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Reitmans (Canada) Limited

Financial Statements (IFRS) · Amounts in CAD
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line Item Q4 2025Oct 31, 2025 Q3 2025Jul 31, 2025 Q2 2025Apr 30, 2025 Q1 2025Jan 31, 2025 Q4 2024Oct 31, 2024 Q3 2024Jul 31, 2024
Total Revenue 194.9M 215.9M 158.9M 204.8M 187.7M --
Operating Revenue 194.9M 215.9M 158.9M 204.8M 187.7M --
Cost Of Revenue 85.4M 93.1M 70.4M 98.6M 80.1M --
Gross Profit 109.6M 122.8M 88.4M 106.2M 107.6M --
Selling General And Administration 107.1M 103.1M 99.1M 112.6M 103.7M --
Operating Expense 107.1M 103.1M 99.1M 112.6M 103.7M --
Operating Income 2.5M 19.7M -10.7M -6.4M 3.9M --
EBIT 3.7M 20.7M -11.3M -3.7M 5.2M --
Interest Expense 2.5M 2.5M 2.5M 2.5M 2.5M --
Interest Expense Non Operating 2.5M 2.5M 2.5M 2.5M 2.5M --
Interest Income 999,000 1.1M 996,000 1.6M 1.5M --
Interest Income Non Operating 999,000 1.1M 996,000 1.6M 1.5M --
Net Interest Income -1.5M -1.5M -1.5M -945,000 -1.0M --
Other Income Expense 216,000 -38,000 -1.7M 1.1M -165,000 --
Gain On Sale Of Security 216,000 -38,000 -1.7M 1.1M -165,000 --
Pretax Income 1.2M 18.2M -13.9M -6.2M 2.7M --
Tax Provision 375,000 5.0M -3.8M -2.0M 655,000 --
Tax Effect Of Unusual Items 65,375 -10,482 -463,766 368,734 -39,719 --
Net Income From Continuing And Discontinued Operation 864,000 13.1M -10.0M -4.2M 2.1M --
Net Income From Continuing Operation Net Minority Interest 864,000 13.1M -10.0M -4.2M 2.1M --
Net Income Including Noncontrolling Interests 864,000 13.1M -10.0M -4.2M 2.1M --
Net Income Common Stockholders 864,000 13.1M -10.0M -4.2M 2.1M --
Net Income 864,000 13.1M -10.0M -4.2M 2.1M --
EBITDA 18.2M 35.1M 2.8M 10.0M 18.6M --
Normalized EBITDA 18.0M 35.2M 4.4M 8.9M 18.7M --
Reconciled Depreciation 14.5M 14.5M 14.1M 13.7M 13.4M --
Basic EPS 0.02 0.26 -0.20 -0.08 0.04 --
Diluted EPS 0.02 0.26 -0.20 -0.08 0.04 --
Basic Average Shares 50.4M 50.5M 49.6M 52.1M 49.4M --
Diluted Average Shares 50.4M 50.5M 49.6M 52.1M 49.9M --
Total Unusual Items 216,000 -38,000 -1.7M 1.1M -165,000 --
Total Unusual Items Excluding Goodwill 216,000 -38,000 -1.7M 1.1M -165,000 --
Tax Rate For Calcs 0.30 0.28 0.28 0.32 0.24 --
Normalized Income 713,375 13.2M -8.8M -4.9M 2.2M --
Diluted NI Availto Com Stockholders 864,000 13.1M -10.0M -4.2M 2.1M --
Net Income Continuous Operations 864,000 13.1M -10.0M -4.2M 2.1M --
Net Non Operating Interest Income Expense -1.5M -1.5M -1.5M -945,000 -1.0M --
Reconciled Cost Of Revenue 85.4M 93.1M 70.4M 98.6M 80.1M --
Total Expenses 192.4M 196.2M 169.5M 211.2M 183.8M --
Total Operating Income As Reported 2.5M 19.7M -10.7M -6.4M 3.9M --
Line Item Q4 2025Oct 31, 2025 Q3 2025Jul 31, 2025 Q2 2025Apr 30, 2025 Q1 2025Jan 31, 2025 Q4 2024Oct 31, 2024 Q3 2024Jul 31, 2024
Cash And Cash Equivalents 119.4M 125.3M 85.4M 158.1M 123.1M --
Cash Cash Equivalents And Short Term Investments 119.4M 125.3M 85.4M 158.1M 123.1M --
Cash Financial 119.4M 125.3M 85.4M 158.1M 123.1M --
Accounts Receivable 8.0M 7.8M 8.0M 6.1M 6.6M --
Receivables 8.0M 7.8M 8.0M 6.1M 6.6M --
