(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 | 45.38%1.61B | 99.94%1.9B | 94.31%2.24B | 94.31%2.24B | 209.43%1.09B | 122.03%1.11B | 46.47%950.61M | -8.33%1.15B | -8.33%1.15B | -64.51%352.62M |
-Cash and cash equivalents | 45.38%1.61B | 99.94%1.9B | 94.31%2.24B | 94.31%2.24B | 209.43%1.09B | 122.03%1.11B | 46.47%950.61M | -8.33%1.15B | -8.33%1.15B | -64.51%352.62M |
Receivables | 1.80%337.09M | 10.16%319.3M | -3.15%308.5M | -3.15%308.5M | 39.20%407.26M | 33.40%331.14M | 48.90%289.86M | 62.58%318.55M | 62.58%318.55M | 35.49%292.56M |
-Accounts receivable | 18.73%126.12M | 17.57%126.35M | -6.12%124.77M | -6.12%124.77M | 11.26%107M | 29.88%106.22M | 37.09%107.47M | 72.60%132.91M | 72.60%132.91M | 27.65%96.18M |
-Taxes receivable | -6.20%210.97M | 5.79%192.96M | -1.03%183.73M | -1.03%183.73M | 52.89%300.26M | 35.14%224.92M | 56.86%182.39M | 56.10%185.64M | 56.10%185.64M | 39.69%196.39M |
Inventory | -13.95%1.43B | -14.87%1.35B | -8.55%1.32B | -8.55%1.32B | -4.48%1.66B | 13.59%1.66B | 23.94%1.58B | 49.76%1.45B | 49.76%1.45B | 84.52%1.74B |
Prepaid assets | 5.57%150.77M | 2.48%146.65M | -3.38%137.2M | -3.38%137.2M | -0.09%136.5M | 17.53%142.82M | 21.58%143.11M | 0.75%142M | 0.75%142M | 3.62%136.63M |
Other current assets | -57.81%25.07M | -52.00%34.57M | -41.66%46.65M | -41.66%46.65M | -20.85%50.53M | 18.74%59.44M | 59.76%72.02M | 145.66%79.96M | 145.66%79.96M | 225.75%63.84M |
Total current assets | 7.46%3.57B | 23.41%3.77B | 28.52%4.06B | 28.52%4.06B | 27.74%3.36B | 39.25%3.32B | 32.57%3.05B | 20.83%3.16B | 20.83%3.16B | 13.97%2.63B |
Non current assets | ||||||||||
Net PPE | 19.27%2.92B | 22.49%2.82B | 25.56%2.81B | 25.56%2.81B | 19.01%2.46B | 26.90%2.45B | 28.50%2.31B | 29.33%2.24B | 29.33%2.24B | 24.21%2.07B |
-Gross PPE | 20.88%4.28B | 23.36%4.11B | 24.87%4.03B | 24.87%4.03B | 20.05%3.59B | 24.10%3.54B | 24.93%3.33B | 26.01%3.23B | 26.01%3.23B | 20.31%2.99B |
-Accumulated depreciation | -24.48%-1.36B | -25.33%-1.28B | -23.31%-1.22B | -23.31%-1.22B | -22.39%-1.12B | -18.25%-1.09B | -17.59%-1.02B | -19.08%-987.3M | -19.08%-987.3M | -12.38%-918.45M |
Goodwill and other intangible assets | -43.55%23.93M | -45.62%23.99M | -47.76%24.08M | -47.76%24.08M | -94.70%23.91M | -90.66%42.38M | -90.32%44.12M | -89.94%46.11M | -89.94%46.11M | -2.02%451.23M |
-Goodwill | -1.04%23.93M | -0.20%23.99M | -0.25%24.08M | -0.25%24.08M | -93.81%23.91M | -93.75%24.18M | -93.79%24.04M | -93.76%24.14M | -93.76%24.14M | -0.14%386.52M |
-Other intangible assets | ---- | ---- | ---- | ---- | ---- | -72.79%18.2M | -70.94%20.08M | -69.20%21.96M | -69.20%21.96M | -11.94%64.72M |
