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Target Group Inc (PK)

Target Group Inc (PK) (CBDY)

0.0019
0.0003
( 18.75% )
Updated: 09:53:33

Income Statement

Balance Sheet

Cash Flow

Year End December 30 2023 20162017201820192020202120222023
CAD ($)CAD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)
Total Assets 294k06.78M16.46M13.04M13.06M7.57M8.84M
Total Current Assets 156k0559k213k755k584k910k3.1M
Cash and Equivalents 16k0303k10k173k113k224k736k
Total Non-Current Assets -1.82M-2.06M3.34M9.94M-3.52M-2.15M-6.56M-6.97M
Total Liabilities 2.11M2.06M3.44M6.53M16.56M15.22M14.13M15.81M
Total Current Liabilities 2.11M2.06M3.44M5.14M4.87M4.04M6.93M14.59M
Total Non-Current Liabilities 0001.44M11.68M20.79M13.08M1.22M
Total Equity -1.82M-2.06M3.34M9.94M-3.52M-2.15M-6.56M-6.97M
Common Equity 4k1,0009k57k57k62k62k62k
Retained Earnings -5.45M-7.19M-9.1M-19.46M-26.54M-26.26M-30.78M-31.11M