US Stock MarketDetailed Quotes

IM Cannabis (IMCC)

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  • 0.2880
  • -0.0061-2.07%
Close May 29 16:00 ET
  • 0.3299
  • +0.0419+14.55%
Post 20:01 ET
1.79MMarket Cap-0.13P/E (TTM)

IM Cannabis (IMCC) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 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
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-104.17%-186K
537.88%4.72M
-147.54%-474K
809.54%4.46M
86.66%-1.08M
-4.2M
-48.57%2.75M
113.94%997K
89.62%-629K
36.12%-8.08M
Net income from continuing operations
-1,509.71%-2.47M
0.18%-11.75M
94.39%-194K
102.91%175K
-15.09%-11.77M
---1.21M
49.34%-1.08M
25.11%-3.46M
-14,100.00%-6.02M
94.65%-10.23M
Operating gains losses
23.89%-430K
----
-89.68%274K
-665.00%-565K
--2.97M
--229K
98.87%-14K
699.40%2.65M
102.75%100K
----
Depreciation and amortization
7.34%497K
-10.44%1.96M
-0.63%471K
-35.43%463K
-27.10%2.18M
--542K
-33.48%451K
-39.07%474K
-11.37%717K
-59.13%3M
Deferred tax
-2.50%-41K
-10.00%-165K
-5.26%-40K
42.03%-40K
-138.07%-150K
---12K
-255.00%-31K
45.71%-38K
54.00%-69K
113.12%394K
Other non cash items
20.72%740K
-68.11%859K
-108.20%-154K
49.15%613K
-41.49%2.69M
--212K
-82.26%193K
-8.08%1.88M
-67.30%411K
-80.43%4.6M
Change In working capital
-60.13%1.52M
216.34%7.84M
-138.86%-835K
143.30%3.82M
76.62%2.48M
---4.32M
-55.11%3.09M
145.51%2.15M
131.55%1.57M
-95.93%1.4M
-Change in receivables
178.77%3.66M
164.55%4.06M
185.90%6.28M
-411.87%-4.65M
-370.99%-6.29M
--4.67M
-366.49%-5.14M
-21.93%-7.31M
49.55%1.49M
-61.70%2.32M
-Change in inventory
200.77%2.37M
-111.53%-722K
58.66%2.01M
-208.80%-2.35M
31.23%6.26M
--1.44M
-58.54%1.39M
-9.25%1.27M
2,298.89%2.16M
229.49%4.77M
-Change in payables and accrued expense
-141.70%-4.51M
-77.85%1.74M
-205.43%-9.9M
619.40%10.81M
228.65%7.85M
---5.17M
239.04%5.71M
26,931.43%9.39M
65.50%-2.08M
-154.04%-6.1M
-Change in other current assets
----
6.89%2.03M
----
----
46.42%1.9M
----
----
----
----
-64.14%1.3M
-Change in other current liabilities
----
110.24%732K
----
----
-852.93%-7.15M
----
----
----
----
-106.19%-750K
-Change in other working capital
----
----
----
----
30.94%-96K
---25K
75.51%-24K
----
----
-120.63%-139K
Cash from discontinued investing activities
Operating cash flow
-104.17%-186K
537.88%4.72M
-147.54%-474K
809.54%4.46M
86.66%-1.08M
---4.2M
-48.57%2.75M
113.94%997K
89.62%-629K
36.12%-8.08M
Investing cash flow
Cash flow from continuing investing activities
429K
-12.98%-531K
104.80%19K
0
60.24%-470K
2K
-74K
-360.47%-396K
99.57%-2K
22.90%-1.18M
Net PPE purchase and sale
---5K
78.33%-13K
92.00%-4K
--0
89.67%-60K
--66K
---74K
64.79%-50K
99.51%-2K
57.03%-581K
Net business purchase and sale
----
--0
----
----
---346K
--0
--0
----
----
--0
Net other investing changes
--434K
-709.38%-518K
----
----
89.35%-64K
----
----
----
----
-271.71%-601K
Cash from discontinued investing activities
Investing cash flow
--429K
-12.98%-531K
104.80%19K
--0
60.24%-470K
--2K
---74K
-360.47%-396K
99.57%-2K
22.90%-1.18M
Financing cash flow
Cash flow from continuing financing activities
