US Stock MarketDetailed Quotes

CYBN Cybin

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  • 9.9400
  • -0.2100-2.07%
Close Nov 6 16:00 ET
  • 10.0000
  • +0.0600+0.60%
Post 17:32 ET
198.81MMarket Cap-1807P/E (TTM)

Cybin Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-154.41%-27.21M
-45.28%-68.91M
-91.06%-20.71M
-141.78%-26.04M
21.94%-11.46M
3.97%-10.7M
-4.92%-47.43M
-11.49%-10.84M
15.94%-10.77M
-6.46%-14.68M
Net income from continuing operations
-2.14%-14.82M
-64.41%-78.08M
-55.58%-21.35M
-182.35%-30.33M
-19.22%-11.89M
-11.18%-14.51M
29.78%-47.49M
24.19%-13.72M
37.58%-10.74M
43.36%-9.97M
Operating gains losses
-278.01%-3.35M
96.60%-137K
-65,400.00%-2.62M
293.98%2.58M
8.72%-1.98M
458.67%1.88M
-1,402.59%-4.03M
-100.88%-4K
-8,406.25%-1.33M
-1,040.53%-2.17M
Depreciation and amortization
100.00%138K
68.92%424K
108.82%142K
100.00%142K
20.34%71K
30.19%69K
49.40%251K
54.55%68K
61.36%71K
40.48%59K
Other non cash items
--3K
-97.53%8K
--4K
----
----
----
-91.18%324K
--0
-100.80%-6K
-97.88%15K
Change In working capital
-2,329.15%-13.15M
-249.83%-5.03M
-16.64%1.84M
-8,653.06%-8.38M
125.05%921K
942.86%590K
-774.65%-1.44M
-27.88%2.21M
111.20%98K
-67.06%-3.68M
-Change in receivables
11.18%-143K
-14.87%-1.09M
51.43%-220K
-197.93%-237K
18.09%-471K
0.62%-161K
-22.64%-948K
-796.92%-453K
112.28%242K
5.12%-575K
-Change in prepaid assets
-1,939.49%-7.97M
-113.42%-986K
-63.73%420K
-126.62%-74K
7.54%-1.77M
3,836.36%433K
-225.35%-462K
-16.87%1.16M
141.37%278K
-62.88%-1.91M
-Change in payables and accrued expense
-1,648.21%-5.2M
-734.41%-2.54M
28.98%1.67M
-1,419.10%-7.79M
407.20%3.24M
-50.30%336K
-83.76%401K
-41.63%1.29M
-223.32%-513K
-149.65%-1.06M
-Change in other current assets
977.78%158K
4.67%-408K
-111.74%-25K
-405.49%-278K
36.50%-87K
96.97%-18K
68.08%-428K
135.03%213K
112.41%91K
---137K
Cash from discontinued investing activities
Operating cash flow
-154.41%-27.21M
-45.28%-68.91M
-91.06%-20.71M
-141.78%-26.04M
21.94%-11.46M
3.97%-10.7M
-4.92%-47.43M
-11.49%-10.84M
15.94%-10.77M
-6.46%-14.68M
Investing cash flow
Cash flow from continuing investing activities
-264.62%-237K
309.19%6.92M
1.38%-215K
3,703.86%7.46M
90.36%-258K
68.75%-65K
-329.74%-3.31M
-80.17%-218K
-24.70%-207K
-2,940.91%-2.68M
Net PPE purchase and sale
----
85.21%-21K
---8K
---13K
----
----
-35.24%-142K
--0
--0
--0
Net intangibles purchase and sale
-264.62%-237K
78.24%-689K
5.05%-207K
23.19%-159K
90.36%-258K
1.52%-65K
-663.13%-3.17M
-101.85%-218K
-43.75%-207K
-3,894.03%-2.68M
Net business purchase and sale
----
--7.63M
--0
----
----
----
--0
--0
----
----
Net investment purchase and sale
----
----
----
----
----
----
----
----
--0
--0
Cash from discontinued investing activities
Investing cash flow
-264.62%-237K
309.19%6.92M
1.38%-215K
3,703.86%7.46M
90.36%-258K
68.75%-65K
-329.74%-3.31M
-80.17%-218K
-24.70%-207K
-2,940.91%-2.68M
Financing cash flow
Cash flow from continuing financing activities
-106.68%-235K
1,776.34%254.51M
3,609.64%190.86M
1,048.94%39.74M
338.74%20.38M
1,021.02%3.52M
-62.09%13.56M
7,579.10%5.15M
147.07%3.46M
-86.33%4.65M
Net issuance payments of debt
