CA Stock MarketDetailed Quotes

TNT.UN True North Commercial REIT

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  • 12.670
  • +0.200+1.60%
15min DelayMarket Closed Oct 16 16:00 ET
183.22MMarket Cap-3906P/E (TTM)

True North Commercial REIT 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
49.06%9.58M
5.20%8.2M
-5.84%8.95M
-5.84%8.95M
-17.49%6.38M
-20.51%6.43M
16.37%7.79M
73.50%9.5M
73.50%9.5M
27.78%7.74M
-Cash and cash equivalents
49.06%9.58M
5.20%8.2M
-5.84%8.95M
-5.84%8.95M
-17.49%6.38M
-20.51%6.43M
16.37%7.79M
73.50%9.5M
73.50%9.5M
27.78%7.74M
-Accounts receivable
-15.44%2.45M
4.31%2.64M
24.89%2.07M
24.89%2.07M
-10.89%2.43M
-31.19%2.9M
-34.94%2.53M
-25.25%1.66M
-25.25%1.66M
173.80%2.73M
-Other receivables
36.46%2.78M
-9.95%1.85M
3.84%2M
3.84%2M
12.47%2.18M
11.81%2.04M
10.92%2.05M
2.50%1.93M
2.50%1.93M
-2.27%1.94M
Total current assets
-49.76%46.59M
11.73%107.62M
-33.06%71.15M
-33.06%71.15M
143.02%50.04M
393.19%92.72M
501.52%96.32M
782.67%106.29M
782.67%106.29M
59.72%20.59M
Non current assets
Investments and advances
-9.15%1.21B
-9.37%1.21B
-6.72%1.25B
-6.72%1.25B
-10.93%1.28B
-5.33%1.33B
-4.68%1.34B
-4.49%1.34B
-4.49%1.34B
5.00%1.44B
-Long term equity investment
-28.50%483.35M
-20.35%542.48M
1.61%694.38M
1.61%694.38M
7.11%703.84M
-0.78%675.97M
-0.77%681.09M
0.33%683.39M
0.33%683.39M
-10.84%657.11M
-Including:Held to maturity investments
-89.47%243K
-80.86%347K
-0.82%1.93M
-0.82%1.93M
57.06%2.39M
169.19%2.31M
--1.81M
--1.94M
--1.94M
--1.52M
Financial assets
-2.55%2.6M
86.17%3.03M
-48.80%1.2M
-48.80%1.2M
10.20%2.95M
1.14%2.67M
-12.29%1.63M
--2.34M
--2.34M
--2.68M
Regulatory assets
-54.96%3.22M
-54.05%3.44M
-61.10%2.85M
-61.10%2.85M
-12.71%6.16M
26.64%7.15M
42.12%7.48M
98.43%7.32M
98.43%7.32M
398.37%7.05M
Liabilities
Current liabilities
Current debt and capital lease obligation
55.72%286.29M
56.77%281.33M
-28.75%126.61M
-28.75%126.61M
-41.12%118.38M
28.69%183.85M
31.01%179.45M
27.63%177.7M
27.63%177.7M
224.82%201.08M
-Current debt
55.72%286.29M
56.77%281.33M
-28.75%126.61M
-28.75%126.61M
-41.12%118.38M
28.69%183.85M
31.01%179.45M
27.63%177.7M
27.63%177.7M
224.82%201.08M
-accounts payable
-4.37%34.72M
-5.58%34.25M
-7.10%34.35M
-7.10%34.35M
37.53%33.44M
46.03%36.31M
60.95%36.27M
74.36%36.97M
74.36%36.97M
9.53%24.31M
-Total tax payable
-29.10%483.35M
-21.36%542.48M
0.08%698.61M
0.08%698.61M
5.63%709.04M
-2.65%681.76M
-2.57%689.86M
-0.84%698.02M
-0.84%698.02M
-11.65%671.28M
-Dividends payable
----
----
--0
--0
-49.82%2.34M
-48.93%2.34M
-48.67%2.34M
2.82%4.67M
2.82%4.67M
