Orca Energy Group Inc.

ORC-B.V · TSXV
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net Income-CA$21,578CA$7,014CA$30,280CA$17,963
Dep. & Amort.CA$517CA$372CA$32,533CA$17,681
Deferred Tax-CA$8,018CA$3,274CA$9,929CA$12,969
Stock-Based Comp.CA$0CA$6-CA$120-CA$576
Change in WC-CA$2,753CA$3,064-CA$13,599-CA$14,872
Other Non-CashCA$58,918CA$34,755CA$8,637CA$6,945
Operating Cash FlowCA$27,086CA$48,485CA$67,660CA$40,110
Investing Activities
PP&E Inv.-CA$17,960CA$0-CA$25,731-CA$24,985
Net AcquisitionsCA$0CA$0CA$0CA$0
Inv. PurchasesCA$0CA$0CA$0CA$0
Inv. Sales/Matur.CA$0CA$0CA$0CA$0
Other Inv. Act.CA$0-CA$8,794CA$0CA$0
Investing Cash Flow-CA$17,960-CA$8,794-CA$25,731-CA$24,985
Financing Activities
Debt Repay.-CA$17,138-CA$18,094-CA$5,312-CA$319
Stock IssuedCA$0CA$0CA$0CA$0
Stock Repurch.-CA$88-CA$271-CA$298-CA$32,003
Dividends Paid-CA$5,845-CA$5,873-CA$6,176-CA$6,429
Other Fin. Act.CA$0-CA$7,500-CA$6,904-CA$7,198
Financing Cash Flow-CA$23,071-CA$31,738-CA$18,690-CA$45,949
Forex EffectCA$2,455-CA$2,708CA$97-CA$381
Net Chg. in Cash-CA$11,490CA$5,245CA$23,336-CA$31,205
Supplemental Information
Beg. CashCA$101,566CA$96,321CA$72,985CA$104,190
End CashCA$90,076CA$101,566CA$96,321CA$72,985
Free Cash FlowCA$9,126CA$39,691CA$41,929CA$15,125