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TWC ENTERPRISES LTD (CLKXF)

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  • 17.750
  • 0.0000.00%
15min DelayClose May 6 12:49 ET
428.71MMarket Cap9.74P/E (TTM)

TWC ENTERPRISES LTD (CLKXF) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
5.62%50.09M
-27.34%57.96M
-43.67%5.41M
-29.65%4.28M
408.98%850K
-25.81%47.42M
110.07%79.77M
-53.67%9.61M
190.26%6.08M
110.15%167K
Net income from continuing operations
467.71%6.15M
37.03%55.63M
452.34%16.14M
-60.37%16.93M
579.93%21.48M
254.64%1.08M
84.18%40.6M
-206.78%-4.58M
141.49%42.72M
-61.07%3.16M
Operating gains losses
-366.67%-168K
33.46%-10.55M
-90.97%-4.02M
79.34%-2.04M
-24.58%-2.55M
-143.37%-36K
-3.86%-15.86M
18.36%-2.1M
-22.89%-9.89M
-91.75%-2.05M
Depreciation and amortization
4.34%3.53M
-1.25%14.09M
2.14%3.59M
-0.06%3.56M
-3.31%3.56M
-3.70%3.39M
0.56%14.27M
-3.33%3.51M
-1.16%3.57M
5.41%3.68M
Deferred tax
37.69%1.93M
-172.60%-11.06M
-1,915.84%-24.08M
-41.61%6.3M
128.31%5.32M
78.24%1.4M
60.18%15.23M
-34.78%1.33M
96.84%10.79M
-14.52%2.33M
Other non cash items
3.29%-3.38M
49.94%-1.58M
28.94%-1.1M
34.79%2.03M
38.41%-938K
0.63%-3.49M
61.68%-3.16M
-27.78%-1.54M
127.63%1.51M
41.11%-1.52M
Change In working capital
8.85%44.4M
-87.47%3.55M
23.96%-2.49M
-34.26%-23.7M
-11.65%-11.06M
-31.04%40.8M
1,050.54%28.33M
-115.83%-3.27M
42.10%-17.65M
23.67%-9.91M
-Change in receivables
-0.78%-10.34M
-35.25%-1.51M
14.68%8.88M
-29.47%3.32M
-278.68%-3.45M
18.92%-10.26M
-114.15%-1.12M
-36.91%7.74M
141.46%4.71M
81.23%-910K
-Change in inventory
91.08%-188K
-84.46%4.45M
65.74%9.03M
77.34%-510K
-151.80%-1.96M
-109.74%-2.11M
2,423.37%28.62M
-81.29%5.45M
54.74%-2.25M
308.48%3.79M
-Change in prepaid assets
8.29%52.83M
-4.40%-5.65M
-17.56%-12.71M
-13.69%-25.3M
-1.62%-16.42M
11.34%48.78M
-39.67%-5.41M
17.69%-10.82M
-2.35%-22.25M
-3.03%-16.16M
-Change in payables and accrued expense
-51.47%1.95M
-0.62%3.37M
-65.21%-7.7M
22.16%-1.96M
128.88%9.02M
-39.51%4.01M
175.89%3.39M
35.97%-4.66M
35.37%-2.51M
-63.00%3.94M
-Change in other working capital
-57.57%157K
1.48%2.89M
102.55%25K
-84.02%744K
408.11%1.75M
239.62%370K
177.96%2.84M
-218.18%-980K
354.15%4.66M
55.77%-567K
Cash from discontinued investing activities
Operating cash flow
5.62%50.09M
-27.34%57.96M
-43.67%5.41M
-29.65%4.28M
408.38%849K
-25.81%47.42M
110.07%79.77M
-53.67%9.61M
190.26%6.08M
110.15%167K
Investing cash flow
Cash flow from continuing investing activities
87.54%-6.47M
-329.36%-72.67M
-437.62%-9.08M
-14.25%-5.35M
15.20%-6.29M
-1,556.79%-51.96M
-80.87%-16.93M
57.27%-1.69M
-501.72%-4.68M
-97.50%-7.42M