---86K
---149K
---93K
----
----
--0
--0
--0
----
----
Net common stock issuance
--0
1,828.50%254.6M
3,611.45%190.95M
1,048.94%39.74M
343.32%20.38M
--3.52M
-58.10%13.2M
514,600.00%5.15M
--3.46M
-85.41%4.6M
Proceeds from stock option exercised by employees
----
-84.53%56K
--0
--56K
----
----
-91.52%362K
--0
--0
-98.06%48K
Net other financing activities
---149K
----
----
----
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-106.68%-235K
1,776.34%254.51M
3,609.64%190.86M
1,048.94%39.74M
338.74%20.38M
1,021.02%3.52M
-62.09%13.56M
7,579.10%5.15M
147.07%3.46M
-86.33%4.65M
Net cash flow
Beginning cash position
1,156.49%208.99M
-68.99%16.63M
73.24%39M
-39.48%18.12M
-77.98%9.35M
-68.99%16.63M
-16.22%53.64M
-64.59%22.51M
-60.18%29.94M
-22.91%42.46M
Current changes in cash
-282.30%-27.69M
617.86%192.52M
2,974.96%169.94M
381.42%21.16M
168.15%8.66M
34.36%-7.24M
-264.47%-37.18M
39.53%-5.91M
35.07%-7.52M
-163.25%-12.71M
Effect of exchange rate changes
4,788.10%1.97M
-196.43%-162K
63.64%54K
-400.00%-279K
-44.74%105K
71.62%-42K
190.81%168K
120.12%33K
589.47%93K
6,233.33%190K
End cash Position
1,860.37%183.28M
1,156.49%208.99M
1,156.49%208.99M
73.24%39M
-39.48%18.12M
-77.98%9.35M
-68.99%16.63M
-68.99%16.63M
-64.59%22.51M
-60.18%29.94M
Free cash flow
-155.07%-27.45M
-37.21%-69.62M
-89.24%-20.92M
-138.79%-26.21M
32.48%-11.72M
5.16%-10.76M
-10.96%-50.74M
-12.33%-11.06M
15.42%-10.98M
-25.06%-17.36M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Jun 30, 2024 (FY)Mar 31, 2024 (Q4)Mar 31, 2024 (Q3)Dec 31, 2023 (Q2)Sep 30, 2023 (Q1)Jun 30, 2023 (FY)Mar 31, 2023 (Q4)Mar 31, 2023 (Q3)Dec 31, 2022 (Q2)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -154.41%-27.21M -45.28%-68.91M -91.06%-20.71M -141.78%-26.04M 21.94%-11.46M 3.97%-10.7M -4.92%-47.43M -11.49%-10.84M 15.94%-10.77M -6.46%-14.68M
Net income from continuing operations -2.14%-14.82M -64.41%-78.08M -55.58%-21.35M -182.35%-30.33M -19.22%-11.89M -11.18%-14.51M 29.78%-47.49M 24.19%-13.72M 37.58%-10.74M 43.36%-9.97M
Operating gains losses -278.01%-3.35M 96.60%-137K -65,400.00%-2.62M 293.98%2.58M 8.72%-1.98M 458.67%1.88M -1,402.59%-4.03M -100.88%-4K -8,406.25%-1.33M -1,040.53%-2.17M
Depreciation and amortization 100.00%138K 68.92%424K 108.82%142K 100.00%142K 20.34%71K 30.19%69K 49.40%251K 54.55%68K 61.36%71K 40.48%59K
Other non cash items --3K -97.53%8K --4K ---- ---- ---- -91.18%324K --0 -100.80%-6K -97.88%15K
Change In working capital -2,329.15%-13.15M -249.83%-5.03M -16.64%1.84M -8,653.06%-8.38M 125.05%921K 942.86%590K -774.65%-1.44M -27.88%2.21M 111.20%98K -67.06%-3.68M
-Change in receivables 11.18%-143K -14.87%-1.09M 51.43%-220K -197.93%-237K 18.09%-471K 0.62%-161K -22.64%-948K -796.92%-453K 112.28%242K 5.12%-575K
-Change in prepaid assets -1,939.49%-7.97M -113.42%-986K -63.73%420K -126.62%-74K 7.54%-1.77M 3,836.36%433K -225.35%-462K -16.87%1.16M 141.37%278K -62.88%-1.91M
-Change in payables and accrued expense -1,648.21%-5.2M -734.41%-2.54M 28.98%1.67M -1,419.10%-7.79M 407.20%3.24M -50.30%336K -83.76%401K -41.63%1.29M -223.32%-513K -149.65%-1.06M
