BTL.V - BTL Group Ltd

TSXV - TSXV Delayed Price. Currency in CAD
Income Statement
Balance Sheet
Cash Flow

Income Statement

All numbers in thousands
Total Revenue372.927410.67-
Cost of Revenue2,410.731,145.458450.3
Gross Profit-2,037.803-734.788-450.3
Operating Expenses
Research Development---
Selling General and Administrative2,362.846805.058528.341
Non Recurring---
Total Operating Expenses6,246.4972,348.1521,005.816
Operating Income or Loss-5,873.57-1,937.482-1,005.816
Income from Continuing Operations
Total Other Income/Expenses Net---4,891.4
Earnings Before Interest and Taxes-5,873.57-1,937.482-1,005.816
Interest Expense---
Income Before Tax-5,873.57-1,937.482-5,897.216
Income Tax Expense---
Minority Interest---
Net Income From Continuing Ops-5,873.57-1,937.482-5,897.216
Non-recurring Events
Discontinued Operations---
Extraordinary Items---
Effect Of Accounting Changes---
Other Items---
Net Income
Net Income-5,873.57-1,937.482-5,897.216
Preferred Stock And Other Adjustments---
Net Income Applicable To Common Shares-5,873.57-1,937.482-5,897.216