Financials Greenrise Global Brands Inc.

Equities

XCX

CA39540L1085

Pharmaceuticals

Market Closed - Canadian Securities Exchange 10:35:35 2024-04-15 EDT 5-day change 1st Jan Change
0.005 CAD -66.67% Intraday chart for Greenrise Global Brands Inc. -.--% -50.00%

Valuation

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Capitalization 1 1.143 3.528 6.223 9.212 3.433 0.3221
Enterprise Value (EV) 2 1.34 3.709 7.246 11.09 6.581 3.091
P/E ratio -1.44 x -0.68 x -2.7 x -2.14 x -1.79 x -0.68 x
Yield - - - - - -
Capitalization / Revenue 2,795 x - 59.2 x 20.3 x - -
EV / Revenue 3,276 x - 68.9 x 24.5 x - -
EV / EBITDA - - -3,826,236 x -5,033,058 x -12,810,726 x -
EV / FCF -7.13 x -3.37 x -6.23 x -10.1 x -5.53 x 23.8 x
FCF Yield -14% -29.7% -16.1% -9.85% -18.1% 4.21%
Price to Book 0.6 x -27 x -6.4 x -4.6 x -1.48 x -0.12 x
Nbr of stocks (in thousands) 10,218 21,038 27,161 36,919 47,236 47,236
Reference price 3 0.1119 0.1677 0.2291 0.2495 0.0727 0.006818
Announcement Date 19-04-30 20-04-29 21-04-30 22-05-06 23-07-07 24-04-30
1EUR in Million2CAD in Million3EUR
Estimates

Income Statement Evolution (Annual data)

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Net sales 1 0.000409 - 0.1052 0.4529 - -
EBITDA - - -1.894 -2.203 -0.5137 -
EBIT 1 -0.4644 -2.915 -1.901 -2.223 -0.5352 -0.267
Operating Margin -113,543.03% - -1,806.95% -490.9% - -
Earnings before Tax (EBT) 1 -0.7949 -3.98 -2.114 -3.64 -1.444 -0.2993
Net income 1 -0.7949 -3.98 -2.114 -3.64 -1.57 -0.2993
Net margin -194,348.66% - -2,009.13% -803.69% - -
EPS 2 -0.0778 -0.2471 -0.0849 -0.1167 -0.0407 -0.009999
Free Cash Flow 1 -0.1878 -1.101 -1.164 -1.092 -1.191 0.13
FCF margin -45,919.8% - -1,106.14% -241.22% - -
FCF Conversion (EBITDA) - - - - - -
FCF Conversion (Net income) - - - - - -
Dividend per Share - - - - - -
Announcement Date 19-04-30 20-04-29 21-04-30 22-05-06 23-07-07 24-04-30
1CAD in Million2CAD
Estimates

Balance Sheet Analysis

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Net Debt 1 0.2 0.18 1.02 1.87 3.15 2.77
Net Cash position 1 - - - - - -
Leverage (Debt/EBITDA) - - -0.5398 x -0.8508 x -6.129 x -
Free Cash Flow 1 -0.19 -1.1 -1.16 -1.09 -1.19 0.13
ROE (net income / shareholders' equity) -34.9% -447% 399% 245% 66.9% 12.1%
ROA (Net income/ Total Assets) -11.5% -116% -258% -445% -44.6% -19.8%
Assets 1 6.903 3.418 0.819 0.8179 3.517 1.513
Book Value Per Share 2 0.1900 -0.0100 -0.0400 -0.0500 -0.0500 -0.0600
Cash Flow per Share 2 0.0100 0.0100 0 0 - 0
Capex - 0 0.05 0.06 - -
Capex / Sales - - 47.47% 13.94% - -
Announcement Date 19-04-30 20-04-29 21-04-30 22-05-06 23-07-07 24-04-30
1CAD in Million2CAD
Estimates
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