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Last update Dec 16, 8:00 AM CET
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Knight Therapeutics Inc.
3.74
0
0%

Financials

Cash flow

Fundamentals currency is CAD
Fiscal date 2024 2023 2022 2021
Operating activities 25.7M 16.6M 7.7M 63.5M
Net income 2.7M -16.8M -29.9M 15.7M
Depreciation 32.9M 50.4M 62.6M 47.9M
Deferred taxes -2.0M -9.1M -17.1M -7.6M
StockBased compensation 1.2M 2.3M 1.9M 3.0M
Other non cash items 102.2K 10.3M -3.2M 559K
Accounts receivable -6.4M 5.6M -30.0M 8.6M
Accounts payable 391.3K -21.6M 35.1M 11.5M
Other assets liabilities -3.1M -4.4M -11.7M -16.1M
Investing activities 28.5M 38.3M -40.1M 115.1M
Capital expenditures -1.5M 974K -2.9M -3.8M
Net intangibles -18.0M -9.0M -22.9M -220.4M
Net acquisitions
Purchase of investments -100.7M -334.2M -185.5M -64.3M
Sale of investments 130.5M 347.9M 150.5M 180.5M
Other investing activity 60.1K 23.6M -2.3M 2.7M
Financing activities -16.7M -71.5M 1.4M -78.6M
Long term debt issuance 2.2M 4.8M 51.8M 9.4M
Long term debt payments -13.3M -22.8M -20.3M -23.6M
Short term debt issuance
Common stock issuance
Common stock repurchase -5.5M -53.5M -30.1M -64.4M
Common dividends 0 0 0
Other financing charges
End cash position 49.6M 58.8M 71.7M 86.0M
Income tax paid 3.4M 5.4M 5.7M 8.6M
Interest paid 4.7M 9.9M 4.5M 2.6M
Free cash flow 3.0M 26.0M 19.2M -179.6M
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