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Canadian Premium Sand Inc.

OTC:CLMPF

$0.1996 USD

$0 (0.0%)

Volume
100
Average Volume
64
Market Capitalization
$18.49M
P/E Ratio
-2.50
Dividend Yield
0.00%
Price Target
$
Year High
$0.22
Year Low
$0.20
Day High
Day Low
Payout Ratio
$0.00
Current Ratio
$0.10

CLMPF Financial

date 2025-09-30 2024-09-30 2023-09-30 2022-09-30 2021-09-30 2020-09-30 2019-09-30 2018-09-30 2017-09-30 2016-09-30
revenue - - - - - 1.35M - - - -
costOfRevenue 52644 45998 50878 27094 16212 1.37M 100000 - - -
grossProfit -52644 -45998 -50878 -27094 -16212 -1026 -100000 - -1.07M -
researchAndDevelopmentExpenses 208.36K 202.12K 4.14M 2.12M 629.42K - - - - -
generalAndAdministrativeExpenses 2.28M 2.62M 2.75M 1.99M 1.16M 1.23M 12.89M 998.58K 851.08K 464.85K
sellingAndMarketingExpenses - - - - - - - - - -
sellingGeneralAndAdministrativeExpenses 2.28M 2.62M 2.75M 1.99M 1.16M 1.23M 12.89M 998.58K 851.08K 464.85K
otherExpenses 310.76K 961.88K -14126 981.71K 426.69K 7579 -83496 - - -
operatingExpenses 2.8M 3.79M 8.33M 5.02M 2.22M 2.52M 12.91M 2.87M 1.46M 610.32K
costAndExpenses 2.85M 3.79M 8.33M 5.1M 2.22M 3.79M 13.01M 2.87M 897.46K 610.32K
netInterestIncome -420.4K -363.66K -211K -286K -283K -146K - - - -
interestIncome 53912 68267 164.43K 37731 5431 15157 67946 - - -
interestExpense 474.31K 431.93K 375.45K 323.97K 288.4K 157.28K - - 27209 -
depreciationAndAmortization 52644 45910 2885 25339 16212 54700 83904 2.81M 1.46M 2860
ebitda -2.8M -3.68M -8.35M -5.03M -2.2M -918K -13.43M -2.87M -904K -610K
ebit -2.85M -3.73M -8.35M -5.06M -2.21M -959K -13.51M -2.81M -1.52M -610K
nonOperatingIncomeExcludingInterest -50646 -59769 14126 -35974 -5434 -1.48M -67950 283.09K 69357 -
operatingIncome -2.85M -3.79M -8.33M -5.1M -2.22M -2.44M -13.58M -2.81M -1.46M -610K
totalOtherIncomeExpensesNet -422.99K -372K -200K -288K -283K 1.32M 67946 -221K -628K -56897
incomeBeforeTax -3.38M -4.16M -8.53M -5.38M -2.5M -1.12M -13.51M -3.09M -1.55M -610K
incomeTaxExpense - - - - - - - -161K -1.44M -2864
netIncomeFromContinuingOperations -3.38M -4.16M -8.53M -5.38M -2.5M -1.12M -13.51M -3.09M -1.55M -610K
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - - - - - - - - - -
netIncome -3.38M -4.16M -8.53M -5.38M -2.5M -1.12M -13.51M -3.09M -1.55M -610K
netIncomeDeductions - - - - - - - - - -
bottomLineNetIncome -3.38M -4.16M -8.53M -5.38M -2.5M -1.12M -13.51M -3.09M -1.55M -610K
eps -0.04 -0.05 -0.11 -0.11 -0.08 -0.05 -0.64 -0.28 -0.19 -0.07
date 2025-09-30 2024-09-30 2023-09-30 2022-09-30 2021-09-30 2020-09-30 2019-09-30 2018-09-30 2017-09-30 2016-09-30
cashAndCashEquivalents 1.53M 736.75K 1.83M 8.69M 4.83M 1.26M 1.83M 10.55M 534.98K 15761
shortTermInvestments - - - - - - - - - -
cashAndShortTermInvestments 1.53M 736.75K 1.83M 8.69M 4.83M 1.26M 1.83M 10.55M 534.98K 15761
