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Mind Solutions Inc.

OTC: VOIS

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May 6, 2021, 2:52 p.m.

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Annual Financials for Mind Solutions Inc.

Operating Activities

Fiscal year is January-December. All values USD millions. 20082009201020112013 5-year trend
Net Income before Extraordinaries (4.23M)(1.06M)(16.11M)(718,735)(22.14M)
Depreciation, Depletion & Amortization 88,297212,698174,93551,7112,442
Depreciation and Depletion 5,1989,3686,9224,5742,442
Amortization of Intangible Assets 83,099203,330168,01347,1370
Deferred Taxes & Investment Tax Credit 0000-
Deferred Taxes 0000-
Investment Tax Credit 0-00-
Other Funds 3.1M421,52715.25M36,75021.74M
Funds from Operations (1.04M)(430,021)(679,763)(630,274)(396,696)
Extraordinaries 0000-
Changes in Working Capital 161,4871,985476,141577,3728,519
Receivables 000--
Accounts Payable 0(27,017)430,801540,4053,612
Other Assets/Liabilities 88,828016,340-4,907
Net Operating Cash Flow (880,905)(428,036)(203,622)(52,902)(388,177)

Investing Activities

20082009201020112013 5-year trend
Capital Expenditures (260,392)(197,503)(16,800)00
Capital Expenditures (Fixed Assets) (15,832)(4,303)000
Capital Expenditures (Other Assets) (244,560)(193,200)(16,800)00
Net Assets from Acquisitions 00000
Sale of Fixed Assets & Businesses 00000
Purchase/Sale of Investments 00000
Purchase of Investments 00000
Sale/Maturity of Investments 00000
Other Uses 00000
Other Sources 00000
Net Investing Cash Flow (260,392)(197,503)(16,800)00

Financing Activities

20082009201020112013 5-year trend
Cash Dividends Paid - Total 00000
Common Dividends 00000
Preferred Dividends 00000
Change in Capital Stock 1.72M76,000132,94450,1000
Repurchase of Common & Preferred Stk. 00000
Sale of Common & Preferred Stock 1.72M76,000132,94450,1000
Proceeds from Stock Options 1.69M76,00048,00050,1000
Other Proceeds from Sale of Stock 34,651084,9440-
Issuance/Reduction of Debt, Net (50,000)000435,397
Change in Current Debt 0000435,397
Change in Long-Term Debt (50,000)0000
Issuance of Long-Term Debt 00000
Reduction in Long-Term Debt (50,000)0000
Other Funds 100,0000000
Other Uses 00000
Other Sources 100,0000000
Net Financing Cash Flow 1.77M76,000132,94450,100435,397
Exchange Rate Effect ----0
Miscellaneous Funds 00000
Net Change in Cash 633,213(549,539)(87,478)(2,802)47,220
Free Cash Flow (896,737)(432,339)(203,622)(52,902)(388,177)
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