Aritzia Inc. (TSX:ATZ)
Canada flag Canada · Delayed Price · Currency is CAD
110.78
-7.22 (-6.12%)
At close: Mar 6, 2026

Aritzia Cash Flow Statement

Millions CAD. Fiscal year is Apr - Mar.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Nov '25 Mar '25 Mar '24 Feb '23 Feb '22 Feb '21
Net Income
347.22207.7978.78187.59156.9219.23
Depreciation & Amortization
203.64186.65168.04133.9112.63105.15
Stock-Based Compensation
60.648.3731.7824.3726.1310.69
Other Adjustments
119.84107.6879.56112.5175.7416.86
Changes in Other Operating Activities
29.75-94.860.66-383.45-33.06-26.3
Operating Cash Flow
761.06455.64358.8274.91338.35125.63
Operating Cash Flow Growth
91.77%26.98%378.99%-77.86%169.33%-43.43%
Capital Expenditures
-252.7-256.03-173.69-122.77-65.43-50.26
Purchases of Intangible Assets
-20.95-21.09-2.97-2.82-1.59-0.59
Payments for Business Acquisitions
-----32.56-
Other Investing Activities
---6.3-5.63--
Investing Cash Flow
-273.65-277.12-182.96-131.21-99.58-50.85
Short-Term Debt Issued
-----100
Short-Term Debt Repaid
------100
Long-Term Debt Repaid
-91.56-110.43-110.2-86.26-141.3-51.44
Net Long-Term Debt Issued (Repaid)
-91.56-110.43-110.2-86.26-141.3-51.44
Issuance of Common Stock
47.5845.4420.7211.3111.473.06
Repurchase of Common Stock
-60.05-5.91-29.99-61.12-8.03-0.52
Net Common Stock Issued (Repurchased)
-12.4739.53-9.27-49.813.442.54
Other Financing Activities
26.7210.5320.7913.5413.768.32
Financing Cash Flow
-77.32-60.37-98.67-122.54-124.09-40.59
Effect of Exchange Rate Changes on Cash and Cash Equivalents
3.414.21-0.420.11.41-2.8
Net Cash Flow
413.49122.3676.77-178.74116.131.4
Free Cash Flow
508.35199.61185.14-47.85272.9375.37
Free Cash Flow Growth
154.68%7.82%--262.10%-57.29%
FCF Margin
14.90%7.29%7.94%-2.18%18.26%8.79%
Free Cash Flow Per Share
4.281.711.62-0.422.360.67
Levered Free Cash Flow
236.35-66.88-36.41-270.9929.76-3.62
Unlevered Free Cash Flow
316.0146.65103.9-168.13182.7966.09
Updated Nov 30, 2025. Data Source: Fiscal.ai. Standard template. Financial Sources.