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OTCM
PUBC
Market cap16mUSD
Jul 10, Last price  
0.06USD
1D
0.00%
1Q
-17.95%
Jan 2017
-68.00%
IPO
-86.94%
Name

PureBase Corp

Chart & Performance

D1W1MN
OTCM:PUBC chart
P/E
P/S
51.63
EPS
Div Yield, %
Shrs. gr., 5y
9.62%
Rev. gr., 5y
-3.02%
Revenues
311k
-4.71%
00051,898177,705484,706564,296361,930169,410369,450471,608325,875310,511
Net income
-1m
L-83.74%
-2,900-38,900-856,783-1,412,336-2,625,027-1,629,562-1,164,463-3,686,424-1,567,537-8,398,778-32,577,096-9,087,329-1,477,545
CFO
-2m
L+92.83%
-2,900-39,100-750,981-1,170,732-1,033,901-776,445-780,005-550,894-1,265,328-823,561-838,254-1,124,290-2,167,932
Earnings
Jul 14, 2025

Profile

Purebase Corporation, an industrial mineral and natural resource company, provides solutions to the agriculture and construction materials markets in the United States. It offers PureBase Shade Advantage WP, a natural mineral plant protectant that reduces sunburn damage to plant tissue exposed to UV and infrared radiation. The company also provides humic acid products; and private labels product for other agricultural companies. It exports its products to Vietnam, Laos, and Cambodia. The company was formerly known as Port of Call Online, Inc. and changed its name to Purebase Corporation in January 2015. Purebase Corporation was incorporated in 2010 is headquartered in Ione, California.
IPO date
Oct 04, 2013
Employees
4
Domiciled in
US
Incorporated in
US

Valuation

Title
USD in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFYFYFY
2024‑112023‑112022‑112021‑112020‑112019‑112018‑112017‑112016‑112015‑11
Income
Revenues
311
-4.71%
326
-30.90%
472
27.65%
Cost of revenue
1,686
9,029
33,016
Unusual Expense (Income)
NOPBT
(1,375)
(8,703)
(32,544)
NOPBT Margin
Operating Taxes
2
(5)
Tax Rate
NOPAT
(1,378)
(8,703)
(32,539)
Net income
(1,478)
-83.74%
(9,087)
-72.11%
(32,577)
287.88%
Dividends
Dividend yield
Proceeds from repurchase of equity
36
BB yield
Debt
Debt current
43
415
129
Long-term debt
618
1,567
732
Deferred revenue
Other long-term liabilities
30
Net debt
633
1,976
841
Cash flow
Cash from operating activities
(2,168)
(1,124)
(838)
CAPEX
(2)
(131)
Cash from investing activities
(2)
(131)
Cash from financing activities
2,192
1,242
725
FCF
(1,365)
(8,207)
(33,258)
Balance
Cash
28
6
19
Long term investments
Excess cash
13
Stockholders' equity
(63,958)
(62,500)
(53,483)
Invested Capital
63,657
62,213
53,691
ROIC
ROCE
457.48%
3,027.03%
EV
Common stock shares outstanding
245,360
230,731
228,297
Price
0.10
-34.55%
0.15
-38.88%
Market cap
23,073
-33.86%
34,884
-35.15%
EV
25,049
35,725
EBITDA
(1,372)
(8,703)
(32,539)
EV/EBITDA
Interest
100
77
40
Interest/NOPBT