RE Royalties (TSE:RE)
TSXV:RE
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RE Royalties (RE) Financial Statements

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RE Royalties Financial Overview

RE Royalties's market cap is currently ―. The company's EPS TTM is C$-0.11; its P/E ratio is -4.36; and it has a dividend yield of 8.19%. RE Royalties is scheduled to report earnings on November 25, 2024, and the estimated EPS forecast is C$―. See an overview of income statement, balance sheet, and cash flow financials.
Jun 24Mar 24Dec 23Sep 23Jun 23
Income Statement-
Total RevenueC$ 1.83MC$ 2.64MC$ 2.63MC$ 1.91MC$ 222.68K
Gross ProfitC$ 1.72MC$ 2.54MC$ 2.53MC$ 1.81MC$ 222.68K
EBITC$ 415.58KC$ 1.69MC$ -518.55KC$ -1.71MC$ 2.10M
EBITDAC$ 524.43KC$ 1.80MC$ -415.02KC$ -1.70MC$ 2.19M
Net Income Common StockholdersC$ -958.47KC$ 358.24KC$ -1.14MC$ -3.03MC$ 876.80K
Balance Sheet-
Cash, Cash Equivalents and Short-Term InvestmentsC$ 33.06MC$ 34.39MC$ 32.18MC$ 15.23MC$ 17.72M
Total AssetsC$ 54.39MC$ 54.75MC$ 53.98MC$ 55.26MC$ 57.50M
Total DebtC$ 36.88MC$ 36.62MC$ 36.28MC$ 36.27MC$ 35.91M
Net DebtC$ 3.82MC$ 2.23MC$ 4.10MC$ 21.04MC$ 18.19M
Total LiabilitiesC$ 37.81MC$ 37.23MC$ 36.89MC$ 36.79MC$ 36.15M
Stockholders EquityC$ 14.25MC$ 15.48MC$ 15.33MC$ 17.04MC$ 20.18M
Cash Flow-
Free Cash FlowC$ 365.34KC$ 693.43KC$ 674.77KC$ 1.16MC$ 78.83K
Operating Cash FlowC$ 365.34KC$ 693.43KC$ 674.77KC$ 1.16MC$ 78.83K
Investing Cash FlowC$ -676.37KC$ 443.50KC$ 14.08KC$ -2.73MC$ 1.19M
Financing Cash FlowC$ -1.20MC$ -1.20MC$ -1.22MC$ -1.21MC$ -1.19M
Currency in CAD

RE Royalties Earnings and Revenue History

RE Royalties Debt to Assets

RE Royalties Cash Flow

RE Royalties Forecast EPS vs Actual EPS

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