TVA Group Inc. (TSX:TVA.B)
Canada flag Canada · Delayed Price · Currency is CAD
1.260
+0.310 (32.63%)
At close: May 12, 2026

TVA Group Balance Sheet

Millions CAD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
26.7113.28---5.18
Cash & Short-Term Investments
26.7113.28---5.18
Cash Growth
-----82.56%
Accounts Receivable
115.29154.45134.84154.07175.17210.81
Other Receivables
5.014.2610.9812.748.525.76
Total Trade Receivables
120.31158.71145.82166.8183.7216.57
Inventory
116.24118.23101.2140.7135.04108.53
Other Current Assets
5.11.682.293.414.43.87
Total Current Assets
268.35291.9249.31310.91323.13334.15
Net Property, Plant & Equipment
134.95138.45154.92148.68165.38169.37
Other Intangible Assets
54.6658.4591.4589.43102.993.1
Goodwill
9.19.19.116.8821.721.7
Long-Term Investments
12.9412.8812.7212.2412.0212.12
Other Long-Term Assets
57.7558.2757.1348.3650.9430.66
Total Assets
537.76569.04574.63626.51676.07661.09
Accounts Payable
128.76155.44145.45130.05114.17139.15
Short-Term Debt
--3.670.1810.0711.98
Current Portion of Long-Term Debt
--33.98---
Current Portion of Leases
1.971.962.521.882.322.5
Unearned Revenue
5.918.038.148.4411.039.96
Other Current Liabilities
35.9131.9929.4944.04124.9695.01
Total Current Liabilities
172.55197.43223.24184.59262.55258.6
Long-Term Debt
---83.88--
Long-Term Leases
55.276.185.786.457.86
Other Long-Term Liabilities
12.1714.047.934.9213.6914.17
Total Long-Term Liabilities
17.1719.3114.1194.5820.1522.03
Total Liabilities
189.72216.73237.35279.16282.69280.63
Common Stock
207.28207.28207.28207.28207.28207.28
Additional Paid-in Capital
0.580.580.580.580.580.58
Accumulated Other Comprehensive Income
67.0967.0966.8457.5755.7132.71
Retained Earnings
73.0977.3662.5881.92129.81138.68
Total Common Shareholders' Equity
348.04352.31337.27347.35393.38379.25
Minority Interest
-----1.21
Shareholders' Equity
348.04352.31337.27347.35393.38380.46
Total Liabilities & Equity
537.76569.04574.63626.51676.07661.09
Total Debt
6.987.2346.3491.7118.8422.34
Net Cash (Debt)
19.736.05-46.34-91.71-18.84-17.16
Net Cash Growth
226.24%-----
Net Cash Per Share
0.460.14-1.07-2.12--
Book Value
348.04352.31337.27347.35393.38379.25
Book Value Per Share
8.068.157.818.040.010.01
Tangible Book Value
284.27284.76236.72241.03268.78264.46
Tangible Book Value Per Share
6.586.595.485.580.010.01
Updated May 11, 2026. Data Source: Fiscal.ai. Standard template. Financial Sources.