| 2025/12 - 末期 加元(千$) | 2024/12 加元(千$) | 2023/12 加元(千$) | 2022/12 加元(千$) | 2021/12 加元(千$) | |
| 經營活動之現金流量 | 32,105,000 | 26,494,000 | 20,423,000 | 16,628,000 | 23,155,000 |
| 投資活動之現金流量 | (28,365,000) | (18,459,000) | (13,720,000) | (18,400,000) | (24,442,000) |
| 融資活動之現金流量 | (2,049,000) | (4,174,000) | (5,042,000) | (2,108,000) | (2,047,000) |
| 現金及等同現金之增加/(減少) | 1,691,000 | 3,861,000 | 1,661,000 | (3,880,000) | (3,334,000) |
| 期初之現金及現金等價物 | 24,942,000 | 19,884,000 | 18,635,000 | 21,930,000 | 25,583,000 |
| 匯率變動之影響 | (816,000) | 1,197,000 | (412,000) | 585,000 | (319,000) |
| 其他 | 0 | 0 | 0 | 0 | 0 |
| 期末之現金及現金等價物 | 25,817,000 | 24,942,000 | 19,884,000 | 18,635,000 | 21,930,000 |
| 股東應佔溢利/(虧損) (千) | CAD 5,572,000 |
| 增長率 | 3.473% |
| 每股盈利/(虧損) | CAD 3.080 |
| 每股帳面資產淨值 ($) | CAD 29.884 |