67.51%-933K
-70.04%1.15M
-96.99%45K
-237.09%-2.87M
-59.38%3.83M
3.85M
45.63%-665K
-63.71%1.5M
-112.99%-852K
97.75%9.42M
Net issuance payments of debt
466.62%2.43M
176.26%1.18M
-107.79%-30K
77.74%-662K
-2,340.58%-1.55M
--1.34M
-115.83%-300K
309.24%385K
-143.57%-2.97M
-97.70%69K
Net common stock issuance
----
436.55%5.07M
----
--0
-44.08%944K
--944K
--0
-120.39%-176K
-78.67%176K
-55.06%1.69M
Cash dividends paid
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Proceeds from stock option exercised by employees
----
--0
----
--0
-83.20%1.11M
--1.11M
--0
139.82%176K
-102.50%-176K
1,877.48%6.59M
Net other financing activities
-156.29%-3.14M
-146.51%-2.54M
-79.71%351K
-147.42%-1.22M
94.61%5.45M
--970K
116.62%172K
--1.73M
--2.58M
--2.8M
Cash from discontinued financing activities
Financing cash flow
67.51%-933K
-70.04%1.15M
-96.99%45K
-237.09%-2.87M
-59.38%3.83M
--3.85M
45.63%-665K
-63.71%1.5M
-112.99%-852K
97.75%9.42M
Net cash flow
Beginning cash position
215.99%2.73M
-52.40%863K
32.54%1.39M
-52.40%863K
-25.97%1.81M
--1.96M
-47.01%700K
-26.15%1.05M
-25.97%1.81M
-82.39%2.45M
Current changes in cash
-143.37%-690K
134.02%5.33M
-119.56%-410K
207.28%1.59M
1,323.75%2.28M
---350K
-51.23%2.02M
167.24%2.1M
-5,213.79%-1.48M
101.70%160K
Effect of exchange rate changes
3.00%-1.03M
-7.40%-3.47M
92.43%-185K
-248.33%-1.07M
-305.53%-3.23M
---745K
81.75%-757K
-180.95%-2.44M
167.80%718K
61.04%-796K
End cash Position
-27.72%1M
215.99%2.73M
13.43%794K
32.54%1.39M
-52.40%863K
--863K
50.15%1.96M
-47.01%700K
-26.15%1.05M
-25.97%1.81M
Free cash flow
-104.28%-191K
481.43%4.7M
-150.48%-478K
807.29%4.46M
85.76%-1.23M
---4.23M
-49.95%2.68M
112.99%947K
90.25%-631K
39.05%-8.66M
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 with Explanatory Notes
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 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(Q1)Mar 31, 2024(FY)Dec 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -104.17%-186K537.88%4.72M-147.54%-474K809.54%4.46M86.66%-1.08M-4.2M-48.57%2.75M113.94%997K89.62%-629K36.12%-8.08M
Net income from continuing operations -1,509.71%-2.47M0.18%-11.75M94.39%-194K102.91%175K-15.09%-11.77M---1.21M49.34%-1.08M25.11%-3.46M-14,100.00%-6.02M94.65%-10.23M
Operating gains losses 23.89%-430K-----89.68%274K-665.00%-565K--2.97M--229K98.87%-14K699.40%2.65M102.75%100K----
Depreciation and amortization 7.34%497K-10.44%1.96M-0.63%471K-35.43%463K-27.10%2.18M--542K-33.48%451K-39.07%474K-11.37%717K-59.13%3M
Deferred tax -2.50%-41K-10.00%-165K-5.26%-40K42.03%-40K-138.07%-150K---12K-255.00%-31K45.71%-38K54.00%-69K113.12%394K
Other non cash items 20.72%740K-68.11%859K-108.20%-154K49.15%613K-41.49%2.69M--212K-82.26%193K-8.08%1.88M-67.30%411K-80.43%4.6M
Change In working capital -60.13%1.52M216.34%7.84M-138.86%-835K143.30%3.82M76.62%2.48M---4.32M-55.11%3.09M145.51%2.15M131.55%1.57M-95.93%1.4M
-Change in receivables 178.77%3.66M164.55%4.06M185.90%6.28M-411.87%-4.65M-370.99%-6.29M--4.67M-366.49%-5.14M-21.93%-7.31M49.55%1.49M-61.70%2.32M
-Change in inventory 200.77%2.37M-111.53%-722K58.66%2.01M-208.80%-2.35M31.23%6.26M--1.44M-58.54%1.39M-9.25%1.27M2,298.89%2.16M229.49%4.77M
