CANADIAN TIRE CORP.LTD.CL/ CA1366812024 /
10/18/2024 9:43:20 PM | Chg. +1.100 | Volume | Bid9:59:58 PM | Ask9:59:58 PM | Market Capitalization | Dividend Y. | P/E Ratio |
---|---|---|---|---|---|---|---|
106.800EUR | +1.04% | - Turnover: - |
106.300Bid Size: 94 | 106.700Ask Size: 94 | 6.08 bill.EUR | - | - |
Assets
|
2019 IFRS in mill. CAD |
2020 IFRS in mill. CAD |
2021 IFRS in mill. CAD |
2022 IFRS in mill. CAD |
2023 IFRS in mill. CAD |
||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Property and Equipment | 4,283.3000 | 4,298.2000 | 4,549.3000 | 4,994.1000 | 5,219.5000 | ||||||
Intangible Assets | 2,414.3000 | 2,372.8000 | 2,372.2000 | 2,341.6000 | 2,254.7000 | ||||||
Long-Term Investments | - | - | 635.8000 | 484.1000 | 551.9000 | ||||||
Fixed Assets | - | - | - | - | - | ||||||
Inventories | 2,212.9000 | 2,312.9000 | 2,480.6000 | 3,216.1000 | 2,693.7000 | ||||||
Accounts Receivable | 938.3000 | 973.6000 | 1,563.9000 | 1,986.6000 | 1,151.3000 | ||||||
Cash and Cash Equivalents | 205.5000 | 1,327.2000 | 1,751.7000 | 331.3000 | 311.2000 | ||||||
Current Assets | 9,555.3000 | 10,546.8000 | 11,646.6000 | 11,530.4000 | 11,293.1000 | ||||||
Total Assets | 19,518.3000 | 20,377.1000 | 21,802.2000 | 22,102.3000 | 21,978.3000 |
Liabilities
|
2019 IFRS in mill. CAD |
2020 IFRS in mill. CAD |
2021 IFRS in mill. CAD |
2022 IFRS in mill. CAD |
2023 IFRS in mill. CAD |
||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Accounts Payable | 2,492.4000 | 2,508.3000 | 2,914.3000 | 3,200.9000 | 2,689.4000 | ||||||
Long-term debt | 1,653.4000 | 2,281.7000 | 5,475.5000 | 5,243.9000 | 4,404 | ||||||
Liabilities to Banks | 2,113.8000 | 2,447.1000 | - | - | - | ||||||
Provisions | 460.3000 | 509.4000 | 385.2000 | 395.4000 | 279.7000 | ||||||
Liabilities | 14,013.6000 | 14,542.4000 | 15,291.4000 | 15,063.1000 | 15,533.5000 | ||||||
Share Capital | 588 | 597 | - | - | - | ||||||
Total Equity | 5,504.7000 | 5,834.7000 | 5,123 | 5,618.5000 | 5,548 | ||||||
Minority Interests | 1,314.1000 | 1,335.6000 | 1,387 | 1,420.7000 | 896.8000 | ||||||
Total liabilities equity | 19,518.3000 | 20,377.1000 | 21,802.2000 | 22,102.3000 | 21,978.3000 |
Income Statement
|
2019 IFRS in mill. CAD |
2020 IFRS in mill. CAD |
2021 IFRS in mill. CAD |
2022 IFRS in mill. CAD |
2023 IFRS in mill. CAD |
||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Revenues | 14,534.4000 | 14,871 | 16,292.1000 | 17,810.6000 | 16,656.5000 | ||||||
Depreciation (total) | - | - | - | - | 771.2000 | ||||||
Operating Result | 1,449.7000 | 1,428.6000 | - | - | - | ||||||
Interest Income | -266.8000 | -256.5000 | - | - | - | ||||||
Income Before Taxes | 1,182.9000 | 1,172.1000 | 1,701.9000 | 1,583.8000 | 572.8000 | ||||||
Income Taxes | 288.1000 | 309.5000 | 441.2000 | 401 | 233.7000 | ||||||
Minority Interests Profit | -116.4000 | -110.8000 | -133.1000 | 138.7000 | 125.8000 | ||||||
Net Income | 778.4000 | 751.8000 | 1,127.6000 | 1,044.1000 | 213.3000 |
Per Share
Cash Flow
|
2019 IFRS in mill. CAD |
2020 IFRS in mill. CAD |
2021 IFRS in mill. CAD |
2022 IFRS in mill. CAD |
2023 IFRS in mill. CAD |
||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Cash Flow from Operating Activities | 1,087.6000 | 2,442.8000 | 1,735.9000 | 466.5000 | 1,353.7000 | ||||||
Cash Flow from Investing Activities | -758.7000 | -848 | -658 | -230.4000 | -747.8000 | ||||||
Cash Flow from Financing | -604.2000 | -462.7000 | -653.4000 | -1,661.5000 | -621 | ||||||
Decrease / Increase in Cash | -275.3000 | 1,132.1000 | - | - | - | ||||||
Employees | 31,574 | 31,786 | - | - | - |