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Rockshield Capital Corp. (C:RKS)

Business Focus: Investment Management & Fund Operators

Sector:  Financials Industry:  Investment Management & Fund Operators
See Regulatory Filings on SEDAR
Company Contact
Address: 1305 - 1090 West Georgia Street
Tel: 1-416-9074148
IR: See website
Key People
Dave James Doherty
President, Chief Executive Officer, Director
Nick Demare
Chief Financial Officer, Corporate Secretary, Director
Business Overview
Rockshield Capital Corp. (Rockshield) is a Canada-based investment company. The Company's segments include Corporate, Investments, and Investment in and Advances to Associated Company. The Company focuses on investments in early-stage, high growth companies at all stages of development, including pre-initial public offering and early-stage companies requiring start-up or development capital. The Company is engaged in assisting financing, identifying acquisition targets, developing strategic plans and supporting operations, and implementing exit strategies. The Company's investments in marketable securities include common shares and other equity instruments of Canadian and the United States companies that are listed on various Canadian stock exchanges or the Over-The-Counter Bulletin Board (OTCBB) in the United States. Its marketable securities instruments are shares of companies in the mining, oil and gas, media technology and medical technology industries.
Financial Overview
For the three months ended 28 February 2021,Rockshield Capital Corp revenues was not reported. Netincome totaled C$517K vs. loss of C$1M. Net income reflectsUnrealized gain (loss) on investments increase from C$422K(expense) to C$1.5M (income), Realized (loss) gain on saleof investme decrease of 66% to C$172K (expense), Directorand officer compensation decrease of 29% to C$21K(expense).
Employees: 4 as of May 26, 2011
Reporting Currency: Canadian Dollars
Enterprise value: $41.49M as of Feb 28, 2021
Annual revenue (TTM): $0.00M as of Feb 28, 2021
EBITDA (TTM): -$0.98M as of Feb 28, 2021
Net annual income (TTM): $0.58M as of Feb 28, 2021
Free cash flow (TTM): -$0.19M as of Feb 28, 2021
Net Debt Last Fiscal Year: N/A
Shares outstanding: 89,470,687 as of Mar 5, 2021
TTM: Trailing Twelve Months
EBITDA: Earnings Before Interest, Taxes, Depreciation, & Amortization