TVA Group Inc. (TSX: TVA.B)
Canada flag Canada · Delayed Price · Currency is CAD
1.190
+0.020 (1.71%)
Jul 2, 2024, 9:30 AM EDT

TVA Group Balance Sheet

Millions CAD. Fiscal year is Jan - Dec.
Year
20232022202120202019 2018 - 2005
Cash & Equivalents
-7.65-8.775.182.843.38
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Short-Term Investments
7.650000
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Cash & Cash Equivalents
0-8.775.182.843.38
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Cash Growth
--82.56%-16.11%-81.32%
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Receivables
166.8183.7216.57155.45163.06
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Inventory
0.730.633.873.223.11
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Other Current Assets
143.37147.58108.53112.9888.42
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Total Current Assets
310.91323.13334.15274.49257.97
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Property, Plant & Equipment
570.21165.38169.37175.57184.18
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Long-Term Investments
12.2412.0212.1211.2410.6
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Goodwill
16.8821.721.721.723.7
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Intangible Assets
89.43100.2120.5625.0329.31
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Other Long-Term Assets
-373.1653.63103.281.1769.38
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Total Long-Term Assets
315.6352.94326.95314.7317.18
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Total Assets
626.51676.07661.09589.19575.15
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Accounts Payable
91.5893.22114.6480.2975.1
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Deferred Revenue
8.4411.039.9614.0816.88
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Current Debt
2.0512.3914.4831.8248.08
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Other Current Liabilities
82.51145.92119.5296.45112.4
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Total Current Liabilities
184.59262.55258.6222.63252.47
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Long-Term Debt
89.666.457.869.157.98
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Other Long-Term Liabilities
4.9213.6914.1744.824.51
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Total Long-Term Liabilities
94.5820.1522.0353.9532.49
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Total Liabilities
279.16282.69280.63276.57284.96
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Total Debt
91.7118.8422.3440.9756.06
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Debt Growth
386.82%-15.67%-45.47%-26.93%6.08%
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Common Stock
207.28207.28207.28207.28207.28
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Retained Earnings
81.92129.81138.68108.1875.86
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Comprehensive Income
57.5755.7132.71-4.645.27
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Shareholders' Equity
347.35393.38379.25311.4288.99
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Total Liabilities and Equity
626.51676.07661.09589.19575.15
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Net Cash / Debt
-91.71-27.61-17.16-38.13-52.68
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Net Cash Per Share
-2.12-0.64-0.40-0.88-1.22
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Working Capital
126.3260.5975.5551.865.51
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Book Value Per Share
8.059.108.787.216.69
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Sources: The data provider is Financial Modeling Prep and the numbers are sourced from SEC filings.