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Canadian Nexus Team Ventures Corp (DE:A1D0)
FRANKFURT:A1D0
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Canadian Nexus Team Ventures Corp (A1D0) Financial Statements

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Canadian Nexus Team Ventures Corp Financial Overview

Canadian Nexus Team Ventures Corp's market cap is currently ―. The company's EPS TTM is €-0.138; its P/E ratio is -0.32; Canadian Nexus Team Ventures Corp is scheduled to report earnings on ―, and the estimated EPS forecast is €―. See an overview of income statement, balance sheet, and cash flow financials.
Sep 22Jun 22Mar 22Dec 21Sep 21
Income Statement-
Total Revenue-C$ 0.00C$ 0.00C$ 0.00C$ 0.00
Gross Profit-C$ -123.52KC$ -133.33KC$ -127.76KC$ -148.06K
EBITC$ -653.36KC$ -1.42MC$ 181.39KC$ -1.20MC$ -1.92M
EBITDA-C$ -1.39MC$ 203.73KC$ -1.20MC$ -1.92M
Net Income Common StockholdersC$ -653.54KC$ -1.42MC$ 180.74KC$ -1.20MC$ -1.92M
Balance Sheet-
Cash Cash Equivalents And Short Term InvestmentsC$ 4.26MC$ 4.34MC$ 5.53MC$ 5.61MC$ 6.17M
Total AssetsC$ 5.35MC$ 6.00MC$ 7.14MC$ 6.93MC$ 7.67M
Total DebtC$ 0.00C$ 94.24KC$ 103.23KC$ 111.96KC$ 0.00
Net DebtC$ -4.26MC$ -4.24MC$ -5.43MC$ -5.49MC$ -6.17M
Total LiabilitiesC$ 135.89KC$ 253.56KC$ 182.32KC$ 159.68KC$ 44.67K
Stockholders EquityC$ 5.21MC$ 5.74MC$ 6.96MC$ 6.77MC$ 7.63M
Cash Flow-
Free Cash FlowC$ -463.07KC$ -197.42KC$ -91.54KC$ -497.37KC$ -21.05K
Operating Cash FlowC$ -399.72KC$ -186.09KC$ -40.66KC$ -397.62KC$ -21.05K
Investing Cash FlowC$ -63.36KC$ -11.33KC$ -52.03KC$ -147.01K-
Financing Cash FlowC$ 278.64KC$ 188.00KC$ -15.50KC$ -182.86KC$ 400.00K
Currency in CAD

Canadian Nexus Team Ventures Corp Earnings and Revenue History

Canadian Nexus Team Ventures Corp Debt to Assets

Canadian Nexus Team Ventures Corp Cash Flow

Canadian Nexus Team Ventures Corp Forecast EPS vs Actual EPS

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