CA Stock MarketDetailed Quotes

QSR Restaurant Brands International Inc

Watchlist
  • 97.900
  • +0.960+0.99%
15min DelayMarket Closed Aug 15 16:00 ET
31.04BMarket Cap17.94P/E (TTM)

Restaurant Brands International Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-22.34%942M
1.55%1.05B
-3.31%1.14B
-3.31%1.14B
38.48%1.31B
44.75%1.21B
15.42%1.03B
8.37%1.18B
8.37%1.18B
-46.64%946M
-Cash and cash equivalents
-22.34%942M
1.55%1.05B
-3.31%1.14B
-3.31%1.14B
38.48%1.31B
44.75%1.21B
15.42%1.03B
8.37%1.18B
8.37%1.18B
-46.64%946M
-Accounts receivable
15.34%737M
22.39%749M
21.99%749M
21.99%749M
15.72%692M
15.97%639M
3.20%612M
12.25%614M
12.25%614M
11.36%598M
-Notes receivable
-17.07%34M
-14.63%35M
-15.00%34M
-15.00%34M
-10.87%41M
-12.77%41M
-14.58%41M
-14.89%40M
-14.89%40M
-30.30%46M
Total current assets
-7.31%2.03B
9.40%2.07B
6.10%2.17B
6.10%2.17B
23.86%2.38B
39.67%2.19B
12.28%1.89B
12.78%2.05B
12.78%2.05B
-25.54%1.92B
Non current assets
-Accumulated depreciation
-8.66%-1.23B
-10.44%-1.21B
-11.88%-1.19B
-11.88%-1.19B
-11.55%-1.14B
-10.22%-1.13B
-7.69%-1.09B
-8.38%-1.06B
-8.38%-1.06B
-6.13%-1.02B
Investments and advances
----
----
----
----
----
----
1.22%83M
----
----
5.06%83M
-Long term equity investment
7.04%15.2B
0.39%14.25B
0.28%14.27B
0.28%14.27B
-0.04%14.21B
-0.83%14.2B
-1.24%14.2B
-1.09%14.23B
-1.09%14.23B
2.80%14.22B
-Goodwill
3.04%17.41B
-0.20%16.67B
1.22%16.88B
1.22%16.88B
1.16%16.63B
-1.57%16.89B
-4.55%16.71B
-4.27%16.68B
-4.27%16.68B
0.25%16.44B
Regulatory assets
15.34%737M
22.39%749M
21.99%749M
21.99%749M
15.72%692M
15.97%639M
3.20%612M
12.25%614M
12.25%614M
11.36%598M
Liabilities
Current liabilities
Current debt and capital lease obligation
194.51%804M
-3.01%258M
-6.06%248M
-6.06%248M
-9.56%227M
7.91%273M
6.83%266M
11.86%264M
11.86%264M
0.40%251M
-Current debt
367.42%617M
-14.06%110M
-20.47%101M
-20.47%101M
1.16%87M
17.86%132M
21.90%128M
32.29%127M
32.29%127M
-23.89%86M
-Current capital lease obligation
32.62%187M
7.25%148M
7.30%147M
7.30%147M
-15.15%140M
0.00%141M
-4.17%138M
-2.14%137M
-2.14%137M
20.44%165M
-accounts payable
-2.04%720M
8.10%734M
4.22%790M
4.22%790M
-0.43%693M
4.26%735M
6.59%679M
23.45%758M
23.45%758M
17.57%696M
-Total tax payable
5.12%17.28B
0.32%16.39B
0.95%16.52B
0.95%16.52B
-1.54%16.34B
-3.76%16.44B
-6.04%16.33B
-6.58%16.36B
-6.58%16.36B
-2.75%16.6B
-Dividends payable
4.82%261M
4.82%261M
0.82%245M
0.82%245M
2.47%249M
2.47%249M
2.05%249M
0.83%243M
0.83%243M
-0.41%243M
-Other payable
32.60%1.33B
61.06%1.33B
27.86%1.26B
27.86%1.26B
-3.67%1.1B
18.34%1B
11.31%827M
29.53%987M
29.53%987M
54.94%1.15B
Current accrued expenses
39.90%277M
-0.45%221M
2.98%242M
2.98%242M
4.15%276M
11.86%198M
0.91%222M
5.38%235M
5.38%235M
20.45%265M
Current provisions
-40.91%13M
-44.83%16M
-37.93%18M
-37.93%18M
-20.00%16M
10.00%22M
-68.13%29M
-67.78%29M
-67.78%29M
17.65%20M
Current deferred liabilities
1.59%255M
18.34%271M
19.05%325M
19.05%325M
19.51%245M
19.52%251M
7.01%229M
1.49%273M
1.49%273M
9.04%205M
Current liabilities
29.81%2.62B
2.23%1.92B
1.32%2.14B
1.32%2.14B
7.86%2.07B
14.35%2.02B
2.95%1.88B
12.67%2.12B
12.67%2.12B
