CA Stock MarketDetailed Quotes

CRR.UN Crombie Real Estate Investment Trust

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  • 12.620
  • -0.070-0.55%
15min DelayMarket Closed Jul 5 16:00 ET
2.30BMarket Cap-38593P/E (TTM)

Crombie Real Estate Investment Trust Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
35.65%12.28M
--0
--0
-92.77%110K
-84.82%231K
--9.05M
56.25%6.12M
56.25%6.12M
--1.52M
--1.52M
-Cash and cash equivalents
35.65%12.28M
--0
--0
-92.77%110K
-84.82%231K
--9.05M
56.25%6.12M
56.25%6.12M
--1.52M
--1.52M
-Accounts receivable
7.16%20.82M
-10.91%17.21M
-10.91%17.21M
-10.31%18.15M
7.69%24.54M
1.22%19.43M
-20.96%19.32M
-20.96%19.32M
-34.90%20.24M
-14.37%22.78M
-Notes receivable
8.92%7.5M
9.02%7.43M
9.02%7.43M
-15.78%7.01M
-15.89%6.95M
-16.01%6.88M
-16.13%6.82M
-16.13%6.82M
-2.90%8.33M
-2.93%8.26M
-Due from related parties current
-27.04%8.74M
46.04%17.99M
46.04%17.99M
-44.72%12.28M
-0.83%12.14M
0.12%11.97M
-28.11%12.32M
-28.11%12.32M
28.98%22.22M
-38.23%12.24M
-Other receivables
-34.55%28.82M
-23.48%42.65M
-23.48%42.65M
-42.39%30.19M
-29.70%38.61M
-17.14%44.04M
-21.94%55.74M
-21.94%55.74M
12.85%52.41M
1.81%54.92M
Holding assets for sale
--10.58M
----
----
----
----
----
----
----
47.45%43.23M
275.24%43.72M
Total current assets
21.07%61.97M
-8.36%49.16M
-8.36%49.16M
-59.07%49.36M
-44.53%65.06M
-6.98%51.19M
-22.57%53.64M
-22.57%53.64M
8.10%120.6M
-0.32%117.29M
Non current assets
Investments and advances
1.49%3.65B
0.95%3.62B
0.95%3.62B
0.87%3.62B
-0.46%3.61B
-1.54%3.6B
1.23%3.59B
1.23%3.59B
0.18%3.59B
1.02%3.63B
-Long term equity investment
5.69%1.87B
7.24%1.97B
7.24%1.97B
4.82%1.91B
0.73%1.87B
-4.50%1.77B
-4.93%1.83B
-4.93%1.83B
-16.39%1.82B
-16.06%1.86B
-Including:Held to maturity investments
-57.37%1.68M
-55.04%2.22M
-55.04%2.22M
-23.40%3.76M
9.35%4.42M
59.25%3.94M
877.32%4.94M
877.32%4.94M
--4.91M
--4.04M
Financial assets
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Due from related parties non current
10.82%11.7M
17.22%12.07M
17.22%12.07M
16.81%12.34M
4.73%10.82M
-2.27%10.56M
-1.80%10.3M
-1.80%10.3M
4.28%10.57M
4.45%10.33M
Regulatory assets
-5.67%30.2M
11.14%35.83M
11.14%35.83M
-27.87%31.06M
4.71%37.29M
0.87%32.01M
-23.50%32.24M
-23.50%32.24M
-11.90%43.06M
-24.17%35.62M
Non current deferred assets
5.01%128.09M
5.44%127.13M
5.44%127.13M
3.67%125.07M
1.93%122.93M
1.51%121.99M
2.25%120.58M
2.25%120.58M
2.33%120.64M
4.25%120.6M
Liabilities
Current liabilities
Current debt and capital lease obligation
-5.30%316.18M
-10.71%221.36M
-10.71%221.36M
-29.05%256.35M
-26.94%269.25M
4.06%333.88M
-23.82%247.9M
-23.82%247.9M
45.16%361.3M
68.44%368.54M
-Current debt
-5.83%313.52M
-10.75%220.41M
-10.75%220.41M
