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S&P/TSX
22,320.87
+120.07
(+0.54%)
S&P 500
5,304.72
+36.88
(+0.70%)
DOW
39,069.59
+4.29
(+0.01%)
CAD/USD
0.7320
-0.0001
(-0.01%)
CRUDE OIL
77.90
+0.18
(+0.23%)
Bitcoin CAD
94,343.72
+164.45
(+0.17%)
Canadian Tire Corporation, Limited (CTC-A.TO)
Toronto - Toronto Real Time Price. Currency in CAD
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136.75
-2.60
(-1.87%)
At close: 04:00PM EDT
Summary
Chart
Conversations
Statistics
Historical Data
Profile
Financials
Analysis
Options
Holders
Sustainability
Show
:
Income Statement
Balance Sheet
Cash Flow
Annual
Quarterly
Cash Flow
All numbers in thousands
Breakdown
ttm
2023-12-31
2022-12-31
2021-12-31
2020-12-31
2019-12-31
Cash flows from operating activities
Net Income
282,300
213,300
1,044,100
1,127,600
751,800
-
Depreciation & amortization
796,500
802,200
743,500
701,500
695,300
-
Deferred income taxes
235,700
233,700
401,000
441,200
309,500
-
Change in working capital
148,200
-189,800
-1,331,000
-323,700
741,400
-
Other working capital
1,159,300
685,100
-268,600
957,100
2,006,300
-
Other non-cash items
350,200
374,700
231,000
222,500
256,500
-
Net cash provided by operating activites
1,779,100
1,353,700
466,500
1,735,900
2,442,800
-
Cash flows from investing activities
Investments in property, plant and equipment
-619,800
-668,600
-735,100
-778,800
-436,500
-
Acquisitions, net
-
-
-
-
0
-177,300
Purchases of investments
-342,300
-321,800
-184,300
-1,333,400
-770,400
-
Sales/Maturities of investments
325,000
269,900
713,100
1,290,200
328,800
-
Other investing activites
-40,000
-27,400
-29,300
102,300
16,800
-
Net cash used for investing activites
-676,500
-747,800
-230,400
-658,000
-848,000
-
Cash flows from financing activities
Debt repayment
-1,557,500
-1,688,600
-1,299,500
-944,300
-2,466,900
-
Common stock repurchased
-215,700
-376,100
-425,400
-131,100
-111,500
-
Dividends Paid
-356,700
-360,800
-325,800
-271,100
-262,900
-
Other financing activites
-518,100
-605,600
-1,046,600
241,200
931,100
-
Net cash used privided by (used for) financing activities
-821,500
-621,000
-1,661,500
-653,400
-462,700
-
Net change in cash
281,100
-15,100
-1,425,400
424,500
1,132,100
-
Cash at beginning of period
311,800
326,300
1,751,700
1,327,200
195,100
-
Cash at end of period
592,900
311,200
326,300
1,751,700
1,327,200
-
Free Cash Flow
Operating Cash Flow
1,779,100
1,353,700
466,500
1,735,900
2,442,800
-
Capital Expenditure
-619,800
-668,600
-735,100
-778,800
-436,500
-
Free Cash Flow
1,159,300
685,100
-268,600
957,100
2,006,300
-
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