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Clearford Water Systems Inc. (CLI.V)

TSXV - TSXV Real Time Price. Currency in CAD
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0.02000.0000 (0.00%)
At close: 10:49AM EDT
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Previous Close0.0200
Open0.0200
Bid0.0150 x 0
Ask0.0200 x 0
Day's Range0.0200 - 0.0200
52 Week Range0.0100 - 0.0900
Volume20,000
Avg. Volume44,180
Market Cap2.041M
Beta (5Y Monthly)5.92
PE Ratio (TTM)N/A
EPS (TTM)-0.0610
Earnings DateJun. 03, 2019
Forward Dividend & YieldN/A (N/A)
Ex-Dividend DateN/A
1y Target EstN/A
  • CNW Group

    Clearford Announces Additional US$2,000,000 Term Loans

    Clearford Water Systems Inc. ("Clearford" or the "Company"), (TSXV: CLI), today announced that it has entered into 2 additional new loan agreements for US$2,000,000. The proceeds of this financing will again be used to strengthen Clearford's balance sheet and fund project related working capital requirements including debt servicing of previously issued loans, and retirement of existing debt. The loans bear interest rate 9.75% per annum and matures on September 7th, 2031.

  • CNW Group

    Clearford Announces Additional US$1,400,000 Term Loans

    Clearford Water Systems Inc. ("Clearford" or the "Company"), (TSXV: CLI), today announced that it has entered into 2 additional new loan agreements for US$1,400,000. The proceeds of this financing will again be used to strengthen Clearford's balance sheet and fund project related working capital requirements including debt servicing of previously issued loans, and retirement of existing debt. The loans bear interest rate 9.75% per annum and matures on July 23rd, 2031.

  • CNW Group

    Clearford Announces Additional US$3,250,000 Term Loans

    Clearford Water Systems Inc. ("Clearford" or the "Company"), (TSXV: CLI), today announced that it has entered into 2 additional new loan agreements for US$3,250,000. The proceeds of this financing will again be used to strengthen Clearford's balance sheet and fund project related working capital requirements including debt servicing of previously issued loans and retirement of existing debt. The loans bear interest rate 9.75% per annum and matures on June 30h, 2031.