-29.13%255.41M
-27.02%268.28M
4.06%332.93M
-23.89%246.96M
-23.89%246.96M
45.32%360.39M
68.71%367.62M
-Current capital lease obligation
180.02%2.66M
-0.21%941K
-0.21%941K
2.85%939K
6.43%977K
4.51%951K
1.18%943K
1.18%943K
-0.44%913K
2.23%918K
-accounts payable
32.86%44.61M
11.63%33.52M
11.63%33.52M
23.68%31.98M
94.64%30.97M
-11.05%33.57M
-12.09%30.03M
-12.09%30.03M
9.11%25.85M
4.73%15.91M
-Total tax payable
5.57%1.9B
7.11%1.99B
7.11%1.99B
4.49%1.94B
0.46%1.9B
-4.71%1.8B
-5.02%1.86B
-5.02%1.86B
-16.17%1.85B
-15.77%1.89B
-Dividends payable
1.58%13.48M
1.52%13.43M
1.52%13.43M
1.45%13.38M
1.36%13.32M
1.27%13.27M
8.24%13.23M
8.24%13.23M
8.14%13.19M
7.83%13.15M
-Due to related parties current
683.33%1.22M
940.38%1.62M
940.38%1.62M
737.18%1.31M
-22.44%121K
0.00%156K
119.72%156K
119.72%156K
-45.64%156K
-68.99%156K
-Other payable
2.79%255.12M
4.29%258.5M
4.29%258.5M
6.83%253.53M
4.54%249M
4.98%248.19M
5.98%247.88M
5.98%247.88M
0.29%237.32M
-1.11%238.19M
Current deferred liabilities
-12.37%12.81M
-9.19%14.14M
-9.19%14.14M
-6.79%14.59M
-11.36%15.72M
2.94%14.62M
-9.72%15.57M
-9.72%15.57M
2.21%15.65M
0.10%17.74M
Current liabilities
-5.01%420.91M
-9.95%329.73M
-9.95%329.73M
-25.73%350.21M
-21.74%371.09M
-0.02%443.13M
-21.33%366.16M
-21.33%366.16M
33.65%471.55M
45.98%474.15M
Non current liabilities
-Long term debt
-1.72%33.45M
3.80%35.35M
3.80%35.35M
-0.83%33.76M
-0.28%34.01M
-0.45%34.03M
-1.05%34.06M
-1.05%34.06M
-1.66%34.04M
-1.54%34.11M
Non current accrued expenses
-8.65%9.39M
-7.10%9.63M
-7.10%9.63M
-5.97%9.77M
-2.82%10.19M
-3.10%10.28M
-5.55%10.37M
-5.55%10.37M
-7.85%10.4M
-7.51%10.49M
Due to related parties non current
--0
--0
--0
--0
----
----
--0
--0
----
----
Derivative product liabilities
----
----
----
----
--0
--0
----
----
--0
--0
Long term provisions
5.83%1.84B
7.30%1.93B
7.30%1.93B
4.92%1.88B
0.75%1.84B
-4.58%1.74B
-5.00%1.8B
-5.00%1.8B
-16.63%1.79B
-16.29%1.83B
Employee benefits
-1.53%23.53M
-0.86%24.28M
-0.86%24.28M
-18.07%21.32M
-17.48%22.63M
-18.44%23.9M
-11.78%24.49M
-11.78%24.49M
0.02%26.02M
6.80%27.42M
Preferred securities outside stock equity
5.58%3.78M
-14.77%3.01M
-14.77%3.01M
-19.49%2.42M
-17.36%3.09M
-10.40%3.58M
-27.59%3.53M
-27.59%3.53M
-19.44%3M
0.81%3.74M
Total non current liabilities
3.48%2.32B
4.31%2.32B
4.31%2.32B
-1.64%2.29B
-3.99%2.27B
-3.82%2.24B
-8.15%2.23B
-8.15%2.23B
-9.32%2.32B
-7.97%2.37B
Shareholders'equity
Share capital
-1.26%1.82B
-1.40%1.82B
-1.40%1.82B
2.40%1.84B
2.37%1.84B
3.02%1.84B
15.84%1.85B
15.84%1.85B
15.85%1.79B
15.10%1.79B
-common stock
-1.26%1.82B
-1.40%1.82B
-1.40%1.82B
2.40%1.84B
2.37%1.84B
3.02%1.84B
15.84%1.85B
15.84%1.85B
15.85%1.79B
15.10%1.79B
Noncontrolling interests
