CA Stock MarketDetailed Quotes

DOL Dollarama Inc

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  • 133.480
  • -1.670-1.24%
15min DelayMarket Closed Sep 13 16:00 ET
37.61BMarket Cap34.58P/E (TTM)

Dollarama Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jul 28, 2024
(Q1)Apr 28, 2024
(FY)Jan 28, 2024
(Q4)Jan 28, 2024
(Q3)Oct 29, 2023
(Q2)Jul 30, 2023
(Q1)Apr 30, 2023
(FY)Jan 29, 2023
(Q4)Jan 29, 2023
(Q3)Oct 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
7.52%271.46M
16.08%292.6M
210.01%313.92M
210.01%313.92M
30.59%730.18M
256.28%252.48M
252.17%252.06M
42.50%101.26M
42.50%101.26M
476.46%559.16M
-Cash and cash equivalents
7.52%271.46M
16.08%292.6M
210.01%313.92M
210.01%313.92M
30.59%730.18M
256.28%252.48M
252.17%252.06M
42.50%101.26M
42.50%101.26M
476.46%559.16M
-Accounts receivable
4.81%35.85M
-38.40%28.76M
-42.31%32.47M
-42.31%32.47M
-14.08%35.19M
-1.37%34.21M
42.96%46.69M
114.36%56.29M
114.36%56.29M
59.44%40.96M
-Other receivables
----
----
12.36%89.2M
12.36%89.2M
----
----
----
19.41%79.39M
19.41%79.39M
----
Total current assets
-0.01%1.23B
-2.00%1.24B
13.15%1.31B
13.15%1.31B
4.66%1.73B
29.37%1.23B
61.16%1.27B
61.28%1.16B
61.28%1.16B
125.12%1.66B
Non current assets
-Accumulated depreciation
----
----
-13.78%-798.28M
-13.78%-798.28M
----
----
----
-14.14%-701.59M
-14.14%-701.59M
----
-Long term equity investment
24.01%4.38B
23.62%4.34B
17.06%4.08B
17.06%4.08B
5.10%4.06B
12.77%3.53B
13.85%3.51B
13.63%3.48B
13.63%3.48B
17.85%3.87B
-Including:Held to maturity investments
18.22%18.73M
-36.52%9.64M
-71.66%5.32M
-71.66%5.32M
-61.16%16.06M
52.55%15.84M
-32.84%15.18M
17.36%18.76M
17.36%18.76M
1,819.78%41.35M
Financial assets
--81.22M
----
----
----
----
----
----
----
----
--0
-Goodwill
1.66%908.83M
0.43%896.08M
0.36%895.62M
0.36%895.62M
0.31%892.68M
0.34%893.96M
0.14%892.27M
0.07%892.44M
0.07%892.44M
-0.06%889.88M
Regulatory assets
4.81%35.85M
-38.40%28.76M
5.49%59.38M
5.49%59.38M
-14.08%35.19M
-1.37%34.21M
42.96%46.69M
114.36%56.29M
114.36%56.29M
59.44%40.96M
Liabilities
Current liabilities
Current debt and capital lease obligation
-64.79%262.88M
-66.67%246.9M
-64.89%255.98M
-64.89%255.98M
4.23%754.18M
-13.57%746.57M
17.95%740.67M
33.07%729.12M
33.07%729.12M
239.46%723.56M
-Current debt
-95.58%22.78M
-97.20%14.38M
-95.79%21.46M
-95.79%21.46M
1.44%520.48M
-21.39%514.87M
27.11%513.24M
47.04%510.32M
47.04%510.32M
3,005.48%513.09M
-Current capital lease obligation
3.63%240.1M
2.24%232.53M
7.18%234.52M
7.18%234.52M
11.04%233.7M
10.93%231.7M
1.44%227.43M
8.93%218.81M
8.93%218.81M
7.04%210.47M
-accounts payable
6.33%329.9M
-1.31%319.51M
6.30%109.4M
6.30%109.4M
10.40%341.15M
-5.62%310.27M
10.56%323.74M
54.41%102.91M
54.41%102.91M
10.57%309.02M
-Total tax payable
22.80%4.51B
22.35%4.47B
15.89%4.2B
15.89%4.2B
4.43%4.2B
12.16%3.67B
12.97%3.65B
12.76%3.63B
12.76%3.63B
17.47%4.02B
-Dividends payable
29.34%25.95M
26.89%25.64M
25.27%19.83M
25.27%19.83M
26.03%20.03M
25.52%20.06M
24.68%20.21M
6.29%15.83M
6.29%15.83M
5.48%15.9M
Current accrued expenses
----
----
19.36%123.94M
