Reitmans (Canada) Limited

RTMNF · OTC
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10/31/2025
7/31/2025
4/30/2025
1/31/2025
Valuation
PEG Ratio-0.46-0.01-0.020.03
FCF Yield-0.62%48.77%-54.03%28.41%
EV / EBITDA14.423.9263.8413.28
Quality
ROIC0.26%2.98%-1.78%-0.95%
Gross Margin56.22%56.87%55.66%51.85%
Cash Conversion Ratio11.604.504.68-11.90
Growth
Revenue 3-Year CAGR-0.47%-1.32%-1.93%-1.15%
Free Cash Flow Growth-101.30%186.40%-252.75%292.61%
Safety
Net Debt / EBITDA6.170.9624.48-0.27
Interest Coverage0.747.82-4.25-2.54
Efficiency
Inventory Turnover0.660.740.520.74
Cash Conversion Cycle82.8081.23150.1467.74