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Last update May 16, 11:10 AM CEST
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Taat Global Alternatives Inc.
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Financials

Cash flow

Fundamentals currency is CAD
Fiscal date Jul 2024 Apr 2024 Jan 2024 Oct 2023
Operating activities 143.9K -193.7K -326.8K -641.6K
Net income -20.1K 883.4K -920.3K -2.4M
Depreciation 44.9K 65.1K 195.2K 505.3K
Deferred taxes
StockBased compensation 20.6K 41.2K 66.8K 170.1K
Other non cash items 99.0K -722.5K 119.2K 220.1K
Accounts receivable -206.2K -345.6K 239.5K 379.7K
Accounts payable
Other assets liabilities 205.7K -115.3K -27.2K 456.8K
Investing activities -32.2K 15.3K -59.3K 0
Capital expenditures -32.2K 15.3K -59.3K
Net intangibles
Net acquisitions 0
Purchase of investments
Sale of investments
Other investing activity
Financing activities 5.1M -2.2M -2.4M -20.7M
Long term debt issuance 7.3M 0 33.8K 936.3K
Long term debt payments -2.2M -2.3M -2.6M -21.6M
Short term debt issuance 120.1K 171.8K
Common stock issuance
Common stock repurchase
Common dividends
Other financing charges
End cash position 182.2K 88.0K 314.5K 535.6K
Income tax paid 0 0 0
Interest paid 85.3K 42.1K 62.8K
Free cash flow 302.7K -363.9K -175.3K -652.0K
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