Crombie Real Estate Investment Trust
CRR-UN.TO · TSX
9/30/2025 | 6/30/2025 | 3/31/2025 | 12/31/2024 | |
|---|---|---|---|---|
| Market Cap | CA$2,799,629 | CA$2,750,282 | CA$2,627,187 | CA$2,426,109 |
| - Cash | CA$4,791 | CA$2,665 | CA$23,519 | CA$10,021 |
| + Debt | CA$2,386,832 | CA$2,386,361 | CA$2,420,776 | CA$2,417,165 |
| Enterprise Value | CA$5,181,670 | CA$5,133,978 | CA$5,024,444 | CA$4,833,253 |
| Revenue | CA$124,512 | CA$127,082 | CA$123,813 | CA$122,992 |
| % Growth | -2% | 2.6% | 0.7% | – |
| Gross Profit | CA$54,122 | CA$84,629 | CA$78,244 | CA$79,547 |
| % Margin | 43.5% | 66.6% | 63.2% | 64.7% |
| EBITDA | CA$85,121 | CA$82,591 | CA$70,662 | CA$122,869 |
| % Margin | 68.4% | 65% | 57.1% | 99.9% |
| Net Income | -CA$11,306 | CA$36,435 | CA$23,992 | CA$76,143 |
| % Margin | -9.1% | 28.7% | 19.4% | 61.9% |
| EPS Diluted | -0.061 | -0.028 | -0.1 | 0.21 |
| % Growth | -120.7% | 72.4% | -147.6% | – |
| Operating Cash Flow | CA$42,054 | CA$46,854 | CA$74,769 | CA$94,103 |
| Capital Expenditures | -CA$116 | -CA$148 | -CA$8 | -CA$150 |
| Free Cash Flow | CA$41,938 | CA$46,706 | CA$74,761 | CA$93,953 |