Canadian Tire (CTC.A) Stock Price History – wallmine.com (2024)

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Market cap$6.92B
Enterprise value$12.64B
RevenueCAD$17.292B
EBITDACAD$2.224B
IncomeCAD$1.080B
Revenue Q/Q12.39%
Revenue Y/Y14.93%
P/E11.08
Forward P/E8.62
EV/Sales0.96
EV/EBITDA7.45
EV/EBIT8.34
PEG1.75
Price/Sales0.50
P/FCF16.77
Price/Book1.31
Book/Share103.81
Cash/Share47.77
FCF yield4.34%
Employees13,435
RPECAD$1.287M
Volume19.373k/244.614k
Relative vol.0.08 ×
EPS12.31
EPS Q/Q-16.40%
Est. EPS Q/Q-6.19%
Profit margin6.92%
Oper. margin11.20%
Gross margin33.62%
EBIT margin11.11%
EBITDA margin12.86%
Ret. on assets5.74%
Ret. on equity19.11%
ROIC7.29%
ROCE12.83%
Debt/Equity2.98
Net debt/EBITDA1.91
Current ratio1.78
Quick ratio1.23
Volatility2.05%
Beta1.28
RSI38.93
RangeCAD$135.50 – CAD$136.94
52 weeksCAD$128.88 – CAD$189.82
SMA 50CAD$142 -3.90%
SMA 200CAD$144 -5.33%
1 year targetCAD$203 +49.82%
Mean Recomm.2.30
Insider ownership1.40%
Inst. ownership32.09%
Shares outst.57.384M
Shares float54.652M 95.24%
Short % of floatN/A
Short ratio5.77
1 year targetCAD$203 +49.82%
Mean Recomm.2.30
DividendN/A
Dividend yieldN/A
Payout ratioN/A
Payment dateN/A
Ex-dividend dateN/A
Earnings dateN/A
IPO year1995
CountryCanada
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Recent Canadian Tire news

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Monday, 16 October 2023

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What Does Canadian Tire Corporation, Limited's Share Price Indicate?
Wednesday, 3 May 2023

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Canadian Tire Corporation and Petro-Canada™ announce new partnership
Thursday, 27 April 2023

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Media Advisory - Canadian Tire Corporation Annual Meeting of Shareholders and First Quarter 2023 Results
Monday, 6 March 2023

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Canadian Tire Corporation Champions Gender Equity in Sport
Wednesday, 15 February 2023

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Canadian Tire grows exclusive Petco shop-in-shops
Thursday, 14 July 2022

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Canadian Tire Corporation Will Pay A Larger Dividend Than Last Year At CA$1.63
Thursday, 28 April 2022

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Media Advisory - Canadian Tire Corporation Annual Meeting of Shareholders and First Quarter Results
Thursday, 10 March 2022

duckduckgo

UPDATE 1-Retailer Canadian Tire to strengthen game with over $2 bln investment

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Canadian Tire to invest more than $2 billion in e-commerce business

tradingview

Canadian Tire to invest more than $2 bln in e-commerce business
Thursday, 10 March 2022

benzinga

IIROC Trade Resumption - CTC
Friday, 4 March 2022

reuters

Retailer Canadian Tire pauses Helly Hansen operations in Russia
Wednesday, 19 January 2022

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Canadian Tire Corporation Named Most Sustainable Retailer Among Canadian Peers on Corporate Knights' 'Global 100 Most Sustainable Corporations' - Yahoo Finance
Thursday, 29 July 2021

yahoo

Media Advisory - Canadian Tire Corporation Second Quarter Results

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Canadian Tire executives

InsiderAgeSinceCompensation
Gregory Huber Hicks(49)CEO, Pres, and Exec. Director49CAD$1,986,992
James R. ChristieCAD$1,322,959
Johnathan Edward PershingCAD$1,183,131
Gregory George Craig C.M.A., CPA(53)CFO and Exec. VP53CAD$1,165,790
Robert Mongeau
John D. Salt
Robyn A. Collver(56)Sr. VP of Regulatory Affairs and Chief Sustainability Officer56
Jane Shaw
Karen Keyes
Rex W. Lee

Canadian Tire (CTC.A) Stock Price History – wallmine.com (2)