-Change in payables and accrued expense -141.70%-4.51M-77.85%1.74M-205.43%-9.9M619.40%10.81M228.65%7.85M---5.17M239.04%5.71M26,931.43%9.39M65.50%-2.08M-154.04%-6.1M
-Change in other current assets ----6.89%2.03M--------46.42%1.9M-----------------64.14%1.3M
-Change in other current liabilities ----110.24%732K---------852.93%-7.15M-----------------106.19%-750K
-Change in other working capital ----------------30.94%-96K---25K75.51%-24K---------120.63%-139K
Cash from discontinued investing activities
Operating cash flow -104.17%-186K537.88%4.72M-147.54%-474K809.54%4.46M86.66%-1.08M---4.2M-48.57%2.75M113.94%997K89.62%-629K36.12%-8.08M
Investing cash flow
Cash flow from continuing investing activities 429K-12.98%-531K104.80%19K060.24%-470K2K-74K-360.47%-396K99.57%-2K22.90%-1.18M
Net PPE purchase and sale ---5K78.33%-13K92.00%-4K--089.67%-60K--66K---74K64.79%-50K99.51%-2K57.03%-581K
Net business purchase and sale ------0-----------346K--0--0----------0
Net other investing changes --434K-709.38%-518K--------89.35%-64K-----------------271.71%-601K
Cash from discontinued investing activities
Investing cash flow --429K-12.98%-531K104.80%19K--060.24%-470K--2K---74K-360.47%-396K99.57%-2K22.90%-1.18M
Financing cash flow
Cash flow from continuing financing activities 67.51%-933K-70.04%1.15M-96.99%45K-237.09%-2.87M-59.38%3.83M3.85M45.63%-665K-63.71%1.5M-112.99%-852K97.75%9.42M
Net issuance payments of debt 466.62%2.43M176.26%1.18M-107.79%-30K77.74%-662K-2,340.58%-1.55M--1.34M-115.83%-300K309.24%385K-143.57%-2.97M-97.70%69K
Net common stock issuance ----436.55%5.07M------0-44.08%944K--944K--0-120.39%-176K-78.67%176K-55.06%1.69M
Cash dividends paid --0--0--0--0--0--0--0--0--0--0
Proceeds from stock option exercised by employees ------0------0-83.20%1.11M--1.11M--0139.82%176K-102.50%-176K1,877.48%6.59M
Net other financing activities -156.29%-3.14M-146.51%-2.54M-79.71%351K-147.42%-1.22M94.61%5.45M--970K116.62%172K--1.73M--2.58M--2.8M
Cash from discontinued financing activities
Financing cash flow 67.51%-933K-70.04%1.15M-96.99%45K-237.09%-2.87M-59.38%3.83M--3.85M45.63%-665K-63.71%1.5M-112.99%-852K97.75%9.42M
Net cash flow
Beginning cash position 215.99%2.73M-52.40%863K32.54%1.39M-52.40%863K-25.97%1.81M--1.96M-47.01%700K-26.15%1.05M-25.97%1.81M-82.39%2.45M
Current changes in cash -143.37%-690K134.02%5.33M-119.56%-410K207.28%1.59M1,323.75%2.28M---350K-51.23%2.02M167.24%2.1M-5,213.79%-1.48M101.70%160K
Effect of exchange rate changes 3.00%-1.03M-7.40%-3.47M92.43%-185K-248.33%-1.07M-305.53%-3.23M---745K81.75%-757K-180.95%-2.44M167.80%718K61.04%-796K
End cash Position -27.72%1M215.99%2.73M13.43%794K32.54%1.39M-52.40%863K--863K50.15%1.96M-47.01%700K-26.15%1.05M-25.97%1.81M
Free cash flow -104.28%-191K481.43%4.7M-150.48%-478K807.29%4.46M85.76%-1.23M---4.23M-49.95%2.68M112.99%947K90.25%-631K39.05%-8.66M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes----Unqualified Opinion with Explanatory Notes----------
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