-19.12%31.59M
-23.81%30.78M
-23.81%30.78M
-7.63%39.05M
-17.87%35.69M
-5.80%39.06M
-8.62%40.4M
-8.62%40.4M
-21.73%42.28M
-14.24%43.46M
Total equity
1.34%4.14B
1.72%4.15B
1.72%4.15B
0.12%4.12B
-1.24%4.11B
-0.85%4.09B
1.38%4.08B
1.38%4.08B
0.16%4.12B
0.74%4.16B
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 35.65%12.28M--0--0-92.77%110K-84.82%231K--9.05M56.25%6.12M56.25%6.12M--1.52M--1.52M
-Cash and cash equivalents 35.65%12.28M--0--0-92.77%110K-84.82%231K--9.05M56.25%6.12M56.25%6.12M--1.52M--1.52M
-Accounts receivable 7.16%20.82M-10.91%17.21M-10.91%17.21M-10.31%18.15M7.69%24.54M1.22%19.43M-20.96%19.32M-20.96%19.32M-34.90%20.24M-14.37%22.78M
-Notes receivable 8.92%7.5M9.02%7.43M9.02%7.43M-15.78%7.01M-15.89%6.95M-16.01%6.88M-16.13%6.82M-16.13%6.82M-2.90%8.33M-2.93%8.26M
-Due from related parties current -27.04%8.74M46.04%17.99M46.04%17.99M-44.72%12.28M-0.83%12.14M0.12%11.97M-28.11%12.32M-28.11%12.32M28.98%22.22M-38.23%12.24M
-Other receivables -34.55%28.82M-23.48%42.65M-23.48%42.65M-42.39%30.19M-29.70%38.61M-17.14%44.04M-21.94%55.74M-21.94%55.74M12.85%52.41M1.81%54.92M
Holding assets for sale --10.58M----------------------------47.45%43.23M275.24%43.72M
Total current assets 21.07%61.97M-8.36%49.16M-8.36%49.16M-59.07%49.36M-44.53%65.06M-6.98%51.19M-22.57%53.64M-22.57%53.64M8.10%120.6M-0.32%117.29M
Non current assets
Investments and advances 1.49%3.65B0.95%3.62B0.95%3.62B0.87%3.62B-0.46%3.61B-1.54%3.6B1.23%3.59B1.23%3.59B0.18%3.59B1.02%3.63B
-Long term equity investment 5.69%1.87B7.24%1.97B7.24%1.97B4.82%1.91B0.73%1.87B-4.50%1.77B-4.93%1.83B-4.93%1.83B-16.39%1.82B-16.06%1.86B
-Including:Held to maturity investments -57.37%1.68M-55.04%2.22M-55.04%2.22M-23.40%3.76M9.35%4.42M59.25%3.94M877.32%4.94M877.32%4.94M--4.91M--4.04M
Financial assets --0--0--0--0--0--0--0--0--0--0
Due from related parties non current 10.82%11.7M17.22%12.07M17.22%12.07M16.81%12.34M4.73%10.82M-2.27%10.56M-1.80%10.3M-1.80%10.3M4.28%10.57M4.45%10.33M
Regulatory assets -5.67%30.2M11.14%35.83M11.14%35.83M-27.87%31.06M4.71%37.29M0.87%32.01M-23.50%32.24M-23.50%32.24M-11.90%43.06M-24.17%35.62M
Non current deferred assets 5.01%128.09M5.44%127.13M5.44%127.13M3.67%125.07M1.93%122.93M1.51%121.99M2.25%120.58M2.25%120.58M2.33%120.64M4.25%120.6M
Liabilities
Current liabilities
Current debt and capital lease obligation -5.30%316.18M-10.71%221.36M-10.71%221.36M-29.05%256.35M-26.94%269.25M4.06%333.88M-23.82%247.9M-23.82%247.9M45.16%361.3M68.44%368.54M
-Current debt -5.83%313.52M-10.75%220.41M-10.75%220.41M-29.13%255.41M-27.02%268.28M4.06%332.93M-23.89%246.96M-23.89%246.96M45.32%360.39M68.71%367.62M
-Current capital lease obligation 180.02%2.66M-0.21%941K-0.21%941K2.85%939K6.43%977K4.51%951K1.18%943K1.18%943K-0.44%913K2.23%918K
