Purebase Corp (PUBC)

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CIK 0001575858 · OTC · Agricultural Chemicals

  • Sector Manufacturing
  • Incorporated NV
  • Fiscal year ends Nov 30

In fiscal 2025, Purebase Corp reported revenue of $285.4K, down 8.1% from the prior year. The company ran a net loss, with a net margin of -798.7% and a gross margin of 74.4%. It held $224.7K in total assets against $1.15M in total liabilities.

Key ratios (FY2025)

74.4%
Gross margin
-518.4%
Operating margin
-798.7%
Net margin
-8.1%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$285.4K$310.5K$325.9K$471.6K$369.4K$169.4K$361.9K$564.3K
Cost of Revenue$72.9K$80.7K$96.1K$132.2K$211.9K$268.4K
Gross Profit$212.5K$229.8K$229.7K$339.4K
Operating Income-$1.48M-$1.38M-$8.70M-$32.54M-$8.24M-$1.54M-$1.35M-$1.10M-$2.14M
Net Income-$2.28M-$1.48M-$9.09M-$32.58M-$8.31M-$1.51M-$3.13M-$1.16M-$1.63M-$2.70M
EPS (Diluted)$-0.01$-0.01$-0.04$-0.14$-0.04
Total Assets$224.7K$797.0K$811.5K$723.4K$774.5K$635.3K$231.2K$227.4K$286.1K$947.5K
Total Liabilities$1.15M$1.79M$3.04M$1.30M$2.96M$1.94M$976.8K$5.22M
Shareholders' Equity-$929.0K-$991.4K-$2.23M-$572.5K-$2.19M-$1.30M-$745.6K-$4.99M-$4.03M-$2.79M
Cash & Equivalents$5.3K$28.1K$5.6K$19.1K$132.3K$7.5K$8.4K$8.3K$6.3K$555.6K
Operating Cash Flow-$1.11M-$2.17M-$1.12M-$838.3K-$823.6K-$1.27M-$550.9K-$780.0K-$776.4K-$1.03M
Capital Expenditures$1.5K$130.7K$0$7.0K
Shares Outstanding279.47M250.45M230.86M230.75M215.38M214.95M208.65M141.35M141.35M141.35M