Toronto - Delayed Quote CAD

Blackline Safety Corp. (BLN.TO)

4.1500 -0.0900 (-2.12%)
At close: April 26 at 4:00 PM EDT
Currency in CAD All numbers in thousands
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Breakdown
TTM
10/31/2023
10/31/2022
10/31/2021
10/31/2020
Total Revenue
105,285.0000
100,006.0000
72,931.0000
54,312.0000
38,377.1170
Cost of Revenue
48,308.0000
47,225.0000
40,692.0000
27,918.0000
18,189.0550
Gross Profit
56,977.0000
52,781.0000
32,239.0000
26,394.0000
20,188.0620
Operating Expense
80,488.0000
79,268.0000
84,219.0000
58,692.0000
29,646.6540
Operating Income
-23,511.0000
-26,487.0000
-51,980.0000
-32,298.0000
-9,458.5920
Net Non Operating Interest Income Expense
-245.0000
220.0000
267.0000
173.0000
326.8590
Other Income Expense
1,504.0000
2,036.0000
-1,539.0000
-992.0000
1,215.6490
Pretax Income
-22,252.0000
-24,231.0000
-53,252.0000
-33,117.0000
-7,916.0840
Tax Provision
1,394.0000
1,316.0000
394.0000
188.0000
104.6540
Net Income Common Stockholders
-23,646.0000
-25,547.0000
-53,646.0000
-33,305.0000
-8,020.7380
Diluted NI Available to Com Stockholders
-23,646.0000
-25,547.0000
-53,646.0000
-33,305.0000
-8,020.7380
Basic EPS
-0.32
-0.35
-0.86
-0.67
-0.16
Diluted EPS
-0.32
-0.35
-0.86
-0.67
-0.16
Basic Average Shares
72,364.0820
72,213.0720
62,584.2040
49,418.0600
49,055.4890
Diluted Average Shares
72,364.0820
72,213.0720
62,584.2040
49,418.0600
49,055.4890
Total Operating Income as Reported
-22,007.0000
-24,451.0000
-53,519.0000
-33,290.0000
-8,242.9430
Total Expenses
128,796.0000
126,493.0000
124,911.0000
86,610.0000
47,835.7090
Net Income from Continuing & Discontinued Operation
-23,646.0000
-25,547.0000
-53,646.0000
-33,305.0000
-8,020.7380
Normalized Income
-24,548.4000
-26,768.6000
-52,510.3719
-32,575.8800
-8,914.2400
Interest Income
409.0000
1,074.0000
409.0000
279.0000
400.3510
Interest Expense
142.0000
854.0000
142.0000
106.0000
73.4920
Net Interest Income
-245.0000
220.0000
267.0000
173.0000
326.8590
EBIT
-20,401.0000
-23,377.0000
-53,110.0000
-33,011.0000
-7,842.5920
EBITDA
-12,734.0000
-15,918.0000
-46,494.0000
-27,956.0000
-3,683.2070
Reconciled Cost of Revenue
48,308.0000
47,225.0000
40,692.0000
27,918.0000
18,189.0550
Reconciled Depreciation
7,667.0000
7,459.0000
6,616.0000
5,055.0000
4,159.3850
Net Income from Continuing Operation Net Minority Interest
-23,646.0000
-25,547.0000
-53,646.0000
-33,305.0000
-8,020.7380
Total Unusual Items Excluding Goodwill
1,504.0000
2,036.0000
-1,539.0000
-992.0000
1,215.6490
Total Unusual Items
1,504.0000
2,036.0000
-1,539.0000
-992.0000
1,215.6490
Normalized EBITDA
-14,238.0000
-17,954.0000
-44,955.0000
-26,964.0000
-4,898.8560
Tax Rate for Calcs
0.0004
0.0004
0.0003
0.0003
0.0003
Tax Effect of Unusual Items
601.6000
814.4000
-403.3719
-262.8800
322.1470
10/31/2020 - 1/3/2012

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