OTCPK:JENGQ - Post by User
Post by
GaillardDeshaieon Sep 07, 2022 11:30am
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Post# 34946727
2023 Q1 ER
2023 Q1 ERHi again,
Here is the 1st Q ER....nothing wrong with those results.
Now, the NET Equity is $357,407 millions $$$....
How a positive net value of a company can not get out from bankruptcy....Who are the thief???
Balance Sheet
(thousands of dollars) | | As at | | As at | |
| | June 30, | | March 31, | |
| | 2022 | | 2022 | |
Assets: | | | | | | | |
Cash and cash equivalents | | $ | 220,962 | | $ | 125,755 | |
Trade and other receivables, net | | | 356,059 | | | 308,941 | |
Total fair value of derivative instrument assets | | | 899,282 | | | 671,714 | |
Other current assets | | | 175,581 | | | 131,570 | |
Total assets | | | 1,911,371 | | | 1,623,814 | |
| | | | | | | |
Liabilities: | | | | | | | |
Trade and other payables | | $ | 385,391 | | $ | 349,923 | |
Total fair value of derivative instrument liabilities | | | 34,580 | | | 26,087 | |
Total debt | | | 125,893 | | | 126,419 | |
Total liabilities | | | 1,553,964 | | | 1,429,613 | |
Summary of Cash Flows
For the three months ended June 30.
(thousands of dollars)
|
| | | Fiscal 2023 | | | | Fiscal 2022 | |
Operating activities from continuing operations | | $ | 102,072 | | | $ | 2,603 | |
Investing activities from continuing operations | | | (3,462 | ) | | | (1,460 | ) |
Financing activities from continuing operations | | | (1,657 | ) | | | (22,683 | ) |
Effect of foreign currency translation | | | (1,852 | ) | | | 221 | |
Increase (decrease) in cash | | | 95,101 | | | | (21,319 | ) |
Cash and cash equivalents – beginning of period | | | 128,491 | | | | 172,666 | |
Cash and cash equivalents – end of period | | $ | 223,592 | | | $ | 151,347 | |