Canadian Tire Corporation Ltd
TSX:CTC

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Canadian Tire Corporation Ltd
TSX:CTC
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Price: 231.75 CAD Market Closed
Market Cap: 7.7B CAD
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Cash Flow Statement

Cash Flow Statement
Canadian Tire Corporation Ltd

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Cash Flow Statement
Currency: CAD
Jun-2014 Sep-2014 Jan-2015 Apr-2015 Jul-2015 Oct-2015 Jan-2016 Apr-2016 Jul-2016 Oct-2016 Dec-2016 Apr-2017 Jul-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 Jan-2021 Apr-2021 Jul-2021 Oct-2021 Jan-2022 Apr-2022 Jul-2022 Oct-2022 Dec-2022 Apr-2023 Jul-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024
Operating Cash Flow
Net Income
591
624
639
652
659
701
736
733
746
724
748
770
788
789
819
810
767
800
783
781
811
807
895
810
608
707
863
1 037
1 294
1 247
1 261
1 292
1 210
1 156
1 183
1 008
957
705
339
392
489
Depreciation & Amortization
350
358
372
385
402
412
425
435
445
450
457
460
460
468
469
477
465
446
428
471
527
590
658
668
686
694
695
695
693
699
702
704
715
728
744
773
783
793
802
797
797
Other Non-Cash Items
158
48
322
327
302
343
321
310
300
312
327
346
380
375
407
389
382
407
463
497
504
533
529
496
499
525
601
672
714
674
650
656
640
148
634
168
(96)
856
940
740
1 025
Cash Taxes Paid
208
263
257
263
293
276
284
296
288
279
263
255
250
280
294
330
317
243
204
262
269
287
348
186
106
142
201
360
446
412
334
387
420
502
529
394
348
253
211
132
114
Cash Interest Paid
129
130
122
128
101
109
101
107
103
107
114
115
120
124
126
133
133
142
149
199
244
290
297
289
279
264
273
258
250
245
233
236
222
231
255
285
318
369
366
391
406
Change in Working Capital
(371)
(654)
(759)
(932)
(688)
(615)
(503)
(603)
(767)
(653)
(545)
(530)
(634)
(722)
(721)
(729)
(677)
(815)
(867)
(1 148)
(1 037)
(1 142)
(994)
(571)
409
862
284
(182)
(817)
(1 184)
(798)
(1 073)
(1 524)
(1 360)
(1 994)
(1 090)
(427)
(834)
(728)
(112)
(513)
Cash from Operating Activities
728
N/A
370
-49%
575
+56%
432
-25%
676
+56%
842
+25%
979
+16%
875
-11%
724
-17%
833
+15%
986
+18%
1 046
+6%
993
-5%
910
-8%
973
+7%
947
-3%
937
-1%
838
-11%
807
-4%
602
-26%
805
+34%
788
-2%
1 088
+38%
1 402
+29%
2 202
+57%
2 787
+27%
2 443
-12%
2 221
-9%
1 883
-15%
1 436
-24%
1 814
+26%
1 580
-13%
1 042
-34%
672
-36%
566
-16%
858
+52%
1 218
+42%
1 519
+25%
1 354
-11%
1 817
+34%
1 797
-1%
Investing Cash Flow
Capital Expenditures
(579)
(632)
(689)
(710)
(696)
(635)
(611)
(655)
(819)
(797)
(781)
(727)
(533)
(523)
(633)
(682)
(689)
(665)
(546)
(534)
(566)
(597)
(614)
(585)
(526)
(484)
(437)
(425)
(530)
(580)
(779)
(827)
(784)
(883)
(835)
(804)
(762)
(692)
(669)
(657)
(734)
Other Items
(9)
28
99
7
(103)
53
312
(5)
97
39
(2)
244
(121)
10
(7)
15
229
(734)
(762)
(778)
(735)
25
(145)
(105)
(167)
(386)
(412)
(413)
(367)
(132)
42
181
403
502
505
313
82
(9)
(79)
(57)
(49)
