NetraMark Holdings (AINMF)
OTHER OTC:AINMF
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NetraMark Holdings (AINMF) Financial Statements

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NetraMark Holdings Financial Overview

NetraMark Holdings's market cap is currently ―. The company's EPS TTM is $-0.126; its P/E ratio is -2.15; NetraMark Holdings is scheduled to report earnings on January 24, 2025, and the estimated EPS forecast is $―. See an overview of income statement, balance sheet, and cash flow financials.
Jun 24Mar 24Dec 23Sep 23Jun 23
Income Statement-
Total RevenueC$ 73.81KC$ 221.56KC$ 300.00C$ 66.00C$ 97.00
Gross ProfitC$ 73.81KC$ 221.56KC$ 300.00C$ 66.00C$ 97.00
EBITC$ -904.95KC$ -716.05KC$ -852.53KC$ -8.75MC$ -1.90M
EBITDAC$ -904.95KC$ -716.05KC$ -852.53KC$ -8.60MC$ -1.75M
Net Income Common StockholdersC$ -904.95KC$ -716.05KC$ -852.53KC$ -8.75MC$ -1.90M
Balance Sheet-
Cash, Cash Equivalents and Short-Term InvestmentsC$ 350.98KC$ 259.85KC$ 823.53KC$ 1.78MC$ 338.91K
Total AssetsC$ 522.98KC$ 485.32KC$ 910.25KC$ 1.91MC$ 8.92M
Total DebtC$ 0.00C$ 0.00C$ 0.00C$ 0.00C$ 0.00
Net DebtC$ -350.98KC$ -259.85KC$ -823.53KC$ -1.78MC$ -338.91K
Total LiabilitiesC$ 237.83KC$ 262.59KC$ 305.69KC$ 824.41KC$ 1.00M
Stockholders EquityC$ 285.15KC$ 222.73KC$ 604.56KC$ 1.09MC$ 7.92M
Cash Flow-
Free Cash FlowC$ -408.88KC$ -563.68KC$ -958.04KC$ -557.32KC$ -932.60K
Operating Cash FlowC$ -408.88KC$ -563.68KC$ -958.04KC$ -557.32KC$ -932.60K
Investing Cash Flow-----
Financing Cash FlowC$ 500.00K--C$ 2.00MC$ 701.68K
Currency in CAD

NetraMark Holdings Earnings and Revenue History

NetraMark Holdings Debt to Assets

NetraMark Holdings Cash Flow

NetraMark Holdings Forecast EPS vs Actual EPS

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