Canadian Tire Corporation, Limitedcorp.canadiantire.ca

Canadian Tire Corporation, Limited provides a range of retail goods and services in Canada. It operates in three segments: Retail, CT REIT, and Financial Services. The Retail segment retails automotive maintenance products and accessories, parts, tires as well as automotive repair and roadside assistance; kitchen, home organization, decor and essentials, home electronics, pet, and cleaning and consumable products; tools, hardware, paint, electrical, plumbing, home environment, and smart home products; and outdoor recreation, exercise, footwear and apparel, hunting, fishing, camping, and sporting goods. It also retails Christmas trees, lights and decor, Halloween décor and costumes, yard care and maintenance, and snow removal equipment; patio furniture, barbeques, pools, trampolines, outdoor power equipment and tools, plants and gardening supplies; backyard amusem*nt, pool fun, and toys and games; gasoline; sporting goods and active wear; casual and industrial apparel and footwear; and outerwear, base-layer, and workwear. This segment offers its products under the Canadian Tire, Canadian Tire Gas, Mark's, PartSource, Helly Hansen, Party City, and SportChek brand names. This segment also participates in loyalty programs, as well as sells its products online. The CT REIT segment operates as a closed-end real estate investment trust that holds a portfolio of 368 properties comprising Canadian Tire stores, Canadian Tire anchored retail developments, industrial properties, a mixed-use commercial property, and development properties. The Financial Services segment provides financial and other ancillary products and services, including consumer credit cards, in-store financing, insurance products, and retail and broker deposits; and savings accounts and guaranteed investment certificates. Canadian Tire Corporation, Limited was founded in 1922 and is headquartered in Toronto, Canada.

  • Consumer Discretionary>Specialty Retail
  • Canadian Tire Corporation, Limited, 2180 Yonge Street, Toronto M4P 2V8, Canada
  • 416 480 3000
  • Investor relations