Capital expenditure reported
53.01%-3.29M
-14.30%-19.26M
5.83%-2.2M
-72.14%-5.62M
42.83%-4.44M
-100.80%-7M
-14.50%-16.85M
45.53%-2.33M
25.48%-3.27M
-93.66%-7.76M
Net PPE purchase and sale
-33.12%212K
-79.85%888K
442.37%202K
-95.27%198K
-8.56%171K
256.18%317K
187.66%4.41M
-130.73%-59K
462.42%4.19M
32.62%187K
Net business purchase and sale
95.20%-2.09M
-1,110.04%-43.53M
100.90%2K
--0
--0
---43.53M
-174.94%-3.6M
---222K
-170.31%-3.38M
--0
Net investment purchase and sale
19.19%-1.39M
---9.68M
-489.09%-5.92M
96.31%-75K
-32,750.00%-1.96M
-441.58%-1.73M
--0
--1.52M
-10,594.74%-2.03M
-70.00%6K
Net other investing changes
555.00%91K
907.14%113K
-82.67%48K
177.16%152K
-144.97%-67K
91.77%-20K
-104.02%-14K
-46.32%277K
-995.45%-197K
65.56%149K
Cash from discontinued investing activities
Investing cash flow
87.54%-6.47M
-329.36%-72.67M
-437.62%-9.08M
-14.25%-5.35M
15.20%-6.29M
-1,556.79%-51.96M
-80.87%-16.93M
57.27%-1.69M
-501.72%-4.68M
-97.50%-7.42M
Financing cash flow
Cash flow from continuing financing activities
-250.51%-18.92M
115.07%9.79M
111.08%3.37M
37.25%-1.66M
43.72%-4.49M
152.63%12.57M
-253.80%-64.95M
-383.17%-30.43M
61.74%-2.65M
-130.90%-7.98M
Net issuance payments of debt
-227.29%-16.51M
144.00%23.92M
196.60%25.94M
1,602.12%2.84M
103.63%185K
77.12%-5.04M
-415.78%-54.36M
-71.61%-26.85M
-102.17%-189K
-118.66%-5.09M
Net common stock issuance
--0
-106.47%-5.55M
-147.35%-559K
-47.99%-2.32M
-202.41%-2.51M
-146.38%-170K
-24.32%-2.69M
83.38%-226K
-154.06%-1.57M
-227.67%-829K
Cash dividends paid
-15.22%-2.38M
-19.94%-8.25M
-19.74%-2.06M
-19.93%-2.06M
-19.94%-2.07M
-20.15%-2.07M
-48.76%-6.88M
-83.44%-1.72M
-47.80%-1.72M
-49.35%-1.73M
Net other financing activities
-100.18%-35K
67.52%-331K
-1,125.80%-19.96M
-115.77%-129K
69.73%-102K
35,555.36%19.86M
1.07%-1.02M
-113.98%-1.63M
105.89%818K
-742.50%-337K
Cash from discontinued financing activities
Financing cash flow
-250.51%-18.92M
115.07%9.79M
111.08%3.37M
37.25%-1.66M
43.72%-4.49M
152.63%12.57M
-253.80%-64.95M
-383.17%-30.43M
61.74%-2.65M
-130.90%-7.98M
Net cash flow
Beginning cash position
-12.09%48.86M
3.41%55.58M
-33.64%49.77M
-32.88%51.6M
-30.50%63.68M
3.41%55.58M
21.74%53.75M
70.36%75M
37.52%76.88M
154.44%91.62M
Current changes in cash
207.15%24.69M
-134.13%-4.93M
98.71%-290K
-118.01%-2.74M
34.78%-9.94M
-78.21%8.04M
-120.51%-2.1M
-314.35%-22.5M
89.96%-1.26M
-174.57%-15.24M
Effect of exchange rate changes
1,269.49%808K
-145.59%-1.8M
-120.36%-627K
246.29%907K
-529.38%-2.13M
-93.99%59K
693.82%3.94M
495.25%3.08M
-199.36%-620K
192.04%497K
End cash Position
16.77%74.35M
-12.09%48.86M
-12.09%48.86M
-33.64%49.77M
-32.88%51.6M