-Change in other current assets 977.78%158K 4.67%-408K -111.74%-25K -405.49%-278K 36.50%-87K 96.97%-18K 68.08%-428K 135.03%213K 112.41%91K ---137K
Cash from discontinued investing activities
Operating cash flow -154.41%-27.21M -45.28%-68.91M -91.06%-20.71M -141.78%-26.04M 21.94%-11.46M 3.97%-10.7M -4.92%-47.43M -11.49%-10.84M 15.94%-10.77M -6.46%-14.68M
Investing cash flow
Cash flow from continuing investing activities -264.62%-237K 309.19%6.92M 1.38%-215K 3,703.86%7.46M 90.36%-258K 68.75%-65K -329.74%-3.31M -80.17%-218K -24.70%-207K -2,940.91%-2.68M
Net PPE purchase and sale ---- 85.21%-21K ---8K ---13K ---- ---- -35.24%-142K --0 --0 --0
Net intangibles purchase and sale -264.62%-237K 78.24%-689K 5.05%-207K 23.19%-159K 90.36%-258K 1.52%-65K -663.13%-3.17M -101.85%-218K -43.75%-207K -3,894.03%-2.68M
Net business purchase and sale ---- --7.63M --0 ---- ---- ---- --0 --0 ---- ----
Net investment purchase and sale ---- ---- ---- ---- ---- ---- ---- ---- --0 --0
Cash from discontinued investing activities
Investing cash flow -264.62%-237K 309.19%6.92M 1.38%-215K 3,703.86%7.46M 90.36%-258K 68.75%-65K -329.74%-3.31M -80.17%-218K -24.70%-207K -2,940.91%-2.68M
Financing cash flow
Cash flow from continuing financing activities -106.68%-235K 1,776.34%254.51M 3,609.64%190.86M 1,048.94%39.74M 338.74%20.38M 1,021.02%3.52M -62.09%13.56M 7,579.10%5.15M 147.07%3.46M -86.33%4.65M
Net issuance payments of debt ---86K ---149K ---93K ---- ---- --0 --0 --0 ---- ----
Net common stock issuance --0 1,828.50%254.6M 3,611.45%190.95M 1,048.94%39.74M 343.32%20.38M --3.52M -58.10%13.2M 514,600.00%5.15M --3.46M -85.41%4.6M
Proceeds from stock option exercised by employees ---- -84.53%56K --0 --56K ---- ---- -91.52%362K --0 --0 -98.06%48K
Net other financing activities ---149K ---- ---- ---- ---- ---- ---- ---- ---- ----
Cash from discontinued financing activities
Financing cash flow -106.68%-235K 1,776.34%254.51M 3,609.64%190.86M 1,048.94%39.74M 338.74%20.38M 1,021.02%3.52M -62.09%13.56M 7,579.10%5.15M 147.07%3.46M -86.33%4.65M
Net cash flow
Beginning cash position 1,156.49%208.99M -68.99%16.63M 73.24%39M -39.48%18.12M -77.98%9.35M -68.99%16.63M -16.22%53.64M -64.59%22.51M -60.18%29.94M -22.91%42.46M
Current changes in cash -282.30%-27.69M 617.86%192.52M 2,974.96%169.94M 381.42%21.16M 168.15%8.66M 34.36%-7.24M -264.47%-37.18M 39.53%-5.91M 35.07%-7.52M -163.25%-12.71M
Effect of exchange rate changes 4,788.10%1.97M -196.43%-162K 63.64%54K -400.00%-279K -44.74%105K 71.62%-42K 190.81%168K 120.12%33K 589.47%93K 6,233.33%190K
End cash Position 1,860.37%183.28M 1,156.49%208.99M 1,156.49%208.99M 73.24%39M -39.48%18.12M -77.98%9.35M -68.99%16.63M -68.99%16.63M -64.59%22.51M -60.18%29.94M
Free cash flow -155.07%-27.45M -37.21%-69.62M -89.24%-20.92M -138.79%-26.21M 32.48%-11.72M 5.16%-10.76M -10.96%-50.74M -12.33%-11.06M 15.42%-10.98M -25.06%-17.36M
Currency Unit CAD CAD CAD CAD CAD CAD CAD CAD CAD CAD
Audit Opinions -- Unqualified Opinion -- -- -- -- Unqualified Opinion with Explanatory Notes -- -- --

Analysis

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