Purebase CorpPUBC

Market cap
$6.01M
P/E ratio
Dec 31,
2013
Nov 30,
2014
Nov 30,
2015
Nov 30,
2016
Nov 30,
2017
Nov 30,
2018
Nov 30,
2019
Nov 30,
2020
Nov 30,
2021
Nov 30,
2022
Nov 30,
2023
Nov 30,
2024
Net Loss-38,900-856,783-1,412,336-2,701,166-1,669,271-1,164,463-3,133,423-1,505,157-8,307,197-32,582,425-9,087,329-1,477,545
Stock based compensation---415,960384,907203,41460,85490,609732720,762
Non-cash board of director compensation----------19,00024,000
Gain on debt forgiveness----------35,401-
Gain on settlement----------275,000-
Right of use asset and liability, net-----------9181,081
Common stock issued for services------101,112----36,000
Contribution from expenses paid by related party-----------23,412
Depreciation------2,316772---2,817
Prepaid expenses and other current assets----37,6824,841-1,903-2,786437-7961376,7038,078
Accounts payable and accrued expenses---11120,324718,289-29,92814,72679,094375,947-267,465
Interest payable, related parties-----------97,246
Settlement liability-----------493,000618,000
Net Cash Used In Operating Activities-39,100-750,981-1,170,732-1,033,901-776,445-780,005-550,894-1,265,328-1-838,254-1,124,290-2,167,932
Purchase of property and equipment-----6,953-----130,7161,538
Net Cash Used In Investing Activities--88,499-27,929--210,514------130,716-1,538
Advances from related parties, convertible notes payable--54,00045,000---178,000---618,000
Loan from related party--129,78417,680-18,720--595,51311755,000914,78831,000
Proceeds from related party, line of credit----------346,7352
Payments on notes payable, to officer---204,197------20,0008,716
Net Cash Provided By Financing Activities47,000112437,597782,000551,0131948,420725,00012
Net Increase (Decrease) In Cash and Cash Equivalents-----1,995119-950124,859-113,254-13,48322,528
Income taxes paid-----------2,400
Convertible debt converted to common stock---------2-3
Vendors paid on behalf of the Company by USMC----------15,85324,431
Expenses paid on behalf of the Company by USMC----------23,02923,412