DAVIDsTEA Inc. (DTEAF)
OTCMKTS: DTEAF · Delayed Price · USD
0.140
+0.005 (3.93%)
Jul 3, 2024, 12:32 PM EDT - Market closed

DAVIDsTEA Balance Sheet

Millions CAD. Fiscal year is Feb - Jan.
Year
20212020201920182017 2016 - 2014
Cash & Equivalents
25.1130.246.3442.0763.48
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Cash & Cash Equivalents
25.1130.246.3442.0763.48
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Cash Growth
-16.86%-34.83%10.13%-33.73%-1.48%
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Receivables
3.216.216.063.683.13
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Inventory
31.0523.4722.3634.3524.45
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Other Current Assets
4.1414.475.7412.9310.68
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Total Current Assets
63.5174.3580.593.03101.75
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Property, Plant & Equipment
12.862.9752.8223.7936.56
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Goodwill and Intangibles
2.233.936.345.684.44
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Other Long-Term Assets
00005.19
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Total Long-Term Assets
15.16.959.1629.4746.19
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Total Assets
78.681.24139.66122.5147.94
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Accounts Payable
12.34.1520.7920.9514.39
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Deferred Revenue
5.437.086.8514.9413.79
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Current Debt
2.360.416.4300
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Other Current Liabilities
0100.550-4.98-3.69
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Total Current Liabilities
20.1112.1844.0830.9124.5
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Long-Term Debt
10.190.3672.2300
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Other Long-Term Liabilities
00024.1422.07
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Total Long-Term Liabilities
10.190.3672.2324.1422.07
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Total Liabilities
30.29112.53116.3155.0446.57
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Total Debt
12.550.7588.6600
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Debt Growth
1571.50%-99.15%---
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Retained Earnings
-70.67-148.07-92.28-47.96-14.72
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Comprehensive Income
2.951.861.211.51.76
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Shareholders' Equity
48.32-31.2923.3567.46101.37
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Net Cash / Debt
12.5529.45-42.3342.0763.48
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Net Cash / Debt Growth
-57.37%---33.73%-1.48%
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Net Cash Per Share
0.451.13-1.621.622.47
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Working Capital
43.41-37.8336.4262.1377.25
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Book Value Per Share
1.83-1.200.902.603.94
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Source: Financials are provided by Nasdaq Data Link and sourced from audited reports submitted to the Securities and Exchange Commission (SEC).