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CGC Canopy Growth Corporation

7.26
-0.20 (-2.68%)
15 Jun 2024 - Closed
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Quarter End Jun 2022Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024
CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)
Total Assets 3.52B3.4B3.02B2.44B2.19B1.67B1.36B1.3B
Total Current Assets 1.59B1.54B1.17B1.08B883.22M493.7M397.28M371.18M
Cash and Equivalents 769.5M746.72M598.13M677.01M533.27M240.38M142.75M170.3M
Total Non-Current Assets 2.67B2.56B2.57B1.78B1.63B1.31B1.24B1.21B
Total Liabilities 1.87B1.77B1.59B1.68B1.34B918.76M815.09M799.82M
Total Current Liabilities 404.41M542.4M678.74M803.84M451.16M196.25M221.35M234.72M
Total Non-Current Liabilities 2.83B2.36B1.75B1.71B1.76B1.42B1.18B1.06B
Common Equity 7.6B7.82B7.87B7.94B10.57B8.22B8.22B8.24B
Retained Earnings -8.45B-8.68B-8.94B-9.67B-9.71B-10.02B-10.24B-10.33B
Year End 31 March 2024 20172018201920202021202220232024
CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)CAD ($)
Total Assets 702.72M1.44B8.57B6.86B6.82B5.61B2.44B1.3B
Total Current Assets 178.79M481.78M4.92B2.56B2.84B1.73B1.08B371.18M
Cash and Equivalents 101.8M322.56M2.48B1.3B1.15B776.01M677.01M170.3M
Total Non-Current Assets 639.73M1.24B7.07B5.11B3.49B3.59B760.02M500.51M
Total Liabilities 62.99M193.58M1.5B1.75B3.34B2.02B1.68B799.82M
Total Current Liabilities 17.67M92.03M411.66M420.59M284.33M213.19M803.84M234.72M
Total Non-Current Liabilities 53.97M108.42M1.93B1.9B4.72B3.4B1.71B1.06B
Total Equity 639.73M1.24B7.07B5.11B3.49B3.59B760.02M500.51M
Common Equity 621.54M1.08B6.03B6.37B7.17B7.48B7.94B8.24B
Retained Earnings -21.3M-91.65M-835.12M-4.32B-6.07B-6.38B-9.67B-10.33B