-30.50%63.68M
3.41%55.58M
3.41%55.58M
70.36%75M
37.52%76.88M
Free cash flow
15.77%46.8M
-38.19%38.7M
-53.82%3.22M
-147.92%-1.35M
52.74%-3.59M
-33.11%40.42M
172.16%62.61M
-57.01%6.97M
125.29%2.81M
-28.07%-7.6M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 5.62%50.09M-27.34%57.96M-43.67%5.41M-29.65%4.28M408.98%850K-25.81%47.42M110.07%79.77M-53.67%9.61M190.26%6.08M110.15%167K
Net income from continuing operations 467.71%6.15M37.03%55.63M452.34%16.14M-60.37%16.93M579.93%21.48M254.64%1.08M84.18%40.6M-206.78%-4.58M141.49%42.72M-61.07%3.16M
Operating gains losses -366.67%-168K33.46%-10.55M-90.97%-4.02M79.34%-2.04M-24.58%-2.55M-143.37%-36K-3.86%-15.86M18.36%-2.1M-22.89%-9.89M-91.75%-2.05M
Depreciation and amortization 4.34%3.53M-1.25%14.09M2.14%3.59M-0.06%3.56M-3.31%3.56M-3.70%3.39M0.56%14.27M-3.33%3.51M-1.16%3.57M5.41%3.68M
Deferred tax 37.69%1.93M-172.60%-11.06M-1,915.84%-24.08M-41.61%6.3M128.31%5.32M78.24%1.4M60.18%15.23M-34.78%1.33M96.84%10.79M-14.52%2.33M
Other non cash items 3.29%-3.38M49.94%-1.58M28.94%-1.1M34.79%2.03M38.41%-938K0.63%-3.49M61.68%-3.16M-27.78%-1.54M127.63%1.51M41.11%-1.52M
Change In working capital 8.85%44.4M-87.47%3.55M23.96%-2.49M-34.26%-23.7M-11.65%-11.06M-31.04%40.8M1,050.54%28.33M-115.83%-3.27M42.10%-17.65M23.67%-9.91M
-Change in receivables -0.78%-10.34M-35.25%-1.51M14.68%8.88M-29.47%3.32M-278.68%-3.45M18.92%-10.26M-114.15%-1.12M-36.91%7.74M141.46%4.71M81.23%-910K
-Change in inventory 91.08%-188K-84.46%4.45M65.74%9.03M77.34%-510K-151.80%-1.96M-109.74%-2.11M2,423.37%28.62M-81.29%5.45M54.74%-2.25M308.48%3.79M
-Change in prepaid assets 8.29%52.83M-4.40%-5.65M-17.56%-12.71M-13.69%-25.3M-1.62%-16.42M11.34%48.78M-39.67%-5.41M17.69%-10.82M-2.35%-22.25M-3.03%-16.16M
-Change in payables and accrued expense -51.47%1.95M-0.62%3.37M-65.21%-7.7M22.16%-1.96M128.88%9.02M-39.51%4.01M175.89%3.39M35.97%-4.66M35.37%-2.51M-63.00%3.94M
-Change in other working capital -57.57%157K1.48%2.89M102.55%25K-84.02%744K408.11%1.75M239.62%370K177.96%2.84M-218.18%-980K354.15%4.66M55.77%-567K
Cash from discontinued investing activities
Operating cash flow 5.62%50.09M-27.34%57.96M-43.67%5.41M-29.65%4.28M408.38%849K-25.81%47.42M110.07%79.77M-53.67%9.61M190.26%6.08M110.15%167K
Investing cash flow
Cash flow from continuing investing activities 87.54%-6.47M-329.36%-72.67M-437.62%-9.08M-14.25%-5.35M15.20%-6.29M-1,556.79%-51.96M-80.87%-16.93M57.27%-1.69M-501.72%-4.68M-97.50%-7.42M
Capital expenditure reported 53.01%-3.29M-14.30%-19.26M5.83%-2.2M-72.14%-5.62M42.83%-4.44M-100.80%-7M-14.50%-16.85M45.53%-2.33M25.48%-3.27M-93.66%-7.76M
