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Davids Tea Inc

Davids Tea Inc (DTEA)

0.52
0.00
( 0.00% )
Updated: 18:00:00

Income Statement

Balance Sheet

Cash Flow

Quarter End Jul 2022Oct 2022Apr 2023Jul 2023Oct 2023May 2024Aug 2024Nov 2024
CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)
Total Assets 70.48M68.57M56.83M50.22M49.86M40.25M35.7M44.36M
Total Current Assets 56.95M56.19M45.53M39.03M38.3M33.1M28.58M28.95M
Cash and Equivalents 19.05M16.13M19.58M14.19M11.73M8.77M6.71M7.94M
Total Non-Current Assets 3.44M2.97M3.61M3.87M5.19M005.42M
Total Liabilities 28.56M30.75M23.83M21.42M24.6M21.32M18.24M28.49M
Total Current Liabilities 19.62M22.46M16.78M14.58M18.18M16.03M13.06M18.58M
Total Non-Current Liabilities 8.95M8.29M7.05M6.84M6.42M5.29M5.19M9.91M
Common Equity 113.86M113.89M114.17M114.44M114.47M114.86M114.99M115.02M
Retained Earnings -77.47M-82.16M-87.16M-91.2M-94.92M-101.07M-102.43M-103.99M
Year End February 02 2024 20172018201920202021202220232024
CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)
Total Assets 174.33M147.94M122.5M139.66M81.24M78.6M62.59M43.73M
Total Current Assets 105.84M101.75M93.03M80.5M74.35M63.51M51.06M35.94M
Cash and Equivalents 64.44M63.48M42.07M46.34M30.2M25.11M22.44M12.6M
Total Non-Current Assets 133.45M101.37M67.46M23.35M-31.29M48.32M34.7M21.51M
Total Liabilities 40.88M46.57M55.04M116.31M112.53M30.29M27.9M22.22M
Total Current Liabilities 27.13M24.5M30.91M44.08M112.18M20.1M20.22M16.23M
Total Non-Current Liabilities 13.76M22.07M24.14M72.23M355k10.19M7.68M5.99M
Total Equity 133.45M101.37M67.46M23.35M-31.29M48.32M34.7M21.51M
Common Equity 263.83M111.69M112.52M112.84M113.17M113.53M114.16M114.79M
Retained Earnings -142.4M-12.97M-47.96M-92.28M-148.07M-70.67M-85.18M-98.49M