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Canadian Tire Corporation Cl. A NV (CTC-A.TO)

Canadian Tire Corporation Cl. A NV (CTC-A.TO)
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[[ session ]] by (Cboe BZX)
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Cash Flow for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 12/31

(Values in thousands)
  12-2025 09-2025 06-2025 03-2025 12-2024
Cash Flows From Operating Activities
Depreciation Amortization 201,200 193,400 182,300 187,100 197,300
Income taxes - deferred 86,300 58,600 70,000 4,600 97,400
Accounts receivable -71,300 -112,300 -245,900 227,000 -12,000
Other Working Capital 325,400 -712,100 370,800 -334,800 446,800
Other Operating Activity 257,300 206,800 444,600 -386,900 145,800
Operating Cash Flow $798,900 $-365,600 $821,800 $-303,000 $875,300
Cash Flows From Investing Activities
PPE Investments -221,700 -166,200 -100,600 -87,100 132,800
Net Acquisitions -3,100 0 1,293,100 N/A N/A
Purchase Of Investment -131,900 -25,800 -30,000 -209,700 -54,900
Sale Of Investment 111,900 61,300 128,600 80,200 87,000
Purchase Sale Intangibles -19,800 -13,600 -38,500 -9,800 -17,500
Other Investing Activity 16,000 -14,300 -23,100 42,900 24,300
Investing Cash Flow $-248,600 $-158,600 $1,229,500 $-183,500 $171,700
Cash Flows From Financing Activities
Change In Short Term Borrowing -48,100 52,400 -737,600 732,600 -299,500
Debt Issued -3,000 519,000 222,900 N/A -148,400
Debt Repayment -122,900 -569,300 -489,400 -127,600 -364,300
Common Stock Repurchased -88,100 -118,900 -180,600 -79,600 -6,600
Dividend Paid -89,900 -91,100 -88,900 -91,800 -90,900
Other Financing Activity 12,800 24,200 -122,500 -27,600 -15,700
Financing Cash Flow $-339,200 $-183,700 $-1,396,100 $406,000 $-925,400
Beginning Cash Position 342,400 1,050,300 395,100 475,600 354,000
End Cash Position 553,500 342,400 1,050,300 395,100 475,600
Net Cash Flow $211,100 $-707,900 $655,200 $-80,500 $121,600
Free Cash Flow
Operating Cash Flow 798,900 -365,600 821,800 -303,000 875,300
Capital Expenditure -241,500 -184,900 -140,400 -96,900 -146,600
Free Cash Flow 557,400 -550,500 681,400 -399,900 728,700
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