6.89%4.66M
Current deferred liabilities
8.52%7.75M
6.44%8.11M
8.95%9M
8.95%9M
-7.81%7.13M
-12.49%7.14M
5.34%7.62M
1.84%8.26M
1.84%8.26M
3.34%7.73M
Current liabilities
44.66%335.44M
44.60%329.7M
-25.16%172.26M
-25.16%172.26M
-31.84%163.74M
26.84%231.88M
30.77%228M
29.88%230.16M
29.88%230.16M
139.42%240.22M
Non current liabilities
Long term debt and capital lease obligation
----
----
--0
--0
--1.73M
--1.73M
--1.73M
--1.73M
--1.73M
----
Derivative product liabilities
----
----
----
----
----
----
----
----
----
--0
Long term provisions
-28.50%483.35M
-20.35%542.48M
1.61%694.38M
1.61%694.38M
7.11%703.84M
-0.78%675.97M
-0.77%681.09M
0.33%683.39M
0.33%683.39M
-10.84%657.11M
Preferred securities outside stock equity
63.16%341K
0.74%273K
-52.53%300K
-52.53%300K
-46.20%269K
-60.57%209K
-76.00%271K
-55.08%632K
-55.08%632K
-59.48%500K
Total non current liabilities
-10.38%818.79M
-4.98%872.18M
-6.17%870.87M
-6.17%870.87M
-4.25%872.78M
3.46%913.64M
4.02%917.86M
5.34%928.18M
5.34%928.18M
5.97%911.5M
Shareholders'equity
Share capital
-2.36%551.5M
-1.56%556.15M
-0.25%561.89M
-0.25%561.89M
0.52%564.66M
2.81%564.85M
3.20%564.97M
3.52%563.28M
3.52%563.28M
4.11%561.73M
-common stock
-2.36%551.5M
-1.56%556.15M
-0.25%561.89M
-0.25%561.89M
0.52%564.66M
2.81%564.85M
3.20%564.97M
3.52%563.28M
3.52%563.28M
4.11%561.73M
Total equity
-11.78%1.26B
-7.86%1.32B
-8.73%1.32B
-8.73%1.32B
-8.93%1.34B
-0.38%1.43B
0.69%1.44B
2.05%1.45B
2.05%1.45B
5.59%1.47B
(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 49.06%9.58M5.20%8.2M-5.84%8.95M-5.84%8.95M-17.49%6.38M-20.51%6.43M16.37%7.79M73.50%9.5M73.50%9.5M27.78%7.74M
-Cash and cash equivalents 49.06%9.58M5.20%8.2M-5.84%8.95M-5.84%8.95M-17.49%6.38M-20.51%6.43M16.37%7.79M73.50%9.5M73.50%9.5M27.78%7.74M
-Accounts receivable -15.44%2.45M4.31%2.64M24.89%2.07M24.89%2.07M-10.89%2.43M-31.19%2.9M-34.94%2.53M-25.25%1.66M-25.25%1.66M173.80%2.73M
-Other receivables 36.46%2.78M-9.95%1.85M3.84%2M3.84%2M12.47%2.18M11.81%2.04M10.92%2.05M2.50%1.93M2.50%1.93M-2.27%1.94M
Total current assets -49.76%46.59M11.73%107.62M-33.06%71.15M-33.06%71.15M143.02%50.04M393.19%92.72M501.52%96.32M782.67%106.29M782.67%106.29M59.72%20.59M
Non current assets
Investments and advances -9.15%1.21B-9.37%1.21B-6.72%1.25B-6.72%1.25B-10.93%1.28B-5.33%1.33B-4.68%1.34B-4.49%1.34B-4.49%1.34B5.00%1.44B
-Long term equity investment -28.50%483.35M-20.35%542.48M1.61%694.38M1.61%694.38M7.11%703.84M-0.78%675.97M-0.77%681.09M0.33%683.39M0.33%683.39M-10.84%657.11M