netReceivables 4025 5534 30632 31703 8279 233.57K 347.48K 48264 51589 12988
accountsReceivables 4020 5534 30632 31703 8279 233.57K 347.48K - - -
otherReceivables - - - - - - - 32223 51589 12988
inventory - - - - - -0.0 - - - -
prepaids 162.27K 112.25K 171.97K 110.71K 8379 15437 23977 27179 18289 10912
otherCurrentAssets -299 - - - - - - - - -
totalCurrentAssets 1.69M 854.53K 2.04M 8.83M 4.85M 1.51M 2.21M 10.62M 604.86K 39661
propertyPlantEquipmentNet 142.68K 83470 34673 83789 16666 42245 38535 - - -
goodwill - - - - - - - - - -
intangibleAssets - - - - - - - - - -
goodwillAndIntangibleAssets - - - - - - - - - -
longTermInvestments - - - - - - - - - -
taxAssets - - - - - - - - - -
otherNonCurrentAssets 61061 60975 - 0.0 -0.0 0.0 -0.0 - - -
totalNonCurrentAssets 203.74K 144.44K 34673 83789 16666 42245 38535 - - -
otherAssets - - - - - - - - - -
totalAssets 1.9M 998.97K 2.07M 8.92M 4.86M 1.55M 2.24M 10.62M 604.86K 39661
totalPayables - 744.74K 1.22M 807.09K 1.6M 2.58M 2.9M 132.36K 64429 971.7K
accountPayables - 744.74K 1.22M 807.09K 1.6M 2.58M 2.9M 132.36K 64429 642.85K
otherPayables - - - - - - - - - -642.85K
accruedExpenses - - - - - - - - 172.43K -
shortTermDebt 3.8M 3.38M 2.99M - - - - - 3.18M 19003
capitalLeaseObligationsCurrent 46175 51928 37061 51713 24000 25996 - - - -
taxPayables - - - - - - - - - 309.85K
deferredRevenue - - - -1.4M -709.82 -1000.11 - - -236.86K -19003
otherCurrentLiabilities 1.1M 599.07K 599.49K 597.58K 685.82K - 1.67M 32232 - -19003
totalCurrentLiabilities 4.95M 4.78M 4.85M 1.46M 1.62M 2.61M 4.57M 164.6K 3.42M 971.7K
longTermDebt - - - 2.6M 2.26M 2M - - - 346.93K
capitalLeaseObligationsNonCurrent 106.48K 41171 - 30362 1843 19024 - - - -
deferredRevenueNonCurrent - - - - - - - - - -
deferredTaxLiabilitiesNonCurrent - - - - - - - - - -
otherNonCurrentLiabilities 95615 103.99K 47501 56311 77237 92815 78399 - - -
totalNonCurrentLiabilities 202.23K 145.16K 47501 2.68M 2.34M 2.11M 78399 - - 346.93K
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 152.65K 93099 37061 82075 25843 45020 - - - -
totalLiabilities 5.15M 4.92M 4.89M 4.14M 3.96M 4.72M 4.65M 164.6K 3.42M 1.32M
treasuryStock - - - - - - - - - -
preferredStock - - - - - - - - - -
commonStock 43.19M 39.1M 37.02M 36.61M 28.85M 22.55M 22.55M 22.55M 6.53M 6.48M
retainedEarnings -50.46M -48.14M -43.98M -35.45M -30.06M -27.56M -26.45M -12.93M -9.84M -11.71M
additionalPaidInCapital - - - - - - - 22.55M - -
date 2025-09-30 2024-09-30 2023-09-30 2022-09-30 2021-09-30 2020-09-30 2019-09-30 2018-09-30 2017-09-30 2016-09-30
netIncome -3M -4.16M -8.53M -5.38M -2.5M -1.12M -13.51M -3.09M -1.55M -610.32K
depreciationAndAmortization 52644 45910 49116 25339 16212 41243 5505 - - -
deferredIncomeTax - - - 81332 -29146 152.27K -78309 - - -
stockBasedCompensation 256.15K 532.09K 554.78K 383.69K 267.21K 259.58K 646.64K 365.12K 20000 37500
