SNDL Inc. (FRA:VY4)
Germany flag Germany · Delayed Price · Currency is EUR
1.335
-0.060 (-4.30%)
At close: Jan 21, 2026

SNDL Inc. Balance Sheet

Millions CAD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
240.58218.36195.04279.59558.2560.38
Short-Term Investments
0.7327.563.46.553.07-
Trading Asset Securities
-0.140.2321.9383.72-
Cash & Short-Term Investments
241.32246.06198.67308.06645.0460.38
Cash Growth
-15.73%23.86%-35.51%-52.24%968.37%33.17%
Accounts Receivable
29.0527.3823.8221.2614.8615.79
Other Receivables
-3.576.215.08-0.11
Receivables
29.0530.9530.0326.3414.8615.9
Inventory
128.84129.11129.49131.2633.9129.14
Prepaid Expenses
12.5816.8622.4610.114.364.62
Restricted Cash
19.819.8219.8919.3427.015.33
Other Current Assets
0.7519.056.386.3833
Total Current Assets
432.33461.84406.91501.48728.18118.37
Property, Plant & Equipment
275.21261.25282.6277.5663.19116.93
Long-Term Investments
410.24421.55567.99609.96483.3651.88
Goodwill
124.25124.25119.2867.2672.5-
Other Intangible Assets
59.2261.3373.1574.8950.155.06
Long-Term Accounts Receivable
12.3515.3518.419.6222.57-
Other Long-Term Assets
4.463.684.848.587.732.63
Total Assets
1,3181,3491,4731,5591,428294.87
Accounts Payable
50.6527.0622.049.774.174.85
Accrued Expenses
-29.2146.1838.3834.2818.46
Current Portion of Leases
35.1634.2630.5430.215.70.41
Other Current Liabilities
-0.034.41121.70.43
Total Current Liabilities
85.8190.56103.1589.3665.8524.15
Long-Term Leases
119.97118.02136.49139.6327.771.03
Other Long-Term Liabilities
12.997.314.182.714.51-
Total Liabilities
218.77215.89243.82231.798.1325.18
Common Stock
2,2962,3472,3762,2932,036762.05
Additional Paid-In Capital
66.4457.1673.0168.9660.7359.34
Retained Earnings
-1,313-1,324-1,261-1,092-785.11-558.13
Comprehensive Income & Other
49.9453.4423.9636.7317.988.42
Total Common Equity
1,0991,1331,2121,3061,329271.68
Minority Interest
--17.2721.160.23-1.98
Shareholders' Equity
1,0991,1331,2291,3281,330269.7
Total Liabilities & Equity
1,3181,3491,4731,5591,428294.87
Total Debt
155.13152.27167.03169.8333.471.44
Net Cash (Debt)
86.1993.7931.64138.23611.5758.94
Net Cash Growth
-33.12%196.44%-77.11%-77.40%937.68%-
Net Cash Per Share
0.330.350.120.603.292.70
Filing Date Shares Outstanding
257.5257.29263.08260.1238.52166.02
Total Common Shares Outstanding
257.4263.02262.78235.19206.0491.88
Working Capital
346.52371.28303.77412.12662.3294.23
Book Value Per Share
4.274.314.615.556.452.96
Tangible Book Value
915.82947.781,0201,1641,207266.62
Tangible Book Value Per Share
3.563.603.884.955.862.90
Land
9.459.4520.9511.9612.398.64
Machinery
108.91108.999.1678.9232.7828.89
Construction In Progress
5.742.578.679.456.13
Leasehold Improvements
82.0678.2576.970.813.9-
Source: S&P Global Market Intelligence. Standard template. Financial Sources.