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Symbol | Exchange | Currency | ||
---|---|---|---|---|
RETa | TSXV | CAD | Delayed | |
RET | TSXV | CAD | Delayed | |
RETa | CBOE Canada | CAD | Real-time |
For the fiscal year ended 29 January 2022, Reitmans (Canada) Limited revenues increased 24% to C$662M. Net income before extraordinary items totaled C$143.2M vs. loss of C$100M. Revenues reflect Retail Sales, Total increase of 24% to C$662M. Net Income reflects Merchandise Margins, Total -% increase of 15% to 53.3%, Restructuring costs decrease from C$26.5M (expense) to C$12.2M (income).
Period Ending: | Jan 29, 2022 | Jul 31, 2021 | May 01, 2021 | Jan 30, 2021 |
---|---|---|---|---|
Total Revenue | 190.22 | 172.3 | 121.25 | 144.69 |
Gross Profit | 96.21 | 95.75 | 59.86 | 64.89 |
Operating Income | 96.15 | 25.02 | 0.4 | -11.8 |
Net Income | 97.32 | 34.11 | -0 | -10.92 |
Period Ending: | Jan 29, 2022 | Jul 31, 2021 | May 01, 2021 | Jan 30, 2021 |
---|---|---|---|---|
Total Assets | 314.27 | 355.26 | 341.38 | 397.23 |
Total Liabilities | 130.45 | 299.34 | 319.5 | 375.55 |
Total Equity | 183.83 | 55.92 | 21.88 | 21.68 |
Period Ending: | Jan 29, 2022 | Jul 31, 2021 | May 01, 2021 | Jan 30, 2021 |
---|---|---|---|---|
Period Length: | 12 Months | 6 Months | 3 Months | 12 Months |
Cash From Operating Activities | -24.73 | 36.91 | 3.98 | 40.2 |
Cash From Investing Activities | -15.22 | -2.85 | -0.94 | -6.16 |
Cash From Financing Activities | -9.19 | -20.27 | -9.49 | -46.82 |
Net Change in Cash | -49.66 | 12.43 | -8.07 | -11.49 |
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