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CVG Clairvest Group Inc

72.31
0.33 (0.46%)
May 03 2024 - Closed
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Year End March 30 2023 20162017201820192020202120222023
CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)
Total Assets 570.19M671.95M834.89M911.25M944.88M985.03M1.35B1.43B
Total Current Assets 178.5M143.72M176.33M424.1M462.55M319.88M405.42M456.56M
Cash and Equivalents 65.25M106.21M95.59M288.92M272.94M186.8M218.42M217.87M
Total Non-Current Assets 485.52M550.2M667.32M778.69M837.42M857.81M1.18B1.22B
Total Liabilities 84.67M121.75M167.57M132.56M107.46M127.22M174.06M211.92M
Total Current Liabilities 9.47M12.32M21.03M45.92M22.18M20.02M25.79M63.14M
Total Non-Current Liabilities 75.2M109.43M146.54M86.64M85.29M107.2M148.27M148.79M
Total Equity 485.52M550.2M667.32M778.69M837.42M857.81M1.18B1.22B
Common Equity 81.66M81.55M81.39M81.25M80.92M80.83M80.79M80.64M
Retained Earnings 403.86M468.65M585.93M697.45M756.5M776.98M1.1B1.14B

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