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POOL Pool Safe Inc

0.035
0.00 (0.00%)
Jun 06 2024 - Closed
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Year End December 30 2022 20152016201720182019202020212022
CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)
Total Assets 3k533k641k977k824k670k874k1.22M
Total Current Assets 3k49k239k415k88k198k257k465k
Cash and Equivalents 3k11k68k147k034k29k221k
Total Non-Current Assets -131k57k409k368k-265k-528k-498k-1.01M
Total Liabilities 134k476k232k609k1.09M1.2M1.37M2.23M
Total Current Liabilities 134k304k232k196k830k964k1.29M1.28M
Total Non-Current Liabilities 0344k0790k377k366k78k1.85M
Total Equity -131k57k409k368k-265k-528k-498k-1.01M
Common Equity 739k980k2.41M3.22M3.18M3.46M4.17M4.26M
Retained Earnings -949k-923k-2.2M-3.19M-3.81M-4.39M-5.01M-5.66M

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