9.59%1.92B
Non current liabilities
-Long term debt
50.72%2.11B
3.20%1.42B
1.80%1.41B
1.80%1.41B
-1.03%1.35B
-2.71%1.4B
-6.52%1.38B
-5.45%1.39B
-5.45%1.39B
-5.99%1.37B
Non current accrued expenses
33.96%4.09B
1.72%3.07B
1.39%3.07B
1.39%3.07B
-0.17%2.96B
-1.49%3.05B
-4.49%3.02B
-4.20%3.03B
-4.20%3.03B
-5.17%2.97B
Derivative product liabilities
-25.00%87M
122.73%98M
567.65%227M
567.65%227M
--0
-50.43%116M
-89.57%44M
-94.09%34M
-94.09%34M
--0
Long term provisions
2.27%13.09B
0.09%12.83B
0.12%12.85B
0.12%12.85B
0.07%12.86B
-0.62%12.8B
-0.64%12.82B
-0.60%12.84B
-0.60%12.84B
3.83%12.85B
Employee benefits
-17.07%34M
-14.63%35M
-15.00%34M
-15.00%34M
-10.87%41M
-12.77%41M
-14.58%41M
-14.89%40M
-14.89%40M
-30.30%46M
Preferred securities outside stock equity
53.57%129M
21.82%67M
18.55%147M
18.55%147M
22.22%110M
25.37%84M
19.57%55M
25.25%124M
25.25%124M
16.88%90M
Total non current liabilities
7.82%19.9B
0.52%18.31B
0.99%18.66B
0.99%18.66B
-0.57%18.41B
-2.07%18.46B
-5.18%18.22B
-4.72%18.48B
-4.72%18.48B
-1.60%18.52B
Shareholders'equity
Share capital
-4.85%2.14B
-3.76%2.08B
-4.08%1.97B
-4.08%1.97B
15.43%2.27B
16.49%2.25B
4.76%2.16B
-4.59%2.06B
-4.59%2.06B
-21.12%1.96B
-common stock
-4.85%2.14B
-3.76%2.08B
-4.08%1.97B
-4.08%1.97B
15.43%2.27B
16.49%2.25B
4.76%2.16B
-4.59%2.06B
-4.59%2.06B
-21.12%1.96B
Gains losses not affecting retained earnings
-36.04%-804M
-4.33%-747M
-3.98%-706M
-3.98%-706M
12.06%-627M
-0.85%-591M
-24.96%-716M
4.37%-679M
4.37%-679M
5.31%-713M
Other equity interest
14.37%191M
17.48%121M
-3.25%119M
-3.25%119M
-11.95%221M
156.92%167M
14.44%103M
43.02%123M
43.02%123M
41.01%251M
Total equity
7.42%24.85B
2.75%23.15B
2.84%23.39B
2.84%23.39B
2.31%23.08B
1.67%23.13B
-2.79%22.53B
-2.15%22.75B
-2.15%22.75B
-1.62%22.56B
(Q2)Jun 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments -22.34%942M1.55%1.05B-3.31%1.14B-3.31%1.14B38.48%1.31B44.75%1.21B15.42%1.03B8.37%1.18B8.37%1.18B-46.64%946M
-Cash and cash equivalents -22.34%942M1.55%1.05B-3.31%1.14B-3.31%1.14B38.48%1.31B44.75%1.21B15.42%1.03B8.37%1.18B8.37%1.18B-46.64%946M
-Accounts receivable 15.34%737M22.39%749M21.99%749M21.99%749M15.72%692M15.97%639M3.20%612M12.25%614M12.25%614M11.36%598M
-Notes receivable -17.07%34M-14.63%35M-15.00%34M-15.00%34M-10.87%41M-12.77%41M-14.58%41M-14.89%40M-14.89%40M-30.30%46M
Total current assets -7.31%2.03B9.40%2.07B6.10%2.17B6.10%2.17B23.86%2.38B39.67%2.19B12.28%1.89B12.78%2.05B12.78%2.05B-25.54%1.92B
Non current assets
-Accumulated depreciation -8.66%-1.23B-10.44%-1.21B-11.88%-1.19B-11.88%-1.19B-11.55%-1.14B-10.22%-1.13B-7.69%-1.09B-8.38%-1.06B-8.38%-1.06B-6.13%-1.02B
Investments and advances ------------------------1.22%83M--------5.06%83M
-Long term equity investment 7.04%15.2B0.39%14.25B0.28%14.27B0.28%14.27B-0.04%14.21B-0.83%14.2B-1.24%14.2B-1.09%14.23B-1.09%14.23B2.80%14.22B
-Goodwill 3.04%17.41B-0.20%16.67B1.22%16.88B1.22%16.88B1.16%16.63B-1.57%16.89B-4.55%16.71B-4.27%16.68B-4.27%16.68B0.25%16.44B
Regulatory assets 15.34%737M22.39%749M21.99%749M21.99%749M15.72%692M15.97%639M3.20%612M12.25%614M12.25%614M11.36%598M
Liabilities
Current liabilities