changeInWorkingCapital -324.29K -451.79K 369.98K -400.72K -713.68K -532.19K 4.19M -77830 -451.96K 311.65K
accountsReceivables - - - - - - -296.02K -5565 -45978 14107
inventory - - - - - - - - - -
accountsPayables - - - - - - - - - -
otherWorkingCapital -324.75K -451.79K 369.98K -400.72K -713.68K -532.19K 4.49M -72265 -405.99K 297.54K
otherNonCashItems 176.09K 1.09M 375.58K 320.07K 284.96K -1.29M 78399 221.21K -196.03K 17450
netCashProvidedByOperatingActivities -2.84M -2.94M -7.18M -4.97M -2.67M -2.48M -8.67M -2.58M -2.18M -243.72K
investmentsInPropertyPlantAndEquipment - - -2 - - - -44040 - - -
acquisitionsNet - - - - 1000 - - - - -
purchasesOfInvestments - - - - - - - - - -
salesMaturitiesOfInvestments - - - - - - - - - -
otherInvestingActivities - - - - 1000 - - - - -
netCashProvidedByInvestingActivities - - - - 1000 - -44040 - - -
netDebtIssuance -60110 -53243 -51935 -36928 -64000 1.91M - - -393.14K 258.7K
longTermNetDebtIssuance -60110 -53243 -51935 -36928 -64000 1.91M - - 2.31M 258.7K
shortTermNetDebtIssuance - - - - - - - - 390.2K 264.7K
netStockIssuance 3.69M - - 8.87M 6.31M - - 12.55M - -
netCommonStockIssuance 3.69M - - 8.87M 6.45M - - 12.55M - -
commonStockIssuance 3.69M - 377.94K 9.63M 6.45M - - 12.55M - -
commonStockRepurchased - - - -758.88K - - - - - -
netPreferredStockIssuance - - - - -144K - - - - -
netDividendsPaid - - - - - - - - - -
commonDividendsPaid - - - - - - - - - -
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities 110 1.9M 377.94K - - - - 45000 3.09M -
netCashProvidedByFinancingActivities 3.63M 1.85M 326.01K 8.83M 6.24M 1.91M - 12.6M 2.7M 258.7K
date 2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31
revenue - - - - - - - - - -
costOfRevenue 13837 13794 13731 9585 9079.47 8852.33 19395 12003 12870 11992
grossProfit -13837 -13794 -13732 -9585 -9079.47 -8852.33 -19395 -12003 -12870 -11992
researchAndDevelopmentExpenses -335 40492 109.68K 64627 21162 12746 72036 28278 32058 69747
generalAndAdministrativeExpenses 443.87K 491.76K 492.4K 512.44K 773.47K 504.58K 700.3K 585.68K 632.66K 704.74K
sellingAndMarketingExpenses - - - - - - - - - -
sellingGeneralAndAdministrativeExpenses 443.87K 491.76K 492.4K 512.44K 773.47K 504.58K 700.3K 585.68K 632.66K 704.74K
otherExpenses 19689 161.07K 74447 56114 69816 229.41K 623.38K 111.81K 24927 144.5K
operatingExpenses 463.22K 693.32K 676.52K 633.18K 864.44K 746.74K 1.4M 725.77K 746.36K 922.27K
costAndExpenses 477.06K 707.11K 708.49K 633.18K 864.44K 746.74K 1.4M 725.77K 746.36K 934.26K
netInterestIncome -131.54K -120.96K -117.02K -106.73K -96798 -102K -110K -98512 -85816 -85334
interestIncome - - - - - - - - - -
interestExpense 131.54K 120.96K 117.02K 106.73K 96798 102K 110K 98512 62380 64057
depreciationAndAmortization 13837 13794 13731 12252 12252 11924 11237 11558 11558 11558
ebitda -463.22K -693.32K -676.52K -662.16K -849K -610K -1.34M -704K -710K -922K
