Reservoir Capital Corp. | Income Statement
Fiscal year is May-April. All values CAD Thousands.
2014
2015
2016
2017
2018
Cost of Goods Sold (COGS) incl. D&A
58.50
39.30
36.40
0.10
-
Gross Income
58.50
39.30
36.40
0.10
-
SG&A Expense
2,189.40
1,840.20
1,522.40
248.80
490.60
EBIT
2,247.90
1,879.50
1,558.80
248.90
352.00
Unusual Expense
214.70
53.20
246.80
2.00
49.80
Non Operating Income/Expense
62.10
29.60
105.20
0.10
9.50
Interest Expense
-
13.10
10.00
21.80
-
Pretax Income
2,398.90
1,809.90
1,920.70
272.60
288.10
Consolidated Net Income
2,398.90
1,809.90
1,920.70
272.60
288.10
Net Income
2,374.50
1,793.90
1,920.70
272.60
288.10
Net Income After Extraordinaries
2,374.50
1,793.90
1,760.80
744.20
288.10
Net Income Available to Common
2,374.50
1,793.90
2,080.70
1,289.40
288.10
EPS (Basic)
0.56
0.16
0.12
0.07
0.01
Basic Shares Outstanding
4,218.10
11,151.60
17,186.00
18,611.50
31,046.60
EPS (Diluted)
0.56
0.16
0.12
0.07
0.01
Diluted Shares Outstanding
4,218.10
11,151.60
17,186.00
18,611.50
31,046.60
EBITDA
2,189.40
1,840.20
1,522.40
248.80
352.00
Other Operating Expense
-
-
-
-
138.60
Non-Operating Interest Income
1.60
-
-
-
4.60
Minority Interest Expense
24.40
16.00
-
-
-
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