-Including:Held to maturity investments -89.47%243K-80.86%347K-0.82%1.93M-0.82%1.93M57.06%2.39M169.19%2.31M--1.81M--1.94M--1.94M--1.52M
Financial assets -2.55%2.6M86.17%3.03M-48.80%1.2M-48.80%1.2M10.20%2.95M1.14%2.67M-12.29%1.63M--2.34M--2.34M--2.68M
Regulatory assets -54.96%3.22M-54.05%3.44M-61.10%2.85M-61.10%2.85M-12.71%6.16M26.64%7.15M42.12%7.48M98.43%7.32M98.43%7.32M398.37%7.05M
Liabilities
Current liabilities
Current debt and capital lease obligation 55.72%286.29M56.77%281.33M-28.75%126.61M-28.75%126.61M-41.12%118.38M28.69%183.85M31.01%179.45M27.63%177.7M27.63%177.7M224.82%201.08M
-Current debt 55.72%286.29M56.77%281.33M-28.75%126.61M-28.75%126.61M-41.12%118.38M28.69%183.85M31.01%179.45M27.63%177.7M27.63%177.7M224.82%201.08M
-accounts payable -4.37%34.72M-5.58%34.25M-7.10%34.35M-7.10%34.35M37.53%33.44M46.03%36.31M60.95%36.27M74.36%36.97M74.36%36.97M9.53%24.31M
-Total tax payable -29.10%483.35M-21.36%542.48M0.08%698.61M0.08%698.61M5.63%709.04M-2.65%681.76M-2.57%689.86M-0.84%698.02M-0.84%698.02M-11.65%671.28M
-Dividends payable ----------0--0-49.82%2.34M-48.93%2.34M-48.67%2.34M2.82%4.67M2.82%4.67M6.89%4.66M
Current deferred liabilities 8.52%7.75M6.44%8.11M8.95%9M8.95%9M-7.81%7.13M-12.49%7.14M5.34%7.62M1.84%8.26M1.84%8.26M3.34%7.73M
Current liabilities 44.66%335.44M44.60%329.7M-25.16%172.26M-25.16%172.26M-31.84%163.74M26.84%231.88M30.77%228M29.88%230.16M29.88%230.16M139.42%240.22M
Non current liabilities
Long term debt and capital lease obligation ----------0--0--1.73M--1.73M--1.73M--1.73M--1.73M----
Derivative product liabilities --------------------------------------0
Long term provisions -28.50%483.35M-20.35%542.48M1.61%694.38M1.61%694.38M7.11%703.84M-0.78%675.97M-0.77%681.09M0.33%683.39M0.33%683.39M-10.84%657.11M
Preferred securities outside stock equity 63.16%341K0.74%273K-52.53%300K-52.53%300K-46.20%269K-60.57%209K-76.00%271K-55.08%632K-55.08%632K-59.48%500K
Total non current liabilities -10.38%818.79M-4.98%872.18M-6.17%870.87M-6.17%870.87M-4.25%872.78M3.46%913.64M4.02%917.86M5.34%928.18M5.34%928.18M5.97%911.5M
Shareholders'equity
Share capital -2.36%551.5M-1.56%556.15M-0.25%561.89M-0.25%561.89M0.52%564.66M2.81%564.85M3.20%564.97M3.52%563.28M3.52%563.28M4.11%561.73M
-common stock -2.36%551.5M-1.56%556.15M-0.25%561.89M-0.25%561.89M0.52%564.66M2.81%564.85M3.20%564.97M3.52%563.28M3.52%563.28M4.11%561.73M
Total equity -11.78%1.26B-7.86%1.32B-8.73%1.32B-8.73%1.32B-8.93%1.34B-0.38%1.43B0.69%1.44B2.05%1.45B2.05%1.45B5.59%1.47B

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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