Taal Distributed Information Technologies Inc.

Informe acción CNSX:TAAL

Capitalización de mercado: CA$43.1m

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Salud financiera de hoja de balance de Taal Distributed Information Technologies

Salud financiera controles de criterios 3/6

Información clave

10.6%

Ratio deuda-patrimonio

CA$6.85m

Deuda

Ratio de cobertura de interesesn/a
EfectivoCA$8.12m
PatrimonioCA$64.51m
Total pasivoCA$10.64m
Activos totalesCA$75.15m

Actualizaciones recientes sobre salud financiera

Recent updates

Taal Distributed Information Technologies' (CSE:TAAL) Robust Earnings Are Not All Good News For Shareholders

Aug 19
Taal Distributed Information Technologies' (CSE:TAAL) Robust Earnings Are Not All Good News For Shareholders

Taal Distributed Information Technologies (CSE:TAAL) Will Have To Spend Its Cash Wisely

Sep 15
Taal Distributed Information Technologies (CSE:TAAL) Will Have To Spend Its Cash Wisely

Is Taal Distributed Information Technologies (CSE:TAAL) In A Good Position To Invest In Growth?

Jun 04
Is Taal Distributed Information Technologies (CSE:TAAL) In A Good Position To Invest In Growth?

Who Has Been Buying Taal Distributed Information Technologies Inc. (CSE:TAAL) Shares?

Feb 19
Who Has Been Buying Taal Distributed Information Technologies Inc. (CSE:TAAL) Shares?

Shareholders Are Thrilled That The Taal Distributed Information Technologies (CSE:TAAL) Share Price Increased 149%

Jan 01
Shareholders Are Thrilled That The Taal Distributed Information Technologies (CSE:TAAL) Share Price Increased 149%

Análisis de la situación financiera

Pasivos a corto plazo: TAAL's short term assets (CA$16.7M) exceed its short term liabilities (CA$2.6M).

Pasivo a largo plazo: TAAL's short term assets (CA$16.7M) exceed its long term liabilities (CA$8.1M).


Historial y análisis de deuda-patrimonio

Nivel de deuda: TAAL has more cash than its total debt.

Reducción de la deuda: TAAL's debt to equity ratio has increased from 0% to 10.6% over the past 5 years.


Hoja de balance


Análisis de cash runway

En el caso de las empresas que de media han sido deficitarias en el pasado, evaluamos si tienen al menos 1 año de cash runway.

Cash runway estable: TAAL has less than a year of cash runway based on its current free cash flow.

Pronóstico de cash runway: TAAL has less than a year of cash runway if free cash flow continues to reduce at historical rates of 51.5% each year


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