Reitmans (Canada) Limited

RET.V · TSXV
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10/31/2025
7/31/2025
4/30/2025
1/31/2025
Operating Activities
Net IncomeCA$1CA$13-CA$10-CA$4
Dep. & Amort.CA$14CA$14CA$14CA$14
Deferred TaxCA$0CA$5-CA$4-CA$2
Stock-Based Comp.CA$0CA$0CA$0CA$0
Change in WC-CA$6CA$25-CA$51CA$45
Other Non-CashCA$0CA$1CA$4-CA$3
Operating Cash FlowCA$10CA$59-CA$47CA$50
Investing Activities
PP&E Inv.-CA$11-CA$8-CA$12-CA$11
Net AcquisitionsCA$0CA$0CA$0CA$0
Inv. PurchasesCA$0CA$0CA$0CA$0
Inv. Sales/Matur.CA$0CA$0CA$0CA$0
Other Inv. Act.CA$0CA$0CA$0CA$0
Investing Cash Flow-CA$11-CA$8-CA$12-CA$11
Financing Activities
Debt Repay.-CA$7-CA$12-CA$15-CA$7
Stock IssuedCA$0CA$0CA$1CA$0
Stock Repurch.-CA$0-CA$0-CA$0-CA$0
Dividends PaidCA$0CA$0CA$0CA$0
Other Fin. Act.CA$0CA$0CA$0CA$0
Financing Cash Flow-CA$7-CA$12-CA$14-CA$7
Forex EffectCA$2CA$1CA$0CA$4
Net Chg. in Cash-CA$6CA$40-CA$73CA$35
Supplemental Information
Beg. CashCA$125CA$85CA$158CA$123
End CashCA$119CA$125CA$85CA$158
Free Cash Flow-CA$1CA$51-CA$59CA$38
Reitmans (Canada) Limited (RET.V) Financial Statements & Key Stats | AlphaPilot