Trisura Group Ltd. (TSX: TSU)
Canada flag Canada · Delayed Price · Currency is CAD
41.38
0.00 (0.00%)
Jul 2, 2024, 4:00 PM EDT

Trisura Group Balance Sheet

Millions CAD. Fiscal year is Jan - Dec.
Year
20232022202120202019 2018 - 2016
Cash & Equivalents
604.02406.37341.32136.5285.91
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Short-Term Investments
7.5765.38567.84506.68377.67
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Cash & Cash Equivalents
611.521,172341.32136.5285.91
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Cash Growth
-47.81%243.30%150.02%58.92%-9.78%
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Receivables
26.94465.911,661843.4373.11
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Inventory
-638.46-434.5-630.19-305.82-462.16
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Other Current Assets
634.9434.562.35-200.8684.5
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Total Current Assets
634.91,6382,003979.92459.02
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Property, Plant & Equipment
12.3215.0713.7510.4610.88
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Long-Term Investments
56.78765.38628.15.3316.02
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Intangible Assets
4.334.463.363.453.59
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Other Long-Term Assets
872.520-628.1-5.33-16.02
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Total Long-Term Assets
945.96784.917.1113.9114.48
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Total Assets
1,5814,2833,0001,707978.39
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Accounts Payable
0636.23335.67151.7180.19
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Deferred Revenue
0561.23000
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Current Debt
075027.5629.7
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Other Current Liabilities
-1,962-636.23000
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Total Current Liabilities
-1,962636.23335.67179.26109.89
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Long-Term Debt
7586.7484.688.799.76
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Other Long-Term Liabilities
2,848549.49000
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Total Long-Term Liabilities
2,923636.2384.688.799.76
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Total Liabilities
961.433,8002,6421,417788.06
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Total Debt
84.786.7484.6836.3539.46
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Debt Growth
-2.36%2.44%132.96%-7.88%32.85%
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Common Stock
481.02430.26285.04285.73219.25
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Retained Earnings
143.5791.3466.694.13-28.31
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Comprehensive Income
-12.66-38.317.06-1.33-0.61
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Shareholders' Equity
619.43483.29358.79289.86190.33
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Total Liabilities and Equity
1,5814,2833,0001,707978.39
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Net Cash / Debt
526.821,085824.48606.85424.11
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Net Cash / Debt Growth
-51.45%31.60%35.86%43.09%547.38%
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Net Cash Per Share
11.1424.5219.5915.3414.64
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Working Capital
2,5971,0011,667800.66349.13
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Book Value Per Share
13.3111.138.727.456.60
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Sources: The data provider is Financial Modeling Prep and the numbers are sourced from SEC filings.