PriceSmart, Inc. (PSMT)
NASDAQ: PSMT · Real-Time Price · USD
88.48
+0.78 (0.89%)
Nov 21, 2024, 4:00 PM EST - Market closed

PriceSmart Balance Sheet

Millions USD. Fiscal year is Sep - Aug.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 2019 - 2015
Period Ending
Aug '24 Aug '24 Aug '23 Aug '22 Aug '21 Aug '20 2019 - 2015
Cash & Equivalents
125.36125.36239.98237.71202.06299.48
Upgrade
Short-Term Investments
100.17100.1791.0811.1650.2346.51
Upgrade
Trading Asset Securities
4.484.48-2.76--
Upgrade
Cash & Short-Term Investments
230.01230.01331.07251.63252.29345.99
Upgrade
Cash Growth
-30.52%-30.52%31.57%-0.26%-27.08%182.59%
Upgrade
Accounts Receivable
18.8518.8517.913.3912.3613.15
Upgrade
Other Receivables
23.4123.4120.5215.9714.6612.69
Upgrade
Receivables
42.2642.2638.4329.3627.0225.85
Upgrade
Inventory
528.68528.68471.41464.41389.71309.51
Upgrade
Prepaid Expenses
30.0230.0233.3425.1724.5317.47
Upgrade
Restricted Cash
1.381.382.873.013.650.19
Upgrade
Total Current Assets
832.35832.35877.11773.58697.2699
Upgrade
Property, Plant & Equipment
1,0331,033964.53869.05853.86811.81
Upgrade
Long-Term Investments
8.368.3618.322.4213.0111.47
Upgrade
Goodwill
43.243.243.1143.345.145.21
Upgrade
Other Intangible Assets
----7.7610.17
Upgrade
Long-Term Deferred Tax Assets
36.6236.6232.0428.3624.2321.67
Upgrade
Other Long-Term Assets
69.6569.6570.5371.6964.6457.49
Upgrade
Total Assets
2,0232,0232,0061,8081,7061,657
Upgrade
Accounts Payable
485.96485.96453.23408.41388.79373.17
Upgrade
Accrued Expenses
79.479.479.7971.5270.6156.16
Upgrade
Short-Term Debt
8.018.018.6810.61-65.14
Upgrade
Current Portion of Long-Term Debt
37.137.120.1933.7219.419.44
Upgrade
Current Portion of Leases
7.377.377.627.498.538.59
Upgrade
Current Income Taxes Payable
6.526.529.437.248.317.73
Upgrade
Current Unearned Revenue
51.751.743.4338.4733.8228.24
Upgrade
Other Current Liabilities
4.14.112.1124.19.8
Upgrade
Total Current Liabilities
680.15680.15634.48579.46533.55568.28
Upgrade
Long-Term Debt
96.5496.54122.81103.56113.12117.3
Upgrade
Long-Term Leases
103.89103.89122.2118.5129.26124.18
Upgrade
Long-Term Deferred Tax Liabilities
1.641.641.942.171.571.71
Upgrade
Other Long-Term Liabilities
4.764.765.055.224.76.47
Upgrade
Total Liabilities
899.73899.73898.57817.33789.58824.09
Upgrade
Common Stock
000000
Upgrade
Additional Paid-In Capital
514.54514.54497.43481.41465.02454.46
Upgrade
Retained Earnings
890.27890.27817.56736.89658.92582.49
Upgrade
Treasury Stock
-117.26-117.26-43.96-31.64-26.08-28.41
Upgrade
Comprehensive Income & Other
-164.59-164.59-163.99-195.59-182.51-176.82
Upgrade
Total Common Equity
1,1231,1231,107991.07915.35831.72
Upgrade
Minority Interest
----0.871.01
Upgrade
Shareholders' Equity
1,1231,1231,107991.07916.21832.73
Upgrade
Total Liabilities & Equity
2,0232,0232,0061,8081,7061,657
Upgrade
Total Debt
252.91252.91281.5273.87270.3334.65
Upgrade
Net Cash (Debt)
-22.9-22.949.57-22.24-1811.34
Upgrade
Net Cash Growth
------49.37%
Upgrade
Net Cash Per Share
-0.76-0.761.61-0.73-0.590.37
Upgrade
Filing Date Shares Outstanding
29.9229.9229.8230.5330.4730.25
Upgrade
Total Common Shares Outstanding
29.8729.8730.6330.5330.3830.25
Upgrade
Working Capital
152.2152.2242.63194.12163.65130.73
Upgrade
Book Value Per Share
37.6037.6036.1432.4630.1327.49
Upgrade
Tangible Book Value
1,0801,0801,064947.77862.49776.35
Upgrade
Tangible Book Value Per Share
36.1536.1534.7331.0428.3925.66
Upgrade
Land
278.12278.12238.37224.28216.7215.43
Upgrade
Buildings
737.27737.27650.06592.75533.8498.96
Upgrade
Machinery
421.27421.27385.1343.86315.39287.07
Upgrade
Construction In Progress
85.2785.2799.5542.668.8444.36
Upgrade
Source: S&P Capital IQ. Standard template. Financial Sources.