Financials Ynvisible Interactive Inc.

Equities

YNV

CA9858441095

Industrial Machinery & Equipment

Delayed Toronto S.E. 17:48:22 08/05/2024 BST 5-day change 1st Jan Change
0.115 CAD -4.17% Intraday chart for Ynvisible Interactive Inc. -4.17% +43.75%

Valuation

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Capitalization 1 12.49 17.97 56.98 33.66 9.35 9.974
Enterprise Value (EV) 1 11.53 16.88 55.93 17.92 -2.176 2.954
P/E ratio -2.18 x -4.62 x -14.1 x -5.33 x -1.83 x -2.03 x
Yield - - - - - -
Capitalization / Revenue - 57,440,205 x 146,901,029 x 24,431,594 x 13,624,055 x 9,256,632 x
EV / Revenue - 53,974,908 x 144,174,037 x 13,009,855 x -3,170,981 x 2,741,355 x
EV / EBITDA -2.59 x -4.56 x -13.4 x -2.79 x 0.39 x -0.59 x
EV / FCF -5.13 x -6.96 x -33.9 x -5.28 x 0.84 x -1.08 x
FCF Yield -19.5% -14.4% -2.95% -18.9% 119% -93%
Price to Book 39.6 x 4.48 x 16.3 x 1.86 x 0.69 x 1.1 x
Nbr of stocks (in thousands) 53,142 73,328 81,407 124,667 124,672 124,672
Reference price 2 0.2350 0.2450 0.7000 0.2700 0.0750 0.0800
Announcement Date 30/04/19 01/06/20 30/04/21 02/05/22 01/05/23 30/04/24
1CAD in Million2CAD
Estimates

Income Statement Evolution (Annual data)

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Net sales - 0.3128 0.3879 1.378 0.6863 1.077
EBITDA 1 -4.46 -3.706 -4.176 -6.435 -5.546 -4.976
EBIT 1 -4.493 -3.863 -4.511 -6.806 -5.897 -5.586
Operating Margin - -1,235.14% -1,162.94% -494% -859.16% -518.39%
Earnings before Tax (EBT) 1 -5.412 -3.467 -3.791 -5.885 -5.105 -4.901
Net income 1 -5.419 -3.467 -3.795 -5.886 -5.109 -4.902
Net margin - -1,108.52% -978.24% -427.23% -744.43% -455%
EPS 2 -0.1079 -0.0530 -0.0497 -0.0507 -0.0410 -0.0393
Free Cash Flow 1 -2.248 -2.427 -1.65 -3.394 -2.58 -2.747
FCF margin - -776.01% -425.35% -246.36% -375.95% -254.92%
FCF Conversion (EBITDA) - - - - - -
FCF Conversion (Net income) - - - - - -
Dividend per Share - - - - - -
Announcement Date 30/04/19 01/06/20 30/04/21 02/05/22 01/05/23 30/04/24
1CAD in Million2CAD
Estimates

Balance Sheet Analysis

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Net Debt 1 - - - - - -
Net Cash position 1 0.96 1.08 1.06 15.7 11.5 7.02
Leverage (Debt/EBITDA) - - - - - -
Free Cash Flow 1 -2.25 -2.43 -1.65 -3.39 -2.58 -2.75
ROE (net income / shareholders' equity) 627% -160% -100% -54.3% -32.2% -43.3%
ROA (Net income/ Total Assets) -232% -55.2% -44.8% -32.5% -20.9% -27.1%
Assets 1 2.333 6.277 8.468 18.14 24.44 18.1
Book Value Per Share 2 0.0100 0.0500 0.0400 0.1500 0.1100 0.0700
Cash Flow per Share 2 0.0200 0.0300 0.0200 0.1300 0.1000 0.0600
Capex 1 0.51 0.64 0.05 0.17 0.06 0.07
Capex / Sales - 205.51% 14.16% 12.42% 8.99% 6.16%
Announcement Date 30/04/19 01/06/20 30/04/21 02/05/22 01/05/23 30/04/24
1CAD in Million2CAD
Estimates

EPS & Dividend

Year-on-year evolution of the PER

Change in Enterprise Value/EBITDA

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