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CTC:TSE
Canadian Tire Corporation Ltd
203,00 CA$
0,00%
(0,00) 1D
29 սեպ, 09:30:01 GMT-4  ·   CAD
All symbols
SymbolPriceChange% Change
Generating top insights for CTC...
Mkt. cap
9,82 մլրդ
Avg. vol.
172,00
Volume
24,00
Dividend
3,55%
Quarterly dividend
1,80 CA$
Ex-dividend date
30 հոկ, 2026 թ.
P/E ratio
15,97
52-wk high
267,50 CA$
52-wk low
200,01 CA$
EPS
12,71 CA$
Beta
1,26
Shares outstanding
3,42 մլն
No. of employees
20 հզր
Mkt. cap
9,82 մլրդ
Avg. vol.
172,00
Volume
24,00
Dividend
3,55%
Quarterly dividend
1,80 CA$
Ex-dividend date
30 հոկ, 2026 թ.
P/E ratio
15,97
52-wk high
267,50 CA$
52-wk low
200,01 CA$
EPS
12,71 CA$
Beta
1,26
Shares outstanding
3,42 մլն
No. of employees
20 հզր
News stories
From web sources and news partners
Profile
Canadian Tire Corporation, Limited is a Canadian retail corporation, headquartered at Canada Square in Toronto, Ontario. It operates department stores, gas stations, and financial services. The company also owns and operates Mark's, PartSource, Sherwood Hockey, Sport Chek, Sports Experts, and the Canadian operations of Party City and Petco. It owns the intellectual property of the former Hudson's Bay Company as of 2025. Canadian Tire acquired the Norwegian clothing and textile company Helly Hansen from the Ontario Teachers' Pension Plan in 2018 and sold it in 2025. It participates in the voluntary Scanner Price Accuracy Code managed by the Retail Council of Canada. Wikipedia
About Canadian Tire Corporation Ltd
CEOGreg Hicks
Employees20,4 հզր
Founded15 սեպ, 1922 թ.
HeadquartersՏորոնտո, Օնտարիո, Կանադա
Sector-
Last report
13 օգս, 2026 թ.
Fiscal period
Q2 2026
EPS / Est. (CAD)
3,94 CA$ / 3,95 CA$
-0,35%miss
Revenue / Est. (CAD)
4,30 մլրդ / 4,30 մլրդ
-0,02%miss
Fiscal Q2 2026 earnings call
Waiting for the earnings call
At a glance
Insights from the latest news and reports
Previous reportsAll values in CAD
Loading Previous Earnings...
Revenue
Net income
All values in CAD
2025 թ. սեպ
2026 թ. հնվ
2026 թ. ապր
2026 թ. հլս
Revenue
4,11 մլրդ
4,55 մլրդ
3,57 մլրդ
4,30 մլրդ
Cost of goods sold
2,47 մլրդ
2,77 մլրդ
2,09 մլրդ
2,64 մլրդ
Cost of revenue
2,68 մլրդ
3,40 մլրդ
2,42 մլրդ
2,98 մլրդ
Research and development expenses
-
-
-
-
Total research and development expenses
-
-
-
-
Selling, general, and admin expenses
878,40 մլն
509,50 մլն
715,20 մլն
762,70 մլն
Operating expense
1,06 մլրդ
703,90 մլն
900,40 մլն
945,10 մլն
Total operating expenses
3,74 մլրդ
4,11 մլրդ
3,32 մլրդ
3,92 մլրդ
Operating income
365,10 մլն
444,00 մլն
252,60 մլն
380,80 մլն
Other non operating income
7,30 մլն
14,90 մլն
-9,40 մլն
1,00 մլն
EBT including unusual items
249,90 մլն
318,70 մլն
169,10 մլն
280,00 մլն
EBT excluding unusual items
297,70 մլն
377,40 մլն
169,10 մլն
300,80 մլն
Income tax expense
58,60 մլն
86,30 մլն
39,60 մլն
65,80 մլն
Effective tax rate
23,45%
27,08%
23,42%
23,50%
Other operating expenses
-
-
-
-
Net income
169,10 մլն
207,90 մլն
107,00 մլն
192,10 մլն
Net profit margin
4,12%
4,57%
3,00%
4,46%
Earnings per share
3,78
4,47
2,02
3,94
Interest and investment income
6,50 մլն
3,30 մլն
5,80 մլն
4,00 մլն
Interest expense
-81,20 մլն
-84,80 մլն
-79,90 մլն
-85,00 մլն
Net interest expenses
-74,70 մլն
-81,50 մլն
-74,10 մլն
-81,00 մլն
Depreciation and amortization charges
184,90 մլն
194,40 մլն
185,20 մլն
182,40 մլն
EBITDA
471,60 մլն
460,50 մլն
365,50 մլն
491,40 մլն
Gain or loss from assets sale
-7,10 մլն
2,50 մլն
3,30 մլն
-6,10 մլն
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