Cash from Investing Activities
(588)
N/A
(604)
-3%
(590)
+2%
(703)
-19%
(799)
-14%
(582)
+27%
(299)
+49%
(659)
-121%
(722)
-9%
(758)
-5%
(783)
-3%
(484)
+38%
(654)
-35%
(513)
+22%
(640)
-25%
(667)
-4%
(460)
+31%
(1 399)
-204%
(1 309)
+6%
(1 312)
0%
(1 300)
+1%
(571)
+56%
(759)
-33%
(691)
+9%
(692)
0%
(870)
-26%
(848)
+2%
(838)
+1%
(898)
-7%
(711)
+21%
(737)
-4%
(646)
+12%
(381)
+41%
(381)
0%
(330)
+13%
(491)
-49%
(680)
-39%
(701)
-3%
(748)
-7%
(714)
+5%
(784)
-10%
Financing Cash Flow
Net Issuance of Common Stock
(161)
(243)
(291)
(308)
(343)
(405)
(435)
(492)
(497)
(450)
(449)
(476)
(555)
(595)
(659)
(641)
(617)
(580)
(582)
(645)
(496)
(391)
(218)
(142)
(127)
(119)
(112)
(15)
(15)
(15)
(131)
(241)
(343)
(418)
(425)
(480)
(524)
(496)
(1 281)
(1 120)
(979)
Net Issuance of Debt
(188)
625
162
187
1 053
269
208
455
127
111
481
243
518
646
(18)
380
48
1 203
1 063
1 286
1 146
(341)
(204)
(198)
(328)
(1 040)
(1 019)
(1 268)
(1 690)
(890)
(492)
(597)
(353)
307
136
481
381
132
722
269
10
Cash Paid for Dividends
(117)
(127)
(141)
(147)
(152)
(152)
(152)
(153)
(154)
(156)
(158)
(161)
(164)
(167)
(170)
(183)
(196)
(209)
(222)
(226)
(231)
(236)
(243)
(249)
(253)
(258)
(263)
(264)
(266)
(269)
(271)
(277)
(282)
(304)
(326)
(346)
(363)
(362)
(361)
(357)
(357)
Other
82
24
358
324
393
451
(48)
(21)
(19)
(127)
(155)
(38)
28
111
127
13
(72)
(83)
277
322
329
516
60
30
610
609
931
1 221
934
689
241
(467)
(1 115)
(1 108)
(1 047)
(563)
(108)
64
299
386
334
Cash from Financing Activities
(384)
N/A
280
N/A
89
-68%
56
-37%
950
+1 612%
162
-83%
(427)
N/A
(211)
+51%
(544)
-158%
(622)
-14%
(280)
+55%
(432)
-54%
(173)
+60%
(5)
+97%
(720)
-14 012%
(431)
+40%
(838)
-94%
332
N/A
535
+61%
738
+38%
748
+1%
(453)
N/A
(604)
-33%
(559)
+7%
(98)
+82%
(808)
-722%
(463)
+43%
(327)
+29%
(1 038)
-218%
(485)
+53%
(653)
-35%
(1 582)
-142%
(2 093)
-32%
(1 523)
+27%
(1 662)
-9%
(908)
+45%
(613)
+33%
(662)
-8%
(621)
+6%
(822)
-32%
(991)
-21%
Change in Cash
Effect of Foreign Exchange Rates
0
0
(0)
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Net Change in Cash
(244)
N/A
45
N/A
74
+64%
(215)
N/A
827
N/A
422
-49%
253
-40%
5
-98%
(542)
N/A
(546)
-1%
(77)
+86%
130
N/A
166
+28%
392
+136%
(387)
N/A
(152)
+61%
(361)
-138%
(230)
+36%
33
N/A
27
-19%
252
+827%
(237)
N/A
(275)
-16%
152
N/A
1 411
+826%
1 109
-21%
1 132
+2%
1 057
-7%
(52)
N/A
239
N/A
425
+77%
(647)
N/A
(1 432)
-121%
(1 233)
+14%
(1 425)
-16%
(541)
+62%
(75)
+86%
156
N/A
(15)
N/A
281
N/A
22
-92%
Free Cash Flow
Free Cash Flow
150
N/A
(263)
N/A
(114)
+57%
(278)
-144%
(20)
+93%
207
N/A
368
+78%
220
-40%
(95)
N/A
37
N/A
206
+459%
318
+55%
460
+45%
387
-16%
340
-12%
265
-22%
248
-6%
172
-31%
261
+52%
67
-74%
239
+256%
191
-20%
474
+148%
817
+72%
1 676
+105%
2 303
+37%
2 006
-13%
1 796
-10%
1 353
-25%
856
-37%
1 036
+21%
753
-27%
258
-66%
(211)
N/A
(269)
-27%
55
N/A
456
+735%
827
+81%
685
-17%
1 159
+69%
1 063
-8%

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