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Alimentation Couche-Tard Inc Cl B Sv (ATD-B.TO)

Alimentation Couche-Tard Inc Cl B Sv (ATD-B.TO)
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[[ session ]] by (Cboe BZX)
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Financial Summary for [[ item.sessionDateDisplayLong ]]
Alimentation Couche-Tard Inc operates a network of convenience stores across North America, Europe, and Asia. The company generates income through the sale of tobacco products, groceries, beverages, fresh food, quick service restaurants, car wash services, other retail products and services, road transportation fuel, stationary energy, marine fuel, and chemicals. In addition, the company operates stores under the Circle K banner in other countries such as Indonesia, Egypt, Macau, and others. Its operation is geographically divided into the U.S., Europe and other regions, and Canada. Revenue from external customers falls mainly into three categories: merchandise and services, road transportation fuel, and others. The company generates the majority of its revenue from the United States.

Fiscal Year End Date: 04/30

(Values in U.S. Thousands) Apr, 2021 Apr, 2020 Apr, 2019 Apr, 2018 Apr, 2017
Sales 45,760,100 54,132,400 59,117,600 51,394,400 37,904,500
Sales Growth -15.47% -8.43% +15.03% +35.59% +11.01%
Net Income 2,705,500 2,353,600 1,833,900 1,673,600 1,208,900
Net Income Growth +14.95% +28.34% +9.58% +38.44% +1.29%
(Values in U.S. Thousands) Apr, 2021 Apr, 2020 Apr, 2019 Apr, 2018 Apr, 2017
Total Assets 28,394,500 25,679,500 22,607,700 23,140,600 14,171,200
Total Assets Growth +10.57% +13.59% -2.30% +63.29% +15.18%
Total Liabilities 16,213,600 15,612,900 13,426,600 15,250,200 8,161,600
Total Liabilities Growth +3.85% +16.28% -11.96% +86.85% +12.41%
(Values in U.S. Thousands) Apr, 2021 Apr, 2020 Apr, 2019 Apr, 2018 Apr, 2017
Operating Cash Flow 4,086,600 3,720,700 3,083,600 2,163,100 1,925,500
Operating Cash Flow Growth +9.83% +20.66% +42.55% +12.34% +1.99%
Net Cash Flow -728,600 2,987,600 94,600 -4,400 36,400
Change in Net Cash Flow -124.39% +3,058.14% +2,250.00% -112.09% +810.00%
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