Inventory 129.6M 126.3M 135.0M 132.9M 141.3M --
Other Current Assets 13.6M 18.6M 17.8M 12.7M 18.7M --
Current Assets 272.3M 279.9M 249.1M 322.1M 295.6M --
Gross PPE 245.7M 240.4M 233.4M 289.5M 215.8M --
Accumulated Depreciation -- -- -- -60.3M -- --
Net PPE 245.7M 240.4M 233.4M 229.2M 215.8M --
Goodwill And Other Intangible Assets 5.7M 4.0M 1.4M 1.6M 2.0M --
Other Intangible Assets -- -- -- 1.6M -- --
Total Non Current Assets 274.0M 267.3M 262.7M 252.0M 238.4M --
Total Assets 546.3M 547.2M 511.8M 574.1M 533.9M --
Current Debt And Capital Lease Obligation 37.1M 35.5M 35.4M 34.1M 33.5M --
Accounts Payable 41.3M 45.6M 21.0M 61.6M 29.1M --
Payables 68.0M 58.2M 38.5M 81.6M 53.5M --
Payables And Accrued Expenses 68.0M 58.2M 38.5M 81.6M 53.5M --
Current Deferred Revenue 10.5M 10.7M 11.4M 12.4M 9.9M --
Other Current Liabilities 2.4M 3.7M 5.1M 2.2M 5.3M --
Current Liabilities 123.1M 130.3M 114.3M 156.4M 122.7M --
Long Term Debt And Capital Lease Obligation 128.2M 123.4M 117.7M 121.3M 114.7M --
Long Term Capital Lease Obligation 128.2M 123.4M 117.7M 121.3M 114.7M --
Total Non Current Liabilities Net Minority Interest 128.5M 124.2M 117.9M 121.3M 114.7M --
Total Liabilities Net Minority Interest 251.6M 254.5M 232.1M 277.7M 237.4M --
Common Stock 31.1M 31.2M 31.1M 29.1M 28.8M --
Capital Stock 31.1M 31.2M 31.1M 29.1M 28.8M --
Additional Paid In Capital 11.2M 11.1M 11.0M 11.5M 11.4M --
Retained Earnings 251.5M 250.8M 237.8M 248.0M 252.3M --
Gains Losses Not Affecting Retained Earnings 855,000 -306,000 -265,000 7.9M 4.1M --
Common Stock Equity 294.7M 292.8M 279.6M 296.4M 296.6M --
Stockholders Equity 294.7M 292.8M 279.6M 296.4M 296.6M --
Total Equity Gross Minority Interest 294.7M 292.8M 279.6M 296.4M 296.6M --
Total Capitalization 294.7M 292.8M 279.6M 296.4M 296.6M --
Net Tangible Assets 289.0M 288.7M 278.2M 294.8M 294.5M --
Tangible Book Value 289.0M 288.7M 278.2M 294.8M 294.5M --
Working Capital 149.1M 149.6M 134.8M 165.7M 172.9M --
Invested Capital 294.7M 292.8M 279.6M 296.4M 296.6M --
Total Debt 165.4M 158.9M 153.1M 155.4M 148.2M --
Share Issued 50.4M 50.4M 50.4M 49.6M 49.5M --
Ordinary Shares Number 50.4M 50.4M 50.4M 49.6M 49.5M --
Buildings And Improvements -- -- -- 36.0M -- --
Capital Lease Obligations 165.4M 158.9M 153.1M 155.4M 148.2M --
Current Capital Lease Obligation 37.1M 35.5M 35.4M 34.1M 33.5M --
Current Deferred Liabilities 10.5M 10.7M 11.4M 12.4M 9.9M --
Current Provisions 5.1M 3.9M 5.7M 3.7M 7.5M --
Defined Pension Benefit -- 0.00 0.00 0.00 0.00 773,000
Derivative Product Liabilities -- 550,000 -- -- -- --
Financial Assets 387,000 -- -- -- -- --
Hedging Assets Current 1.7M 2.0M 2.9M 12.3M 6.0M --
Income Tax Payable 243,000 127,000 24,000 191,000 582,000 --
Land And Improvements -- -- -- 5.9M -- --
Leases -- -- -- 171.8M -- --
Machinery Furniture Equipment -- -- -- 75.8M -- --
Non Current Deferred Assets 22.3M 22.9M 27.8M 21.1M 20.5M --
Non Current Deferred Taxes Assets 22.3M 22.9M 27.8M 21.1M 20.5M --
Other Payable 26.5M 12.5M 17.5M 19.8M 23.8M --
Other Properties 245.7M 240.4M 233.4M -- 215.8M 205.5M
