PriceSmart, Inc. (PSMT)
NASDAQ: PSMT · IEX Real-Time Price · USD
80.91
-0.67 (-0.82%)
At close: Apr 24, 2024, 4:00 PM
80.73
-0.18 (-0.22%)
After-hours: Apr 24, 2024, 5:37 PM EDT

PriceSmart Balance Sheet

Millions USD. Fiscal year is Sep - Aug.
Year 2023202220212020201920182017201620152014 2013 - 1996
Cash & Equivalents
242.85240.72205.71299.67102.7193.87162.89200.04157.13139.45
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Short-Term Investments
91.0811.1650.2346.5117.0532.30000
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Cash & Cash Equivalents
333.93251.88255.94346.18119.75126.17162.89200.04157.13139.45
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Cash Growth
32.57%-1.59%-26.07%189.08%-5.09%-22.55%-18.57%27.31%12.68%9.07%
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Receivables
17.913.3912.3613.159.878.866.467.469.667.91
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Inventory
471.41464.41389.71309.51331.27321.03310.95282.91267.18226.38
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Other Current Assets
53.8743.8939.1930.173131.830.0722.1422.5423.44
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Total Current Assets
877.11773.58697.2699491.9487.85510.37512.55456.51397.18
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Property, Plant & Equipment
964.53869.05853.86811.81671.15594.4557.83473.05433.04426.33
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Long-Term Investments
19.8321.1820.3214.7114.2313.8113.5813.4411.7835.88
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Goodwill and Intangibles
43.1143.352.8655.3758.6861.3135.6435.6435.8736.11
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Other Long-Term Assets
101.03101.2881.5575.9360.4659.0260.0962.0654.0342.58
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Total Long-Term Assets
1,1291,0351,009957.82804.52728.54667.14584.18534.72540.89
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Total Assets
2,0061,8081,7061,6571,2961,2161,1781,097991.22938.07
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Accounts Payable
453.23408.41388.79373.17286.22255.74272.25267.17241.98223.56
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Deferred Revenue
32.6129.2326.923.5325.3423.0222.120.9220.1817.93
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Current Debt
36.4951.8127.9293.1733.4214.8618.3631.123.7811.85
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Other Current Liabilities
112.1490.0189.9478.462.4855.7550.6848.7151.1345.52
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Total Current Liabilities
634.48579.46533.55568.28407.45349.37363.38367.9337.07298.86
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Long-Term Debt
241.68222.05239.37236.7963.7187.7287.9473.5473.3779.59
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Other Long-Term Liabilities
22.4115.8216.6619.0326.9720.6717.4217.2214.2111.36
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Total Long-Term Liabilities
264.09237.87256.02255.8290.68108.39105.3690.7687.5790.95
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Total Liabilities
898.57817.33789.58824.09498.13457.75468.75458.66424.64389.81
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Total Debt
278.18273.87267.29329.9797.13102.58106.3104.6497.1491.44
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Debt Growth
1.57%2.46%-19.00%239.73%-5.31%-3.50%1.58%7.72%6.23%25.22%
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Retained Earnings
817.56736.89658.92582.49525.8473.95420.87351.06283.61215.61
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Comprehensive Income
-163.99-195.59-182.51-176.82-144.34-121.22-110.06-103.95-101.51-49.29
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Shareholders' Equity
1,107991.07915.35831.72797.35758708.77638.07566.58548.27
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Net Cash / Debt
55.76-21.98-11.3516.2122.6323.5956.695.459.9948.01
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Net Cash / Debt Growth
----28.36%-4.10%-58.31%-40.67%59.02%24.95%-12.45%
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Net Cash Per Share
1.81-0.72-0.370.540.750.781.893.192.011.61
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Working Capital
242.63194.12163.65130.7384.44138.49146.99144.65119.4498.32
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Book Value Per Share
35.9932.4030.1127.4926.4125.1723.6121.3218.9818.43
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Source: Financials are provided by Nasdaq Data Link and sourced from the audited annual (10-K) and quarterly (10-Q) reports submitted to the Securities and Exchange Commission (SEC).