ebit -477.06K -707.11K -690.26K -674.42K -862K -622K -1.36M -716K -721K -934K
nonOperatingIncomeExcludingInterest - 53498 35254 41241 -2818 -124K -39902 -9789 -24927 14849
operatingIncome -477.06K -707.11K -690.26K -633.18K -864K -747K -1.4M -726K -746K -919K
totalOtherIncomeExpensesNet -146.67K -67507 -117.61K -106.73K -96798 -102K -110K -90680 -85816 -70055
incomeBeforeTax -623.74K -774.62K -826.1K -739.91K -961K -849K -1.51M -816K -832K -1M
incomeTaxExpense - - - - - - - - - -
netIncomeFromContinuingOperations -623.74K -774.62K -827.27K -739.91K -961K -849K -1.51M -816K -832K -1M
netIncomeFromDiscontinuedOperations - - - - - - - - - -
otherAdjustmentsToNetIncome - - - - - - - - - -
netIncome -623.74K -774.62K -827.27K -739.91K -961K -849K -1.51M -816K -832K -1M
netIncomeDeductions - - - - - - - - - -
bottomLineNetIncome -623.74K -774.62K -827.27K -739.91K -961K -849K -1.51M -816K -832K -1M
eps -0.01 -0.01 -0.01 -0.01 -0.01 -0.01 -0.02 -0.01 -0.01 -0.01
date 2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31
cashAndCashEquivalents 283.41K 742.79K 1.53M 2.03M 2.73M 3.74M 736.75K 1.25M 1.88M 2.47M
shortTermInvestments - - - - - - - - - -
cashAndShortTermInvestments 283.41K 742.79K 1.53M 2.03M 2.73M 3.74M 736.75K 1.25M 1.88M 2.47M
netReceivables 4654 11183 4025 13704 13866 14000 5534 6866 7036 25972
accountsReceivables 4642 11193 4020 13704 13866 14000 5534 6866 7036 25972
otherReceivables - - - - - - - - - -
inventory - - - - - - - - - -
prepaids 241.49K 159.74K 162.27K 168.96K 122.36K 111.78K 112.25K 176.73K 182.21K 186.7K
otherCurrentAssets 624 -129 -299 - - - - - - -
totalCurrentAssets 530.18K 913.59K 1.69M 2.21M 2.87M 3.87M 854.53K 1.44M 2.07M 2.68M
propertyPlantEquipmentNet 116.88K 129.42K 142.68K 49007 61259 71546 83470 - 11558 23115
goodwill - - - - - - - - - -
intangibleAssets - - - - - - - - - -
goodwillAndIntangibleAssets - - - - - - - - - -
longTermInvestments - - - - - - - - - -
taxAssets - - - - - - - - - -
otherNonCurrentAssets 61132 60925 61061 60975 60975 60975 60975 - - 0.0
totalNonCurrentAssets 178.01K 190.35K 203.74K 109.98K 122.23K 132.52K 144.44K - 11557 23115
otherAssets - - - - - - - - - -
totalAssets 708.19K 1.1M 1.9M 2.32M 2.99M 4M 998.97K 1.44M 2.08M 2.7M
totalPayables - - - 374.38K 445.09K 755.05K - 615.4K - -
accountPayables - - - 374.38K 445.09K 755.05K - 615.4K - -
otherPayables - - - - - - - - - -
accruedExpenses - - - - - - - - - -
shortTermDebt 4.01M 49190 3.85M 3.68M 3.56M - 3.38M 3.32M 3.21M -
capitalLeaseObligationsCurrent 52380 49231 46175 55579 55518 53501 51928 - 11689 24682
taxPayables - - - - - - - - - -
deferredRevenue - - - - - - - - -641.74K -646.43
otherCurrentLiabilities 1.07M 981.46K 1.1M 598.07K 600.25K 619.58K 1.34M 597.58K 599.56K 1.27M
totalCurrentLiabilities 5.13M 1.03M 4.95M 4.71M 4.66M 1.43M 4.78M 4.53M 4.46M 1.29M