Current debt and capital lease obligation 194.51%804M-3.01%258M-6.06%248M-6.06%248M-9.56%227M7.91%273M6.83%266M11.86%264M11.86%264M0.40%251M
-Current debt 367.42%617M-14.06%110M-20.47%101M-20.47%101M1.16%87M17.86%132M21.90%128M32.29%127M32.29%127M-23.89%86M
-Current capital lease obligation 32.62%187M7.25%148M7.30%147M7.30%147M-15.15%140M0.00%141M-4.17%138M-2.14%137M-2.14%137M20.44%165M
-accounts payable -2.04%720M8.10%734M4.22%790M4.22%790M-0.43%693M4.26%735M6.59%679M23.45%758M23.45%758M17.57%696M
-Total tax payable 5.12%17.28B0.32%16.39B0.95%16.52B0.95%16.52B-1.54%16.34B-3.76%16.44B-6.04%16.33B-6.58%16.36B-6.58%16.36B-2.75%16.6B
-Dividends payable 4.82%261M4.82%261M0.82%245M0.82%245M2.47%249M2.47%249M2.05%249M0.83%243M0.83%243M-0.41%243M
-Other payable 32.60%1.33B61.06%1.33B27.86%1.26B27.86%1.26B-3.67%1.1B18.34%1B11.31%827M29.53%987M29.53%987M54.94%1.15B
Current accrued expenses 39.90%277M-0.45%221M2.98%242M2.98%242M4.15%276M11.86%198M0.91%222M5.38%235M5.38%235M20.45%265M
Current provisions -40.91%13M-44.83%16M-37.93%18M-37.93%18M-20.00%16M10.00%22M-68.13%29M-67.78%29M-67.78%29M17.65%20M
Current deferred liabilities 1.59%255M18.34%271M19.05%325M19.05%325M19.51%245M19.52%251M7.01%229M1.49%273M1.49%273M9.04%205M
Current liabilities 29.81%2.62B2.23%1.92B1.32%2.14B1.32%2.14B7.86%2.07B14.35%2.02B2.95%1.88B12.67%2.12B12.67%2.12B9.59%1.92B
Non current liabilities
-Long term debt 50.72%2.11B3.20%1.42B1.80%1.41B1.80%1.41B-1.03%1.35B-2.71%1.4B-6.52%1.38B-5.45%1.39B-5.45%1.39B-5.99%1.37B
Non current accrued expenses 33.96%4.09B1.72%3.07B1.39%3.07B1.39%3.07B-0.17%2.96B-1.49%3.05B-4.49%3.02B-4.20%3.03B-4.20%3.03B-5.17%2.97B
Derivative product liabilities -25.00%87M122.73%98M567.65%227M567.65%227M--0-50.43%116M-89.57%44M-94.09%34M-94.09%34M--0
Long term provisions 2.27%13.09B0.09%12.83B0.12%12.85B0.12%12.85B0.07%12.86B-0.62%12.8B-0.64%12.82B-0.60%12.84B-0.60%12.84B3.83%12.85B
Employee benefits -17.07%34M-14.63%35M-15.00%34M-15.00%34M-10.87%41M-12.77%41M-14.58%41M-14.89%40M-14.89%40M-30.30%46M
Preferred securities outside stock equity 53.57%129M21.82%67M18.55%147M18.55%147M22.22%110M25.37%84M19.57%55M25.25%124M25.25%124M16.88%90M
Total non current liabilities 7.82%19.9B0.52%18.31B0.99%18.66B0.99%18.66B-0.57%18.41B-2.07%18.46B-5.18%18.22B-4.72%18.48B-4.72%18.48B-1.60%18.52B
Shareholders'equity
Share capital -4.85%2.14B-3.76%2.08B-4.08%1.97B-4.08%1.97B15.43%2.27B16.49%2.25B4.76%2.16B-4.59%2.06B-4.59%2.06B-21.12%1.96B
-common stock -4.85%2.14B-3.76%2.08B-4.08%1.97B-4.08%1.97B15.43%2.27B16.49%2.25B4.76%2.16B-4.59%2.06B-4.59%2.06B-21.12%1.96B
Gains losses not affecting retained earnings -36.04%-804M-4.33%-747M-3.98%-706M-3.98%-706M12.06%-627M-0.85%-591M-24.96%-716M4.37%-679M4.37%-679M5.31%-713M
Other equity interest 14.37%191M17.48%121M-3.25%119M-3.25%119M-11.95%221M156.92%167M14.44%103M43.02%123M43.02%123M41.01%251M
Total equity 7.42%24.85B2.75%23.15B2.84%23.39B2.84%23.39B2.31%23.08B1.67%23.13B-2.79%22.53B-2.15%22.75B-2.15%22.75B-1.62%22.56B

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.

Heat List
CA
Overall
Symbol
Latest Price
% Chg