Non current deferred assets | 47.03%9.1M | 48.43%9.1M | 43.33%9.18M | 43.33%9.18M | 5.53%5.9M | 2.71%6.19M | 0.66%6.13M | 5.11%6.4M | 5.11%6.4M | -17.89%5.59M |
Non current prepaid assets | 26.97%38.11M | 19.39%34.56M | 11.87%31.83M | 11.87%31.83M | 12.14%29.84M | 14.06%30.02M | 20.77%28.95M | 18.12%28.45M | 18.12%28.45M | 10.79%26.61M |
Other non current assets | 27.75%183.41M | 26.39%167.83M | 21.36%154.86M | 21.36%154.86M | 10.23%135.19M | 19.90%143.57M | 17.31%132.78M | 18.13%127.6M | 18.13%127.6M | 18.54%122.65M |
Total non current assets | 18.88%3.17B | 21.53%3.06B | 23.85%3.03B | 23.85%3.03B | -0.67%2.66B | 5.32%2.67B | 5.19%2.52B | 5.15%2.45B | 5.15%2.45B | 18.34%2.68B |
Total assets | 12.54%6.74B | 22.56%6.83B | 26.48%7.09B | 26.48%7.09B | 13.43%6.02B | 21.78%5.99B | 18.61%5.57B | 13.45%5.61B | 13.45%5.61B | 16.13%5.31B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 4.89%350M | -4.07%323.58M | -0.96%363.63M | -0.96%363.63M | -8.27%359.9M | 2.83%333.67M | -2.37%337.32M | -16.01%367.14M | -16.01%367.14M | 36.30%392.34M |
-accounts payable | 6.17%317.35M | -9.00%261.61M | 101.72%348.44M | 101.72%348.44M | 2.81%309.32M | 15.00%298.91M | -6.69%287.46M | -40.38%172.73M | -40.38%172.73M | 32.50%300.87M |
-Total tax payable | -6.05%32.65M | 24.31%61.97M | -92.19%15.19M | -92.19%15.19M | -44.70%50.58M | -46.16%34.75M | 33.26%49.85M | 31.90%194.4M | 31.90%194.4M | 50.49%91.47M |
Current accrued expenses | -3.02%297.02M | 7.79%274.79M | -7.25%263.51M | -7.25%263.51M | 9.03%290.83M | 14.30%306.26M | -4.98%254.94M | 18.24%284.1M | 18.24%284.1M | 5.37%266.75M |
Current provisions | 1.98%49.1M | 21.38%54.62M | 11.00%61.63M | 11.00%61.63M | 14.72%52.69M | 14.83%48.15M | -5.93%45M | 33.19%55.53M | 33.19%55.53M | 51.01%45.93M |
Current debt and capital lease obligation | 28.24%278.07M | 20.87%254.44M | 19.86%249.27M | 19.86%249.27M | 15.43%217.14M | 10.49%216.84M | 18.08%210.51M | 10.04%207.97M | 10.04%207.97M | 7.22%188.11M |
-Current capital lease obligation | 28.24%278.07M | 20.87%254.44M | 19.86%249.27M | 19.86%249.27M | 15.43%217.14M | 10.49%216.84M | 18.08%210.51M | 10.04%207.97M | 10.04%207.97M | 7.22%188.11M |
Current deferred liabilities | 16.03%250.75M | 19.79%268.3M | 21.87%306.48M | 21.87%306.48M | 24.23%213.26M | 25.16%216.12M | 21.78%223.97M | 20.79%251.48M | 20.79%251.48M | 24.70%171.66M |
Other current liabilities | -5.54%69.01M | 24.91%74.93M | -22.09%60.63M | -22.09%60.63M | -13.68%63.82M | 44.50%73.05M | -5.66%59.98M | -7.52%77.82M | -7.52%77.82M | 43.17%73.93M |