longTermDebt - 3.87M - - - 3.45M - - - 3.1M
capitalLeaseObligationsNonCurrent 77730 92135 106.48K - 13648 26887 41171 - - -
deferredRevenueNonCurrent - - - - - - - - - -
deferredTaxLiabilitiesNonCurrent - - - - - - - - - -
otherNonCurrentLiabilities 89666 89355 95615 91372 102.54K 98739 103.99K 52567 53206 57496
totalNonCurrentLiabilities 167.4K 4.06M 202.23K 91372 116.19K 3.57M 145.16K 52567 53206 3.15M
otherLiabilities - - - - - - - - - -
capitalLeaseObligations 130.11K 141.37K 152.65K 55579 69166 80388 93099 - 11689 24682
totalLiabilities 5.3M 5.09M 5.15M 4.8M 4.78M 5M 4.92M 4.59M 4.51M 4.44M
treasuryStock - - - - - - - - - -
preferredStock - - - - - - - - - -
commonStock 43.24M 43.09M 43.19M 43.13M 43.13M 43.13M 39.1M 39.1M 39.1M 39.1M
retainedEarnings -51.92M -51.12M -50.46M -49.56M -48.82M -47.86M -48.14M -46.63M -45.82M -44.98M
additionalPaidInCapital - - - - - - - - - -
date 2026-03-31 2025-12-31 2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31
netIncome -623.74K -775.25K -826.1K -739.91K -961.24K -848.58K -1.51M -816.45K -832.17K -1M
depreciationAndAmortization 13837 12953 13731 12252 12252 11924 11237 11558 12870 11992
deferredIncomeTax - - - - - - - - - -212.47K
stockBasedCompensation 31774 36700 53777 46663 178K -22290 105.31K 100.42K 137.87K 188.49K
changeInWorkingCapital -15634 -102.46K 120.86K -74840 -339.04K -31096 147.13K -29561 -22804 -546.55K
accountsReceivables - - - - - - - - - -
inventory - - - - - - - - - -
accountsPayables - - - - - - - - - -
otherWorkingCapital -15634 -102.46K 120.86K -74840 -339.04K -31096 147.13K -29561 -22556 -546.55K
otherNonCashItems 147.4K 63016 147.47K 64690 120.03K 226.07K 739.94K 122.88K 290.64K 311.49K
netCashProvidedByOperatingActivities -446.36K -765.04K -490.26K -691.14K -990K -663.98K -502.44K -611.15K -577.2K -1.25M
investmentsInPropertyPlantAndEquipment - - - - - - - - - -
acquisitionsNet - - - - - - - - - -
purchasesOfInvestments - - - - - - - - - -
salesMaturitiesOfInvestments - - - - - - - - - -
otherInvestingActivities - - - - - - - - - -
netCashProvidedByInvestingActivities - - - - - - - - - -
netDebtIssuance -15509 -15373 -14139 -15373 -15373 -15225 -12755 -13743 -13743 -13249
longTermNetDebtIssuance -15509 -15373 -14139 -15373 -15373 -15225 -12755 -13743 -13743 -13249
shortTermNetDebtIssuance - - - - - - - - - -
netStockIssuance - - - - - - - - - -
netCommonStockIssuance - - - - - - - - - -
commonStockIssuance - - - - - - - - - 1.9M
commonStockRepurchased - - - - - - - - - -
netPreferredStockIssuance - - - - - - - - - -
netDividendsPaid - - - - - - - - - -
commonDividendsPaid - - - - - - - - - -
preferredDividendsPaid - - - - - - - - - -
otherFinancingActivities -39 - - - - 3.68M - - - 1.9M
netCashProvidedByFinancingActivities -15548 -15373 -14139 -15373 -15373 3.67M -12755 -13743 -13496 1.89M