19.36%123.94M
----
----
----
-4.35%103.83M
-4.35%103.83M
----
Current liabilities
-44.94%618.73M
-47.19%593.41M
-41.71%677.85M
-41.71%677.85M
2.90%1.15B
-10.06%1.12B
14.79%1.12B
27.52%1.16B
27.52%1.16B
100.31%1.12B
Non current liabilities
-Long term debt
18.76%2.12B
18.69%2.1B
5.33%1.83B
5.33%1.83B
11.60%1.82B
12.12%1.79B
14.29%1.77B
14.11%1.74B
14.11%1.74B
9.49%1.63B
Non current accrued expenses
18.24%3.04B
18.11%3.01B
9.47%2.74B
9.47%2.74B
14.12%2.71B
10.70%2.57B
11.22%2.55B
11.61%2.5B
11.61%2.5B
8.55%2.37B
Long term provisions
29.38%2.25B
28.63%2.24B
28.79%2.24B
28.79%2.24B
0.35%2.24B
13.44%1.74B
13.41%1.74B
13.15%1.74B
13.15%1.74B
24.82%2.23B
Total non current liabilities
6.93%5.13B
5.99%5.06B
1.91%4.88B
1.91%4.88B
4.10%5.35B
6.02%4.8B
13.40%4.78B
16.02%4.79B
16.02%4.79B
29.10%5.14B
Shareholders'equity
Share capital
149.88%1.29B
3.17%531.78M
7.18%523.13M
7.18%523.13M
7.19%526.45M
5.29%516.06M
4.29%515.46M
1.80%488.07M
1.80%488.07M
1.24%491.15M
-common stock
149.88%1.29B
3.17%531.78M
7.18%523.13M
7.18%523.13M
7.19%526.45M
5.29%516.06M
4.29%515.46M
1.80%488.07M
1.80%488.07M
1.24%491.15M
Additional paid-in capital
3.79%44.26M
-2.27%40.4M
16.08%49.54M
16.08%49.54M
12.19%43.17M
19.87%42.64M
25.53%41.34M
29.63%42.68M
29.63%42.68M
23.09%38.48M
Gains losses not affecting retained earnings
152.23%41.76M
164.92%41.98M
195.94%34.73M
195.94%34.73M
10.63%49.87M
550.75%16.56M
68.33%15.85M
3,711.08%11.74M
3,711.08%11.74M
281.84%45.07M
Noncontrolling interests
248.12%1.05B
19.38%342.9M
19.26%319.35M
19.26%319.35M
31.06%341.49M
29.13%301.86M
26.47%287.24M
26.35%267.77M
26.35%267.77M
38.97%260.56M
Total equity
26.29%6.31B
9.92%5.49B
9.21%5.26B
9.21%5.26B
9.57%5.67B
13.61%5B
19.06%4.99B
18.61%4.82B
18.61%4.82B
29.52%5.18B
(Q2)Jul 28, 2024(Q1)Apr 28, 2024(FY)Jan 28, 2024(Q4)Jan 28, 2024(Q3)Oct 29, 2023(Q2)Jul 30, 2023(Q1)Apr 30, 2023(FY)Jan 29, 2023(Q4)Jan 29, 2023(Q3)Oct 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 7.52%271.46M16.08%292.6M210.01%313.92M210.01%313.92M30.59%730.18M256.28%252.48M252.17%252.06M42.50%101.26M42.50%101.26M476.46%559.16M
-Cash and cash equivalents 7.52%271.46M16.08%292.6M210.01%313.92M210.01%313.92M30.59%730.18M256.28%252.48M252.17%252.06M42.50%101.26M42.50%101.26M476.46%559.16M
-Accounts receivable 4.81%35.85M-38.40%28.76M-42.31%32.47M-42.31%32.47M-14.08%35.19M-1.37%34.21M42.96%46.69M114.36%56.29M114.36%56.29M59.44%40.96M
-Other receivables --------12.36%89.2M12.36%89.2M------------19.41%79.39M19.41%79.39M----
Total current assets -0.01%1.23B-2.00%1.24B13.15%1.31B13.15%1.31B4.66%1.73B29.37%1.23B61.16%1.27B61.28%1.16B61.28%1.16B125.12%1.66B
Non current assets
-Accumulated depreciation ---------13.78%-798.28M-13.78%-798.28M-------------14.14%-701.59M-14.14%-701.59M----
-Long term equity investment 24.01%4.38B23.62%4.34B17.06%4.08B17.06%4.08B5.10%4.06B12.77%3.53B13.85%3.51B13.63%3.48B13.63%3.48B17.85%3.87B
-Including:Held to maturity investments 18.22%18.73M-36.52%9.64M-71.66%5.32M-71.66%5.32M-61.16%16.06M52.55%15.84M-32.84%15.18M17.36%18.76M17.36%18.76M1,819.78%41.35M