Pensionand Other Post Retirement Benefit Plans Current -- 18.3M 18.1M 22.4M 18.4M 21.7M
Properties -- -- -- 0.00 -- --
Total Tax Payable 243,000 127,000 24,000 191,000 582,000 --
Tradeand Other Payables Non Current 241,000 219,000 196,000 -- -- --
Line Item Q4 2025Oct 31, 2025 Q3 2025Jul 31, 2025 Q2 2025Apr 30, 2025 Q1 2025Jan 31, 2025 Q4 2024Oct 31, 2024 Q3 2024Jul 31, 2024
Operating Cash Flow 10.0M 59.1M -46.9M 49.6M 16.8M --
Cash Flow From Continuing Operating Activities 10.0M 59.1M -46.9M 49.6M 16.8M --
Depreciation And Amortization 14.5M 14.5M 14.1M 13.7M 13.4M --
Depreciation Amortization Depletion 14.5M 14.5M 14.1M 13.7M 13.4M --
Stock Based Compensation 103,000 152,000 346,000 130,000 156,000 --
Deferred Tax 375,000 5.0M -3.8M -2.0M 655,000 --
Deferred Income Tax 375,000 5.0M -3.8M -2.0M 655,000 --
Change In Working Capital -5.8M 25.3M -51.3M 45.0M -1.2M --
Change In Receivables -327,000 322,000 -2.1M 479,000 -406,000 --
Change In Inventory -3.3M 8.7M -2.1M 8.4M -3.8M --
Change In Payables And Accrued Expense -6.9M 17.6M -40.9M 27.5M 1.3M --
Change In Payable -6.9M 17.6M -40.9M 27.5M 1.3M --
Change In Other Working Capital -289,000 -667,000 -988,000 3.9M -417,000 --
Change In Other Current Assets -- 0.00 0.00 -- -- 11,000
Other Non Cash Items 1.2M 1.3M 1.5M -244,000 936,000 --
Capital Expenditure -10.7M -8.3M -11.9M -11.1M -7.0M --
Purchase Of PPE -10.7M -8.3M -11.9M -11.1M -7.0M --
Net PPE Purchase And Sale -10.7M -8.3M -11.9M -11.1M -7.0M --
Investing Cash Flow -10.7M -8.3M -11.9M -11.1M -7.0M --
Cash Flow From Continuing Investing Activities -10.7M -8.3M -11.9M -11.1M -7.0M --
Repayment Of Debt -7.3M -12.0M -15.3M -7.4M -11.5M --
Net Issuance Payments Of Debt -7.3M -12.0M -15.3M -7.4M -11.5M --
Issuance Of Capital Stock 0.00 120,000 1.5M 283,000 318,000 --
Repurchase Of Capital Stock -171,000 -164,000 -309,000 -238,000 -226,000 --
Net Common Stock Issuance -171,000 -44,000 1.2M 45,000 92,000 --
Common Stock Payments -171,000 -164,000 -309,000 -238,000 -226,000 --
Financing Cash Flow -7.5M -12.1M -14.1M -7.3M -11.4M --
Cash Flow From Continuing Financing Activities -7.5M -12.1M -14.1M -7.3M -11.4M --
Effect Of Exchange Rate Changes 2.2M 1.1M 177,000 3.9M 653,000 --
Changes In Cash -8.1M 38.7M -72.9M 31.1M -1.6M --
Beginning Cash Position 125.3M 85.4M 158.1M 123.1M 124.0M --
End Cash Position 119.4M 125.3M 85.4M 158.1M 123.1M --
Free Cash Flow -662,000 50.8M -58.8M 38.5M 9.8M --
Change In Prepaid Assets 5.0M -729,000 -5.1M 4.7M 2.1M --
Common Stock Issuance 0.00 120,000 1.5M 283,000 318,000 --
Depreciation 14.5M 14.5M 14.1M 13.7M 13.4M --
Interest Received Cfo 1.1M 919,000 1.3M 1.6M 1.5M --
Long Term Debt Payments -7.3M -12.0M -15.3M -7.4M -11.5M --
Net Foreign Currency Exchange Gain Loss -2.2M -1.2M -149,000 -3.9M -655,000 --
Net Income From Continuing Operations 864,000 13.1M -10.0M -4.2M 2.1M --
Net Long Term Debt Issuance -7.3M -12.0M -15.3M -7.4M -11.5M --
Operating Gains Losses -2.2M -1.2M 1.2M -3.9M -655,000 --
Taxes Refund Paid 0.00 0.00 -117,000 -419,000 0.00 --
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