Quarterly EPS estimates

  • Quarterly
  • Annual

Profit margin

  • Quarterly
  • Annual

Debt to assets

  • Quarterly
  • Annual

Cash flow

  • Quarterly
  • Annual
  • Quarterly
  • Annual

XSLX

XSLX

(in millions CAD) 1 Jul 2022 1 Apr 202231 Dec 2021 1 Oct 2021
Current assets
CashCAD$512.6CAD$853.9CAD$1,751.7CAD$1,548.3
Short term investmentsCAD$212CAD$451.4CAD$606.2CAD$580
Net receivablesCAD$857.8CAD$1,413.5CAD$886.9CAD$860.8
InventoryCAD$3,033.9CAD$2,697.9CAD$2,480.6CAD$2,875.2
Other current assetsCAD$96.5CAD$94.3CAD$159.2CAD$75.6
Total current assetsCAD$10,820.3CAD$11,224.3CAD$11,646.6CAD$11,417.6
Long term investmentsCAD$178CAD$178.1CAD$175.1CAD$176.7
Property, plant & equipmentCAD$6,439CAD$6,400.1CAD$6,335.4CAD$6,312.3
GoodwillCAD$876.8
Intangible assetsCAD$2,297.1CAD$2,368.1CAD$1,495.4CAD$2,374.1
Other assetsCAD$1,323.7CAD$1,286.7CAD$1,261.2CAD$1,279.8
Deferred long term asset chargesCAD$170.9CAD$208CAD$218.7CAD$230.9
Total assetsCAD$21,059.7CAD$21,459.1CAD$21,802.2CAD$21,561.5
Current liabilities
Accounts payableCAD$2,908CAD$2,578.7CAD$2,369.2CAD$2,535
Short long term debtCAD$625.6CAD$570CAD$719.8CAD$159.8
Other current liabilitiesCAD$684CAD$661.9CAD$1,319.2CAD$773.8
Total current liabilitiesCAD$6,082.6CAD$6,165.2CAD$6,790CAD$6,543.2
Long term debtCAD$1,572CAD$3,807.5CAD$1,379.1CAD$1,928.4
Other liabilitiesCAD$953.5CAD$1,032.4CAD$1,040.6CAD$1,030.7
Deferred long term liabilities
Minority interestCAD$1,404.6CAD$1,380.5CAD$1,387CAD$1,371
Total liabilitiesCAD$14,457CAD$14,884.2CAD$15,291.4CAD$15,202.3
Stockholders' equity
Stock option warrants
Common stockCAD$595.8CAD$595.7CAD$593.6CAD$607.3
Retained earningsCAD$4,748.7CAD$4,759CAD$4,696.5CAD$4,532.6
Treasury stock-CAD$149.3-CAD$163.2-CAD$169.2-CAD$154.6
Capital surplusCAD$2.9CAD$2.9CAD$2.9CAD$2.9
Other stockholder equity-CAD$149.3-CAD$163.2-CAD$169.2-CAD$154.6
Total stockholder equityCAD$5,198.1CAD$5,194.4CAD$5,123.8CAD$4,988.2
Net tangible assetsCAD$2,901CAD$2,826.3CAD$2,751.6CAD$2,614.1
(in millions CAD)202120212019
Current assets
CashCAD$1,751.7CAD$1,327.2CAD$205.5
Short term investmentsCAD$606.2CAD$643CAD$201.7
Net receivablesCAD$886.9CAD$926.6CAD$951.3
InventoryCAD$2,480.6CAD$2,312.9CAD$2,212.9
Other current assetsCAD$159.2CAD$160.5CAD$51.7
Total current assetsCAD$11,646.6CAD$10,546.8CAD$9,555.3
Long term investmentsCAD$175.1CAD$146.2CAD$138.9
Property, plant & equipmentCAD$6,335.4CAD$5,994.9CAD$5,893.7
GoodwillCAD$876.8CAD$889.5CAD$891.1
Intangible assetsCAD$1,495.4CAD$1,483.3CAD$1,523.2
Other assetsCAD$1,261.2CAD$1,305.4CAD$1,482.8
Deferred long term asset chargesCAD$218.7CAD$298.7CAD$319.2
Total assetsCAD$21,802.2CAD$20,377.1CAD$19,518.3
Current liabilities
Accounts payableCAD$2,369.2CAD$1,962.4CAD$2,087
Short long term debtCAD$719.8CAD$150.5CAD$288.2
Other current liabilitiesCAD$1,319.2CAD$1,361.5CAD$1,281.1
Total current liabilitiesCAD$6,790CAD$5,205.8CAD$5,751.4
Long term debtCAD$1,379.1CAD$1,938.1CAD$2,032.2
Other liabilitiesCAD$1,040.6CAD$1,042.6CAD$1,007.6
Deferred long term liabilities
Minority interestCAD$1,387CAD$1,335.6CAD$1,314.1
Total liabilitiesCAD$15,291.4CAD$14,542.4CAD$14,013.6
Stockholders' equity
Stock option warrants
Common stockCAD$593.6CAD$597CAD$588
Retained earningsCAD$4,696.5CAD$4,136.9CAD$3,729.6
Treasury stock-CAD$169.2-CAD$237.7-CAD$129.9
Capital surplusCAD$2.9CAD$2.9CAD$2.9
Other stockholder equity-CAD$169.2-CAD$237.7-CAD$129.9
Total stockholder equityCAD$5,123.8CAD$4,499.1CAD$4,190.6
Net tangible assetsCAD$2,751.6CAD$2,126.3CAD$1,776.3

Income statement

  • Quarterly
  • Annual

XSLX

XSLX

(in millions CAD) 1 Jul 2022 1 Apr 202231 Dec 2021 1 Oct 2021
Revenue
Total revenueCAD$4,404CAD$3,837.4CAD$5,137.6CAD$3,913.1
Cost of revenueCAD$3,119.1CAD$2,618.2CAD$3,298.9CAD$2,637.8
Gross profitCAD$1,284.9CAD$1,219.2CAD$1,838.7CAD$1,275.3
Operating activities
Research & development
Selling, general & administrativeCAD$941.9CAD$870.3CAD$1,051.5CAD$832.9
Non-recurring
Other operating expenses
Total operating expensesCAD$4,061CAD$3,488.5CAD$4,350.4CAD$3,470.7
Operating incomeCAD$343CAD$348.9CAD$787.2CAD$442.4
Income from continuing operations
Net other income-CAD$104.9-CAD$54-CAD$67.2-CAD$72.5
EBITCAD$343CAD$348.9CAD$787.2CAD$442.4
Interest expense-CAD$59.1-CAD$58-CAD$56.9-CAD$59.3
Income before taxCAD$238.1CAD$294.9CAD$720CAD$369.9
Income tax expenseCAD$60.5CAD$77.3CAD$184.3CAD$90.4
Minority interestCAD$1,404.6CAD$1,380.5CAD$1,387CAD$1,371
Net income from continuing opsCAD$177.6CAD$217.6CAD$535.7CAD$279.5
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items
Net income
Net incomeCAD$145.2CAD$182.1CAD$508.5CAD$243.7
Income (for common shares)CAD$145.2CAD$182.1CAD$508.5CAD$243.7
(in millions CAD)202120212019
Revenue
Total revenueCAD$16,292.1CAD$14,871CAD$14,534.4
Cost of revenueCAD$10,814CAD$10,103.3CAD$9,969.1
Gross profitCAD$5,478.1CAD$4,767.7CAD$4,565.3
Operating activities
Research & development
Selling, general & administrativeCAD$3,536.5CAD$3,250CAD$3,092.1
Non-recurring
Other operating expenses
Total operating expensesCAD$14,350.5CAD$13,353.3CAD$13,061.2
Operating incomeCAD$1,941.6CAD$1,517.7CAD$1,473.2
Income from continuing operations
Net other income-CAD$239.7-CAD$345.6-CAD$290.3
EBITCAD$1,941.6CAD$1,517.7CAD$1,473.2
Interest expense-CAD$236.2-CAD$272.1-CAD$294.4
Income before taxCAD$1,701.9CAD$1,172.1CAD$1,182.9
Income tax expenseCAD$441.2CAD$309.5CAD$288.1
Minority interestCAD$1,387CAD$1,335.6CAD$1,314.1
Net income from continuing opsCAD$1,260.7CAD$862.6CAD$894.8
Non-recurring events
Discontinued operations
Extraordinary items
Effect of accounting change
Other items
Net income
Net incomeCAD$1,127.6CAD$751.8CAD$778.4
Income (for common shares)CAD$1,127.6CAD$751.8CAD$778.4
  • Quarterly
  • Annual