Financial assets --81.22M----------------------------------0
-Goodwill 1.66%908.83M0.43%896.08M0.36%895.62M0.36%895.62M0.31%892.68M0.34%893.96M0.14%892.27M0.07%892.44M0.07%892.44M-0.06%889.88M
Regulatory assets 4.81%35.85M-38.40%28.76M5.49%59.38M5.49%59.38M-14.08%35.19M-1.37%34.21M42.96%46.69M114.36%56.29M114.36%56.29M59.44%40.96M
Liabilities
Current liabilities
Current debt and capital lease obligation -64.79%262.88M-66.67%246.9M-64.89%255.98M-64.89%255.98M4.23%754.18M-13.57%746.57M17.95%740.67M33.07%729.12M33.07%729.12M239.46%723.56M
-Current debt -95.58%22.78M-97.20%14.38M-95.79%21.46M-95.79%21.46M1.44%520.48M-21.39%514.87M27.11%513.24M47.04%510.32M47.04%510.32M3,005.48%513.09M
-Current capital lease obligation 3.63%240.1M2.24%232.53M7.18%234.52M7.18%234.52M11.04%233.7M10.93%231.7M1.44%227.43M8.93%218.81M8.93%218.81M7.04%210.47M
-accounts payable 6.33%329.9M-1.31%319.51M6.30%109.4M6.30%109.4M10.40%341.15M-5.62%310.27M10.56%323.74M54.41%102.91M54.41%102.91M10.57%309.02M
-Total tax payable 22.80%4.51B22.35%4.47B15.89%4.2B15.89%4.2B4.43%4.2B12.16%3.67B12.97%3.65B12.76%3.63B12.76%3.63B17.47%4.02B
-Dividends payable 29.34%25.95M26.89%25.64M25.27%19.83M25.27%19.83M26.03%20.03M25.52%20.06M24.68%20.21M6.29%15.83M6.29%15.83M5.48%15.9M
Current accrued expenses --------19.36%123.94M19.36%123.94M-------------4.35%103.83M-4.35%103.83M----
Current liabilities -44.94%618.73M-47.19%593.41M-41.71%677.85M-41.71%677.85M2.90%1.15B-10.06%1.12B14.79%1.12B27.52%1.16B27.52%1.16B100.31%1.12B
Non current liabilities
-Long term debt 18.76%2.12B18.69%2.1B5.33%1.83B5.33%1.83B11.60%1.82B12.12%1.79B14.29%1.77B14.11%1.74B14.11%1.74B9.49%1.63B
Non current accrued expenses 18.24%3.04B18.11%3.01B9.47%2.74B9.47%2.74B14.12%2.71B10.70%2.57B11.22%2.55B11.61%2.5B11.61%2.5B8.55%2.37B
Long term provisions 29.38%2.25B28.63%2.24B28.79%2.24B28.79%2.24B0.35%2.24B13.44%1.74B13.41%1.74B13.15%1.74B13.15%1.74B24.82%2.23B
Total non current liabilities 6.93%5.13B5.99%5.06B1.91%4.88B1.91%4.88B4.10%5.35B6.02%4.8B13.40%4.78B16.02%4.79B16.02%4.79B29.10%5.14B
Shareholders'equity
Share capital 149.88%1.29B3.17%531.78M7.18%523.13M7.18%523.13M7.19%526.45M5.29%516.06M4.29%515.46M1.80%488.07M1.80%488.07M1.24%491.15M
-common stock 149.88%1.29B3.17%531.78M7.18%523.13M7.18%523.13M7.19%526.45M5.29%516.06M4.29%515.46M1.80%488.07M1.80%488.07M1.24%491.15M
Additional paid-in capital 3.79%44.26M-2.27%40.4M16.08%49.54M16.08%49.54M12.19%43.17M19.87%42.64M25.53%41.34M29.63%42.68M29.63%42.68M23.09%38.48M
Gains losses not affecting retained earnings 152.23%41.76M164.92%41.98M195.94%34.73M195.94%34.73M10.63%49.87M550.75%16.56M68.33%15.85M3,711.08%11.74M3,711.08%11.74M281.84%45.07M
Noncontrolling interests 248.12%1.05B19.38%342.9M19.26%319.35M19.26%319.35M31.06%341.49M29.13%301.86M26.47%287.24M26.35%267.77M26.35%267.77M38.97%260.56M
Total equity 26.29%6.31B9.92%5.49B9.21%5.26B9.21%5.26B9.57%5.67B13.61%5B19.06%4.99B18.61%4.82B18.61%4.82B29.52%5.18B

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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