Lexaria Bioscience Corp.

NASDAQ:LEXX

1.075 (USD) • At close May 12, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

2024202320222021202020192018201720162015201420132012201120102009200820072006
Operating Activities:
Net Income -5.809-6.713-7.384-4.186-4.085-4.158-6.609-1.929-1.277-1.934-0.344-0.252-0.538-0.552-0.754-0.978-1.056-0.508-0.076
Depreciation & Amortization 0.0760.1450.1410.1480.1130.0610.0020.0010.001000.34300.0010.0010.4530.1480.0820
Deferred Income Tax 0-0.1580-0.5180.230.1511.0770.3610.0760000.42300-0.033000
Stock Based Compensation 0.4920.170.7530.411.1390.6272.6020.1130.1220.2560.8210.0210.0110.180.16100.07500
Change In Working Capital 0.1070.143-0.3510.064-0.1610.08-0.371-0.3010.338-0.0460.281-0.082-0.276-0.0970.2140.001-0.020.0080.033
Accounts Receivables -0.0360.027-0.1370.19-0.091-0.139-0.324-0.008-0.0060.0660.212-0.06-0.156-0.033-0.0270.0230.02300
Inventory 00.043-0.0020.0950.004-0.047-0.033-0.001-0.011-0.168-0.212000.06200000
Accounts Payables 0.8260.0880.0510.014-0.0490.1010.003-0.040.057-0.060.069-0.0550.185-0.0620.235-0.017-0.01700
Other Working Capital -0.684-0.015-0.263-0.235-0.0250.165-0.017-0.2520.2980.1830.2120.034-0.305-0.0640.006-0.005000.033
Other Non Cash Items 0.1750.531.9620.0930.10.2350.7810.2090.080.2230.3620.4580.0160.1570.4450.5110.7090.2650
Operating Cash Flow -4.959-5.881-4.879-3.99-2.663-3.006-2.518-1.546-0.661-1.5010.3210.136-0.195-0.33-0.0360.029-0.219-0.153-0.042
Investing Activities:
Investments In Property Plant And Equipment 0-0.034-0.131-0.079-0.034-0.769-0.085-0.01-0.02-0.037-0.092-0.274-0.698-0.285-0.224-0.582-2.089-1.53-0.259
Acquisitions Net 0000.27300-0.07000000000000
Purchases Of Investments 0000000000000000000
Sales Maturities Of Investments 00000.00700000000000000
Other Investing Activites -0.189-0.136-0.0490.273-0.027-0.123-0.085-0.01-0.0170.7220.0210.021-0.274-0.698-0.2850.206-0.37600
Investing Cash Flow -0.189-0.17-0.1810.194-0.027-0.769-0.155-0.01-0.020.685-0.071-0.274-0.698-0.285-0.224-0.376-2.089-1.53-0.259
Financing Activities:
Debt Repayment 000-0.067-0.01400-0.050.095-0.0990-0.3650.2880.3670.165-0.0840.6940.052
Common Stock Issued 4.2091.5909.4712.6682.3331.8674.0460.4190000.0370.0370.1830.2451.051.050.105
Common Stock Repurchased 0000000000000000000
Dividends Paid 0000000000000000000
Other Financing Activities 6.1060-0.0454.015010000-0.365000.4570-0.1820.2451.005-0.94
Financing Cash Flow 10.3151.59-0.04513.422.6993.3331.8673.9960.5140.373-0.3650.2880.8610.348-0.0790.9391.12.1051.165
Other Information:
Effect Of Forex Changes On Cash -0.02000000000000000000
Net Change In Cash 5.148-4.461-5.1059.6240.009-0.442-0.8062.44-0.167-0.443-0.1150.149-0.032-0.267-0.3390.592-1.2070.4220.864
Cash At End Of Period 6.51.3525.81310.9181.2941.2851.7272.5330.0930.260.0660.1810.0310.0630.330.670.0781.2850.864