Petrus Resources Ltd. (TSX:PRQ)
Canada flag Canada · Delayed Price · Currency is CAD
2.020
+0.010 (0.50%)
Apr 28, 2026, 4:00 PM EST

Petrus Resources Cash Flow Statement

Millions CAD. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025 FY 2024 FY 2023 FY 2022 FY 2021 2020 - 2016
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21 2020 - 2016
Net Income
10.57-1.2550.7360.87114.56
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Depreciation & Amortization
43.5442.752.6134.761.17
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Other Amortization
0.320.370.380.430.37
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Loss (Gain) From Sale of Assets
----0.68-0.92
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Asset Writedown & Restructuring Costs
-----80.58
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Stock-Based Compensation
1.522.131.861.140.26
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Other Operating Activities
-4.726.1-27.55-8.81-1.49
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Change in Other Net Operating Assets
-3.738.67-3.6512.89-0.37
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Operating Cash Flow
47.558.7374.37100.6132.99
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Operating Cash Flow Growth
-19.13%-21.03%-26.08%204.98%14.05%
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Capital Expenditures
-48.99-31.81-86.89-96.74-27.17
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Sale of Property, Plant & Equipment
--0.150.240.15
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Other Investing Activities
0.95-19.89-3.64-1.39.09
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Investing Cash Flow
-48.04-51.7-90.39-97.8-17.93
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Short-Term Debt Issued
5.358.1820.62--
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Long-Term Debt Issued
---25-
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Total Debt Issued
5.358.1820.6225-
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Short-Term Debt Repaid
--0.21-0.45--0.03
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Long-Term Debt Repaid
-0.11-0.28-0.28-53.31-19.99
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Total Debt Repaid
-0.11-0.49-0.73-53.31-20.02
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Net Debt Issued (Repaid)
5.237.719.9-28.31-20.02
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Issuance of Common Stock
0.260.280.7721.1310.11
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Repurchase of Common Stock
-0.09-0.51-0.29--
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Common Dividends Paid
-4.56-14.37-3.72--
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Other Financing Activities
-0.35-0.43-0.32-0.52-0.21
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Financing Cash Flow
0.5-7.3416.35-7.7-10.13
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Net Cash Flow
-0.05-0.310.34-4.894.93
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Free Cash Flow
-1.526.91-12.523.875.82
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Free Cash Flow Growth
----33.54%-60.20%
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Free Cash Flow Margin
-1.89%33.16%-11.56%3.02%8.20%
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Free Cash Flow Per Share
-0.010.22-0.100.030.09
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Cash Interest Paid
6.126.424.83.175.13
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Levered Free Cash Flow
-2.456.89-21.57-16.842.59
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Unlevered Free Cash Flow
0.8610.37-19.08-15.656.62
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Change in Working Capital
-3.738.67-3.6512.89-0.37
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Source: S&P Capital IQ. Standard template. Financial Sources.