Current liabilities | 5.93%1.47B | 10.09%1.38B | 9.32%1.63B | 9.32%1.63B | 9.47%1.45B | 14.84%1.39B | 4.13%1.26B | 6.18%1.49B | 6.18%1.49B | 18.32%1.32B |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 20.89%1.18B | 29.15%1.15B | 33.82%1.15B | 33.82%1.15B | 11.83%950.95M | 28.88%976.74M | 22.35%888.58M | 24.61%862.36M | 24.61%862.36M | 24.24%850.37M |
-Long term capital lease obligation | 20.89%1.18B | 29.15%1.15B | 33.82%1.15B | 33.82%1.15B | 11.83%950.95M | 28.88%976.74M | 22.35%888.58M | 24.61%862.36M | 24.61%862.36M | 24.24%850.37M |
Non current deferred liabilities | -47.74%28.88M | -46.55%29.15M | -46.41%29.52M | -46.41%29.52M | 5.80%53.83M | 3.73%55.26M | 2.77%54.53M | 3.25%55.08M | 3.25%55.08M | -15.72%50.88M |
Other non current liabilities | 37.95%34.14M | 41.01%32.47M | 45.71%29.2M | 45.71%29.2M | 57.24%27.65M | 54.56%24.75M | 60.08%23.03M | 47.18%20.04M | 47.18%20.04M | 39.29%17.59M |
Total non current liabilities | 15.96%1.24B | 23.16%1.23B | 27.18%1.23B | 27.18%1.23B | 10.65%1.05B | 25.35%1.07B | 20.97%994.7M | 21.19%966.04M | 21.19%966.04M | 19.09%947.4M |
Total liabilities | 10.31%2.71B | 15.87%2.61B | 16.34%2.86B | 16.34%2.86B | 9.96%2.5B | 19.20%2.46B | 10.96%2.25B | 11.61%2.46B | 11.61%2.46B | 18.64%2.27B |
Shareholders'equity | ||||||||||
Share capital | -2.47%593K | -1.31%602K | -0.82%606K | -0.82%606K | -0.98%606K | -0.65%608K | -0.65%610K | -0.81%611K | -0.81%611K | -1.45%612K |
-common stock | -2.47%593K | -1.31%602K | -0.82%606K | -0.82%606K | -0.98%606K | -0.65%608K | -0.65%610K | -0.81%611K | -0.81%611K | -1.45%612K |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Retained earnings | 14.82%3.75B | 26.47%3.94B | 33.98%3.92B | 33.98%3.92B | 14.95%3.3B | 23.94%3.27B | 26.19%3.12B | 16.45%2.93B | 16.45%2.93B | 19.88%2.87B |
Paid-in capital | 16.64%589.16M | 19.18%570.29M | 21.22%575.37M | 21.22%575.37M | 17.77%536.39M | 16.63%505.13M | 15.94%478.5M | 12.34%474.65M | 12.34%474.65M | 12.06%455.44M |
Gains losses not affecting retained earnings | -29.18%-309.82M | -6.29%-295.08M | -4.62%-264.26M | -4.62%-264.26M | -8.23%-315.83M | -12.98%-239.84M | -28.10%-277.61M | -28.92%-252.58M | -28.92%-252.58M | -98.83%-291.81M |
Total stockholders'equity | 14.10%4.03B | 27.10%4.22B | 34.40%4.23B | 34.40%4.23B | 16.01%3.53B | 23.64%3.53B | 24.44%3.32B | 14.92%3.15B | 14.92%3.15B | 14.32%3.04B |
Total equity | 14.10%4.03B | 27.10%4.22B | 34.40%4.23B | 34.40%4.23B | 16.01%3.53B | 23.64%3.53B | 24.44%3.32B | 14.92%3.15B | 14.92%3.15B | 14.32%3.04B |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
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