Net PPE purchase and sale -33.12%212K-79.85%888K442.37%202K-95.27%198K-8.56%171K256.18%317K187.66%4.41M-130.73%-59K462.42%4.19M32.62%187K
Net business purchase and sale 95.20%-2.09M-1,110.04%-43.53M100.90%2K--0--0---43.53M-174.94%-3.6M---222K-170.31%-3.38M--0
Net investment purchase and sale 19.19%-1.39M---9.68M-489.09%-5.92M96.31%-75K-32,750.00%-1.96M-441.58%-1.73M--0--1.52M-10,594.74%-2.03M-70.00%6K
Net other investing changes 555.00%91K907.14%113K-82.67%48K177.16%152K-144.97%-67K91.77%-20K-104.02%-14K-46.32%277K-995.45%-197K65.56%149K
Cash from discontinued investing activities
Investing cash flow 87.54%-6.47M-329.36%-72.67M-437.62%-9.08M-14.25%-5.35M15.20%-6.29M-1,556.79%-51.96M-80.87%-16.93M57.27%-1.69M-501.72%-4.68M-97.50%-7.42M
Financing cash flow
Cash flow from continuing financing activities -250.51%-18.92M115.07%9.79M111.08%3.37M37.25%-1.66M43.72%-4.49M152.63%12.57M-253.80%-64.95M-383.17%-30.43M61.74%-2.65M-130.90%-7.98M
Net issuance payments of debt -227.29%-16.51M144.00%23.92M196.60%25.94M1,602.12%2.84M103.63%185K77.12%-5.04M-415.78%-54.36M-71.61%-26.85M-102.17%-189K-118.66%-5.09M
Net common stock issuance --0-106.47%-5.55M-147.35%-559K-47.99%-2.32M-202.41%-2.51M-146.38%-170K-24.32%-2.69M83.38%-226K-154.06%-1.57M-227.67%-829K
Cash dividends paid -15.22%-2.38M-19.94%-8.25M-19.74%-2.06M-19.93%-2.06M-19.94%-2.07M-20.15%-2.07M-48.76%-6.88M-83.44%-1.72M-47.80%-1.72M-49.35%-1.73M
Net other financing activities -100.18%-35K67.52%-331K-1,125.80%-19.96M-115.77%-129K69.73%-102K35,555.36%19.86M1.07%-1.02M-113.98%-1.63M105.89%818K-742.50%-337K
Cash from discontinued financing activities
Financing cash flow -250.51%-18.92M115.07%9.79M111.08%3.37M37.25%-1.66M43.72%-4.49M152.63%12.57M-253.80%-64.95M-383.17%-30.43M61.74%-2.65M-130.90%-7.98M
Net cash flow
Beginning cash position -12.09%48.86M3.41%55.58M-33.64%49.77M-32.88%51.6M-30.50%63.68M3.41%55.58M21.74%53.75M70.36%75M37.52%76.88M154.44%91.62M
Current changes in cash 207.15%24.69M-134.13%-4.93M98.71%-290K-118.01%-2.74M34.78%-9.94M-78.21%8.04M-120.51%-2.1M-314.35%-22.5M89.96%-1.26M-174.57%-15.24M
Effect of exchange rate changes 1,269.49%808K-145.59%-1.8M-120.36%-627K246.29%907K-529.38%-2.13M-93.99%59K693.82%3.94M495.25%3.08M-199.36%-620K192.04%497K
End cash Position 16.77%74.35M-12.09%48.86M-12.09%48.86M-33.64%49.77M-32.88%51.6M-30.50%63.68M3.41%55.58M3.41%55.58M70.36%75M37.52%76.88M
Free cash flow 15.77%46.8M-38.19%38.7M-53.82%3.22M-147.92%-1.35M52.74%-3.59M-33.11%40.42M172.16%62.61M-57.01%6.97M125.29%2.81M-28.07%-7.6M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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