Metro Inc.

TSX:MRU.TO

83.65 (CAD) • At close September 19, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) CAD.

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Operating Activities:
Net Income 1,321.81,153.61,120.71,084.3969.22,076.7801.8778.2680.5606.4927.6664386.3391.8354.4292.7276.6253190.4168.81661441239776.465.466.26161.1
Depreciation & Amortization 525.2503.3478.3462.5286.4233.5194.2182.8177175.8179.6183.9195.2201.2189.1178.4167.7180.787.271.76558615344.339.739.23738.7
Deferred Income Tax -292.60-322-184.5-661.8-1,637.6-350-314.4-256.3-312.5-559.1-309.914.627.332.1-8.414-4.612.9-23.9161423104.818.7-1.40.3-0.5
Stock Based Compensation 128.610.69.58.69.18.18.57.86.65.76.16.35.8500000000000000
Change In Working Capital -125.5-115.2162.2-34.5-54.5-54.3-21.8-9.110.6-99.5-68.9-44.4-24.4-32.9-1.215.5-72.2-10.69.399.7-4715-61-671.30000
Accounts Receivables 00000000000000000000000000000
Inventory 000000000000000000000000-3.40000
Accounts Payables 00000000000000000000000000000
Other Working Capital -125.5-115.2162.2-34.5-54.5-54.3-21.8-9.110.6-98.7-77.2000015.5-72.2-10.69.399.7-4715-61-674.70000
Other Non Cash Items 122.6-88.9133.5136.8139.812363.961.458.755.581.946.4-34.8-45.4-59.3-7.93.5-19.9-17.9-6.9-3-111-2.9-2.6-15-4.23.1
Operating Cash Flow 1,563.51,461.41,583.31,474.1687.7750.4696.2707.4678.3432.3566.8546.1543.2547.8520.1450.2363.3392281.9309.4197226146156193.9121.28994.1102.4
Investing Activities:
Investments In Property Plant And Equipment -679.9-621.1-599.3-510.7-396.3-317.4-368.9-313.6-258.8-207.4-227.8-248.8-168-196-271.9-204.2-273.3-211.3-125.8-105.6-117-114-107-63-238.5-80.5-79.1-57.1-38
Acquisitions Net -1.4-0.2-1.1-48.173.2-1,462.50.1-35-0.7-100.3483.7-146.8-74.5-152.30000-1,162.8-18.4-7-200000000
Purchases Of Investments 0000-0.1-4.300-3.2-219.40-14.5-25.7-4.6000-4.9-25.3-20000-4.2-3.6-4.1-4
Sales Maturities Of Investments 000059.21,860.10.1038.80.90.605.40.401.83.414.59.600100013.22.91.818.6
Other Investing Activites 108.8143.5128.8114.7-44.5102.435.820.3-29.29-11.638.624.633.817.713.81114.9-35.713.7-21-22-2-11.500.40.52.4
Investing Cash Flow -572.5-477.8-471.6-444.1-308.5-1,677.5-333-328.3-253.1-299.8264.3-357-227-339.8-258.8-188.6-258.9-181.9-1,319.6-135.6-147-155-109-64-237-71.5-79.4-58.9-21
Financing Activities:
Debt Repayment -457.3-884.8-284.9-681.6-53.9-1,173.6-200.7-142.6-611.3-11.4-337.3-454.9-16.1-17.4-14.3-28.3-81.7-90.5000-140000000
Common Stock Issued 7.82112.67.2248.810.710.38.1713.98.178.64411.411.15.418.99.911322.233.86.95.7
Common Stock Repurchased -593.6-470-456.3-223.4-151.5-10.2-309.5-338.4-425-464.3-415.7-217.6-197.2-159.5-146.8-121.6-32.1-2.1-37-29.3-33-1400-16.3-11.6-6.6-123.4-37.1
Dividends Paid -275-257.9-240.1-220.7-198.9-164.8-143.5-127.1-111.9-100.6-91.5-82.9-77.1-69.2-59.3-55.3-51.8-47.5-38.9-31.8-26-21-17-15-12.6-10.4-7.7-6.7-3.6
Other Financing Activities 343.2175.7-138.7256.647.66.510.5224.7700.4392737682.84.8-16.6-15.1-3.51,145.5-102.17-23-23-7969.8-45.2-15.480.9-22.3
Financing Cash Flow -974.9-1,416-1,107.4-861.9-332.71,005.1-241.8-373.1-439.7-177.3-823.6-371.3-275.4-234.7-171.6-210.4-169.6-138.21,088.5-153.3-51-71-37-9243.1-64.2-25.9-42.3-57.3
Other Information:
Effect Of Forex Changes On Cash 00000000000000000000-5000000000
Net Change In Cash 16.1-432.44.3168.146.578121.46-14.5-44.87.5-182.240.8-26.789.751.2-65.271.950.820.5-510000-14.5-16.3-7.124.1
Cash At End Of Period 29.513.4445.8441.5273.4226.9148.927.521.53680.873.3255.5214.7241.4151.7100.5165.793.843-510000-33.6-19.1-2.84.3