59%-270.83K-2,761.97%-160.62K---395.62K---9.7K
-Change in prepaid assets 60.56%352.69K-145.28%-52.24K83.84%-18.27K244.73%166.55K93.70%-55.48K-76.18%219.67K-93.69%115.37K94.31%-113.01K63.93%-115.08K-54.16%-880.41K
-Change in payables and accrued expense -59.79%618.96K-53.29%1.07M20.75%1.3M105.90%5.4M-28.49%494.21K-10.58%1.54M105.10%2.29M218.81%1.08M-13.29%2.62M-74.95%691.11K
-Change in other working capital -172.95%-38.45K---------118.16%-46.12K95.52%-23.91K-71.46%52.71K-56.32%132.1K-933.69%-207.02K-5,334.70%-21.14K-12.07%-533.03K
Cash from discontinued investing activities
Operating cash flow -102.70%-28.96K317.66%111.54K96.58%-58.15K90.25%-674K100.67%7.06K721.27%1.07M97.17%-51.25K56.00%-1.7M-200.72%-6.91M-19.77%-1.06M
Investing cash flow
Cash flow from continuing investing activities 100.00%288.26%-6.3K0184.12%715.35K-100.00%-1-40.59%-1.09M89.83%-53.69K4,045.59%1.86M-121.68%-850.41K138.48%409.02K
Net PPE purchase and sale --288.26%-6.3K--075.86%-255.93K-100.00%-1--080.31%-53.69K-88.19%-202.24K-13.18%-1.06M109.62%96.41K
Net business purchase and sale --0--0--04,011.25%971.28K--0---1.09M--01,254.04%2.06M-95.37%23.63K102.43%1.47K
Net investment purchase and sale --------------0----------------330.10%181.82K----
Net other investing changes ----------------------------------4.33K--129.33K
Cash from discontinued investing activities
Investing cash flow 100.00%288.26%-6.3K--0184.12%715.35K-100.00%-1-40.59%-1.09M89.83%-53.69K4,045.59%1.86M-121.68%-850.41K138.48%409.02K
Financing cash flow
Cash flow from continuing financing activities 0-196.67%-14.94K179.22%14.94K-101.63%-112.63K100.78%1K-150.88%-110.23K-97.61%15.45K-100.30%-18.86K90.83%6.93M-104.37%-128.22K
Net issuance payments of debt --------------0-----------------736.33%-254.53K--123.53K
Net common stock issuance --------------0----------------362.57%2.65M-350.00%-250K
Cash dividends paid --0----------0--0--0--0--0--0----
Proceeds from stock option exercised by employees --0--0--0-99.42%27.5K--0--0--0-99.18%27.5K180.95%4.7M-88.51%175.12K
Net other financing activities ----------14.94K----------------------------
Cash from discontinued financing activities
Financing cash flow --0-196.67%-14.94K179.22%14.94K-101.63%-112.63K-99.46%1K-15.00%-110.23K-97.61%15.45K-100.30%-18.86K90.83%6.93M-93.72%184.28K
Net cash flow
Beginning cash position -27.99%185.87K-72.94%95.89K-41.03%135.8K-77.74%230.27K-79.99%131.19K-84.78%258.14K-90.20%354.29K-77.74%230.27K1,062.63%1.03M1,227.91%655.56K
Current changes in cash 77.54%-28.95K200.92%90.31K-131.08%-43.22K91.46%-71.28K101.73%8.06K87.67%-128.9K95.30%-89.49K-94.61%139.05K-188.09%-834.87K-147.04%-464.4K
Effect of exchange rate changes -47.29%132.82K95.23%-318121.97%3.3K-175.78%-23.19K-748.09%-253.47K5,068.80%251.98K---6.67K---15.03K1,522.26%30.61K1,917.38%39.11K
End cash Position 19.83%157.19K-27.99%185.87K-72.94%95.89K-41.03%135.8K-41.03%135.8K-79.99%131.19K-84.78%258.14K-90.20%354.29K-77.74%230.27K-77.74%230.27K
Free cash flow -102.70%-28.96K200.29%105.24K96.95%-58.15K88.33%-929.93K100.73%7.06K213.04%1.07M94.96%-104.94K52.10%-1.91M-146.41%-7.97M47.18%-961.3K
Currency Unit CADCADCADCADCADCADCADCADCADCAD

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
US
Overall
Symbol
Latest Price
%Chg