D
Canadian Tire Corporation, Limited CTC.TO
TSX
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04/04/2026 01/03/2026 09/27/2025 06/28/2025 03/29/2025
Net Income 76.75M 149.21M 122.85M 80.94M 25.92M
Total Depreciation and Amortization 133.99M 77.58M 135.64M 131.62M 126.66M
Total Amortization of Deferred Charges -- 79.02M -- -- --
Total Other Non-Cash Items -27.76M 34.02M -6.76M 113.06M -130.42M
Change in Net Operating Assets -157.23M 233.54M -517.36M 267.72M -233.26M
Cash from Operations 25.75M 573.38M -265.62M 593.34M -211.10M
Capital Expenditure -55.52M -159.12M -124.45M -73.57M -60.68M
Sale of Property, Plant, and Equipment -- 0.00 3.71M 938.60K --
Cash Acquisitions -- -- -- -- --
Divestitures -- -- -- 933.62M --
Other Investing Activities 3.59M -19.31M 5.52M 26.71M -67.16M
Cash from Investing -51.93M -178.42M -115.23M 887.70M -127.85M
Total Debt Issued 81.50M -50.40M 571.40M 222.90M 732.60M
Total Debt Repaid -113.60M -123.60M -569.30M -1.23B -127.60M
Issuance of Common Stock -- -- -- -- --
Repurchase of Common Stock -64.50M -88.10M -118.90M -180.60M -79.60M
Issuance of Preferred Stock -- -- -- -- --
Repurchase of Preferred Stock -- -- -- -- --
Total Dividends Paid -65.06M -64.52M -66.19M -64.19M -63.96M
Other Financing Activities 14.30M 12.80M 24.20M -122.50M -27.60M
Cash from Financing -124.09M -243.45M -133.46M -1.01B 282.86M
Foreign Exchange rate Adjustments -- -- -- -- --
Miscellaneous Cash Flow Adjustments -- -- -- -- --
Net Change in Cash -150.27M 151.51M -514.31M 473.05M -56.08M