-accounts payable 32.86%44.61M11.63%33.52M11.63%33.52M23.68%31.98M94.64%30.97M-11.05%33.57M-12.09%30.03M-12.09%30.03M9.11%25.85M4.73%15.91M
-Total tax payable 5.57%1.9B7.11%1.99B7.11%1.99B4.49%1.94B0.46%1.9B-4.71%1.8B-5.02%1.86B-5.02%1.86B-16.17%1.85B-15.77%1.89B
-Dividends payable 1.58%13.48M1.52%13.43M1.52%13.43M1.45%13.38M1.36%13.32M1.27%13.27M8.24%13.23M8.24%13.23M8.14%13.19M7.83%13.15M
-Due to related parties current 683.33%1.22M940.38%1.62M940.38%1.62M737.18%1.31M-22.44%121K0.00%156K119.72%156K119.72%156K-45.64%156K-68.99%156K
-Other payable 2.79%255.12M4.29%258.5M4.29%258.5M6.83%253.53M4.54%249M4.98%248.19M5.98%247.88M5.98%247.88M0.29%237.32M-1.11%238.19M
Current deferred liabilities -12.37%12.81M-9.19%14.14M-9.19%14.14M-6.79%14.59M-11.36%15.72M2.94%14.62M-9.72%15.57M-9.72%15.57M2.21%15.65M0.10%17.74M
Current liabilities -5.01%420.91M-9.95%329.73M-9.95%329.73M-25.73%350.21M-21.74%371.09M-0.02%443.13M-21.33%366.16M-21.33%366.16M33.65%471.55M45.98%474.15M
Non current liabilities
-Long term debt -1.72%33.45M3.80%35.35M3.80%35.35M-0.83%33.76M-0.28%34.01M-0.45%34.03M-1.05%34.06M-1.05%34.06M-1.66%34.04M-1.54%34.11M
Non current accrued expenses -8.65%9.39M-7.10%9.63M-7.10%9.63M-5.97%9.77M-2.82%10.19M-3.10%10.28M-5.55%10.37M-5.55%10.37M-7.85%10.4M-7.51%10.49M
Due to related parties non current --0--0--0--0----------0--0--------
Derivative product liabilities ------------------0--0----------0--0
Long term provisions 5.83%1.84B7.30%1.93B7.30%1.93B4.92%1.88B0.75%1.84B-4.58%1.74B-5.00%1.8B-5.00%1.8B-16.63%1.79B-16.29%1.83B
Employee benefits -1.53%23.53M-0.86%24.28M-0.86%24.28M-18.07%21.32M-17.48%22.63M-18.44%23.9M-11.78%24.49M-11.78%24.49M0.02%26.02M6.80%27.42M
Preferred securities outside stock equity 5.58%3.78M-14.77%3.01M-14.77%3.01M-19.49%2.42M-17.36%3.09M-10.40%3.58M-27.59%3.53M-27.59%3.53M-19.44%3M0.81%3.74M
Total non current liabilities 3.48%2.32B4.31%2.32B4.31%2.32B-1.64%2.29B-3.99%2.27B-3.82%2.24B-8.15%2.23B-8.15%2.23B-9.32%2.32B-7.97%2.37B
Shareholders'equity
Share capital -1.26%1.82B-1.40%1.82B-1.40%1.82B2.40%1.84B2.37%1.84B3.02%1.84B15.84%1.85B15.84%1.85B15.85%1.79B15.10%1.79B
-common stock -1.26%1.82B-1.40%1.82B-1.40%1.82B2.40%1.84B2.37%1.84B3.02%1.84B15.84%1.85B15.84%1.85B15.85%1.79B15.10%1.79B
Noncontrolling interests -19.12%31.59M-23.81%30.78M-23.81%30.78M-7.63%39.05M-17.87%35.69M-5.80%39.06M-8.62%40.4M-8.62%40.4M-21.73%42.28M-14.24%43.46M
Total equity 1.34%4.14B1.72%4.15B1.72%4.15B0.12%4.12B-1.24%4.11B-0.85%4.09B1.38%4.08B1.38%4.08B0.16%4.12B0.74%4.16B

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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