XSLX

XSLX

(in millions CAD) 1 Jul 2022 1 Apr 202231 Dec 2021 1 Oct 2021
Net incomeCAD$145.2CAD$182.1CAD$508.5CAD$243.7
Operating activities
DepreciationCAD$185.2CAD$174CAD$71.3CAD$172.7
Net income adjustmentsCAD$25-CAD$139.8CAD$167CAD$85.3
Change in accounts receivable
Changes in liabilities
Changes in inventory
Changes in other operating activitiesCAD$108.3-CAD$819.7CAD$274.7-CAD$461
Total cash flows from operationsCAD$463.7-CAD$603.4CAD$1,141.1CAD$40.7
Investing activities
Capital expenditures-CAD$84.4-CAD$126.8-CAD$298.7-CAD$119.8
InvestmentsCAD$231.6CAD$152.1-CAD$26.9CAD$11.4
Other cash flows from investing
Total cash flows from investingCAD$115.2CAD$2-CAD$357.6-CAD$140.3
Financing activities
Dividends paid-CAD$73.1-CAD$73.4-CAD$67.7-CAD$68
Sale and purchase of stock
Net borrowings-CAD$348.7CAD$294.4-CAD$159.6-CAD$139.5
Other cash flows from financing-CAD$396.3-CAD$404.9-CAD$219.8-CAD$93.9
Total cash flows from financing-CAD$923.8-CAD$297.4-CAD$567.2-CAD$304.9
Effect of exchange rate
Change in cash and equivalents-CAD$344.9-CAD$898.8CAD$216.3-CAD$404.5
(in millions CAD)202120212019
Net incomeCAD$1,127.6CAD$751.8CAD$778.4
Operating activities
DepreciationCAD$581.9CAD$582.6CAD$546.7
Net income adjustmentsCAD$230.5CAD$254.3CAD$29.5
Change in accounts receivable
Changes in liabilities
Changes in inventory
Changes in other operating activities-CAD$245.2CAD$741.4-CAD$377.8
Total cash flows from operationsCAD$1,814.4CAD$2,442.8CAD$1,087.6
Investing activities
Capital expenditures-CAD$630.6-CAD$307.2-CAD$435.2
Investments-CAD$43.2-CAD$441.6-CAD$4.2
Other cash flows from investing
Total cash flows from investing-CAD$736.5-CAD$848-CAD$758.7
Financing activities
Dividends paid-CAD$271.1-CAD$262.9-CAD$242.5
Sale and purchase of stock
Net borrowings-CAD$492.4-CAD$1,019.4-CAD$203.5
Other cash flows from financingCAD$241.2CAD$931.1CAD$59.8
Total cash flows from financing-CAD$653.4-CAD$462.7-CAD$604.2
Effect of exchange rate
Change in cash and equivalentsCAD$424.5CAD$1,132.1-CAD$275.3

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Canadian Tire (CTC.A) Stock Price History – wallmine.com (2024)
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