Join today and have your say! It’s FREE!

Become a member today, It's free!

We will not release or resell your information to third parties without your permission.
Please Try Again
{{ error }}
By providing my email, I consent to receiving investment related electronic messages from Stockhouse.

or

Sign In

Please Try Again
{{ error }}
Password Hint : {{passwordHint}}
Forgot Password?

or

Please Try Again {{ error }}

Send my password

SUCCESS
An email was sent with password retrieval instructions. Please go to the link in the email message to retrieve your password.

Become a member today, It's free!

We will not release or resell your information to third parties without your permission.
Quote  |  Bullboard  |  News  |  Opinion  |  Profile  |  Peers  |  Filings  |  Financials  |  Options  |  Price History  |  Ratios  |  Ownership  |  Insiders  |  Valuation

Just Energy Group Inc. (Canada) JENGQ

Just Energy Group Inc is a retail energy provider specializing in electricity and natural gas commodities and bringing energy efficient solutions and renewable energy options to customers. Geographically, the company is operating in the United States and Canada, Just Energy serves residential and commercial customers.


OTCPK:JENGQ - Post by User

Post by GaillardDeshaieon Sep 07, 2022 11:30am
252 Views
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  

<< Previous
Bullboard Posts
Next >>