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Income Statement
Balance Sheet
Cash Flow Statement

Common Size IS
Op Efficiency
Credit Analysis

CANNAPHARMARX, INC. (CPMD)

Income Statement

Standardized | As Reported Annual | Quarterly | TTM
  Older >>
In millions, except per share itemsDec-31-21Dec-31-20Dec-31-19Dec-31-18Dec-31-17Dec-31-16Dec-31-15Dec-31-14
   10-K10-K10-K10-K/A10-K10-K10-K10-K
Revenues  -6.70.00.00.00.00.00.00.0
            Revenue growth        -100.0% 
Cost of goods sold  -6.70.00.00.00.01.011.70.0
Gross profit  0.00.00.00.00.0-1.0-11.70.0
            Gross margin  0.0%      89.9%
Selling, general and administrative   [+]2.13.11.10.30.00.34.21.0
Other operating expenses  0.61.48.80.6 -0.3-4.21.1
EBITDA   [+]-2.6-4.5-9.9   -11.6-2.0
            EBITDA margin  39.2%      -5802.8%
Depreciation  0.00.00.0   0.00.0
EBITA  -2.6-4.5-9.9-0.90.0-1.0-11.7-2.0
            EBITA margin  39.2%      -5811.5%
Amortization of intangibles   0.10.1     
EBIT   [+]-2.6-4.6-10.1-0.90.0-1.0-11.7-2.0
            EBIT margin  39.2%      -5811.5%
Non-recurring items   [+]0.49.85.90.0   1.9
Interest expense, net   [+]1.52.34.5  0.00.00.0
Other income (expense), net   [+]-4.3-3.1 -2.1 0.0-0.10.0
Pre-tax income  -8.8-19.9-20.5-3.10.0-1.0-11.7-4.0
Income taxes  0.00.00.00.00.00.00.00.0
            Tax rate  0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%
Net income  -8.8-19.9-20.5-3.10.0-1.0-11.7-4.0
            Net margin  132.4%      -11428.7%
   
Basic EPS   [+]($0.12)($0.49)($0.66)($0.17)$0.00($0.06)($0.77)($0.36)
Diluted EPS   [+]($0.12)($0.49)($0.66)($0.17)$0.00($0.06)($0.77)($0.36)
   
Shares outstanding (basic)   [+]74.740.731.218.018.018.015.311.1
Shares outstanding (diluted)   [+]74.740.731.218.018.018.015.311.1
   
EBIT is a non-GAAP figure that excludes all non-recurring expenses: restructuring costs, asset impairments, IPR&D writeoffs, and other unusual charges.  

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