CANADIAN TIRE CORPORATION, CL. A,.../  CA1366812024  /

Toronto
2024-08-28  10:00:00 PM Chg. -3.23 Volume Bid10:12:10 PM Ask10:12:10 PM Market Capitalization Dividend Y. P/E Ratio
153.86CAD -2.06% 259,778
Turnover: 39.57 mill.
153.61Bid Size: 100 153.90Ask Size: 100 8.82 bill.CAD 4.50% 40.60

Fundamentals

  FY 2023 Growth (1Y)
Per Share  
Earnings per Share: 3.79 CAD -78.59%
EPS Diluted: - CAD -78.52%
Revenues per Share: 299.46 CAD -2.98%
Book Value per Share: 99.75 CAD 2.44%
Cash Flow per Share: 24.34 CAD 201.03%
Dividend per Share: 6.93 CAD 10.27%
Total in mill.  
Revenues: 16,656.50 CAD -6.48%
Net Income: 213.30 CAD -79.57%
Operating Cash Flow: 1,353.70 CAD -
Cash and Cash Equivalents: 311.20 CAD -

Valuation Ratios

  Current Latest FY*
P/E Ratio: 40.60 37.13
P/S Ratio: 0.51 0.47
P/BV ratio: 1.54 1.41
P/CF Ratio: 6.32 5.78
PEG: -0.52 -0.47
Earnings Yield: 2.46% 2.69%
Dividend Yield: 4.50% 4.92%
Market Capitalization  
Market Capitalization: 8.82 bill. CAD 8.3 bill. CAD
Free Float Market Cap.: - CAD - CAD
Market Cap. / Employee: - CAD - CAD
Shares Outstanding: 52.2 mill.  
 

Profitability

Gross Profit Margin: 34.24%
EBIT Margin: 0.00%
Net Profit Margin: 1.28%
Return on Equity: 3.84%
Return on Assets: 0.97%

Financial Strength

Liquidity I / Cash Ratio: 4.87%
Liquidity II / Quick Ratio: 22.89%
Liquidity III / Current Ratio: 176.76%
Debt / Equity Ratio: 296.15%
Dynam. Debt / Equity Ratio: 1,213.73%

Efficiency

Employees: -
Personal Expenses / Employee: - CAD
Revenues / Employee: - CAD
Net Income / Employee: - CAD
Total Assets / Employee: - CAD
 
* Fiscal Year End: 2023-12-30
Accounting Standard: IFRS
Currency: CAD