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COM:CANOPYGROWTH

Canopy Growth Corporation

  • Stock

CAD

Last Close

5.41

22/11 21:00

Market Cap

656.06M

Beta: -

Volume Today

1.33M

Avg: -

Preview

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Dec '13
Dec '14
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
Mar '24
asset turnover
0.04
-
0.09
100.74%
0.06
33.53%
0.05
7.86%
0.03
52.22%
0.06
124.33%
0.08
37.77%
0.09
15.67%
0.17
78.26%
0.23
38.34%
cash conversion cycle
-485.11
-
-888.86
83.23%
4.99K
661.15%
5.49K
10.01%
366.91
93.31%
309.51
15.64%
290.54
6.13%
139.34
52.04%
137.45
1.36%
145.74
6.03%
cash per share
0.19
-
0.20
3.67%
0.86
327.98%
1.82
112.65%
13.38
635.31%
5.68
57.55%
6.19
8.93%
3.51
43.34%
1.69
51.85%
2.82
66.99%
company equity multiplier
1.20
-
1.16
3.34%
1.10
4.83%
1.24
12.50%
1.26
1.30%
1.40
11.73%
1.96
39.64%
1.56
20.19%
3.22
105.61%
2.60
19.19%
days of inventory outstanding
554.04
-
-1.29K
332.14%
7.42K
676.64%
9.87K
33.14%
696.22
92.95%
331.62
52.37%
280.00
15.57%
104.57
62.65%
107.19
2.50%
130.45
21.70%
days of payables outstanding
1.21K
-
-354.55
129.36%
2.48K
799.93%
4.49K
80.82%
501.82
88.82%
104.63
79.15%
51.18
51.08%
32.88
35.75%
54.88
66.88%
48.39
11.82%
days of sales outstanding
168.44
-
42.71
74.64%
53.20
24.56%
100.32
88.58%
172.51
71.95%
82.52
52.16%
61.72
25.21%
67.65
9.61%
85.14
25.85%
63.69
25.20%
dividend yield
ebit per revenue
-6.75
-
-0.22
96.79%
-0.38
76.18%
-1.01
165.33%
-2.45
141.73%
-4.19
71.10%
0.08
101.94%
-2.08
2,667.60%
4.13
298.63%
-0.77
118.62%
ebt per ebit
1.00
-
1.15
15.28%
1.23
6.20%
1.12
8.54%
0.67
40.59%
1.19
78.36%
0.90
23.90%
-38.01
4,304.07%
0.30
100.80%
-1.99
754.13%
2.06
203.54%
effective tax rate
-0.00
-
-0.16
5,300.21%
-0.04
76.52%
0.02
162.87%
-0.03
228.98%
-0.02
38.23%
0.08
530.34%
0.01
90.32%
0.03
248.07%
0.00
94.70%
-0.03
1,915.60%
enterprise value multiple
-8.16
-
73.68
1,002.78%
172.15
133.64%
-58.00
133.69%
-36.46
37.14%
-4.75
86.98%
90.01
1,995.83%
-19.32
121.46%
0.99
105.12%
-14.47
1,564.58%
fixed asset turnover
0.07
-
0.28
285.08%
0.41
46.80%
0.26
38.06%
0.21
19.57%
0.26
26.68%
0.51
94.53%
0.55
8.49%
0.81
46.16%
0.93
15.08%
free cash flow per share
-41.12
-
-0.73
98.24%
-0.30
58.53%
-0.48
58.26%
-1.46
207.76%
-3.57
143.42%
-4.29
20.45%
-1.72
59.91%
-1.52
11.84%
-1.23
19.28%
-3.82
212.10%
gross profit margin
0.36
-
1.50
313.38%
0.94
36.91%
0.95
0.91%
0.39
58.72%
-0.08
120.22%
0.12
254.17%
-0.37
402.90%
-0.26
30.34%
0.27
205.31%
interest coverage
-734.75
-
-117.56
84.00%
19.64
116.70%
230.53
1,074.04%
1.79
99.23%
-30.06
1,783.18%
-248.51
726.56%
5.24
102.11%
-10.42
298.89%
13.20
226.72%
-2.17
116.45%
inventory turnover
0.66
-
-0.28
143.08%
0.05
117.34%
0.04
24.89%
0.52
1,318.22%
1.10
109.95%
1.30
18.44%
3.49
167.75%
3.41
2.44%
2.80
17.83%
long term debt to capitalization
0.07
-
0.03
59.27%
0.01
49.17%
0.01
57.50%
0.11
1,734.91%
0.10
3.47%
0.31
198.34%
0.29
5.68%
0.50
69.38%
0.50
0.15%
net income per ebt
1
-
1
0%
1.04
3.74%
0.97
6.16%
1.03
5.84%
1.02
1.13%
0.92
9.75%
0.99
7.92%
0.97
1.95%
1.00
2.64%
1.39
39.64%
net profit margin
-7.80
-
-0.28
96.47%
-0.42
51.21%
-0.69
66.84%
-2.96
326.29%
-3.48
17.52%
-3.06
12.15%
-0.62
79.85%
-8.21
1,233.63%
-2.21
73.07%
operating cash flow per share
-23.36
-
-0.33
98.61%
-0.16
50.35%
-0.23
40.91%
-0.46
101.90%
-1.54
235.48%
-2.22
43.95%
-1.25
43.55%
-1.39
11.31%
-1.20
13.80%
-3.77
213.56%
operating cycle
722.48
-
-1.24K
272.10%
7.47K
700.73%
9.97K
33.53%
868.73
91.29%
414.14
52.33%
341.72
17.49%
172.23
49.60%
192.33
11.67%
194.14
0.94%
operating profit margin
-6.75
-
-0.22
96.79%
-0.38
76.18%
-1.01
165.33%
-2.45
141.73%
-4.19
71.10%
0.08
101.94%
-2.08
2,667.60%
4.13
298.63%
-0.77
118.62%
payables turnover
0.30
-
-1.03
440.60%
0.15
114.29%
0.08
44.70%
0.73
794.18%
3.49
379.62%
7.13
104.43%
11.10
55.64%
6.65
40.08%
7.54
13.40%
pretax profit margin
-7.80
-
-0.27
96.60%
-0.43
61.13%
-0.67
57.64%
-2.91
331.14%
-3.78
30.22%
-3.08
18.60%
-0.63
79.45%
-8.23
1,199.27%
-1.59
80.72%
price fair value
2.85
-
1.62
42.96%
2.06
26.92%
4.90
137.60%
2.76
43.73%
1.46
47.12%
4.31
195.63%
1.03
76.01%
1.45
40.23%
1.52
5.21%
receivables turnover
2.17
-
8.55
294.38%
6.86
19.72%
3.64
46.97%
2.12
41.84%
4.42
109.05%
5.91
33.70%
5.40
8.77%
4.29
20.54%
5.73
33.69%
return on assets
-0.34
-
-0.02
92.91%
-0.02
0.50%
-0.04
53.73%
-0.08
103.69%
-0.20
163.63%
-0.24
21.03%
-0.06
76.69%
-1.36
2,277.31%
-0.51
62.75%
return on capital employed
-0.33
-
-0.02
93.94%
-0.02
14.20%
-0.06
154.40%
-0.07
13.45%
-0.26
289.63%
0.01
102.61%
-0.20
3,058.34%
1.02
608.10%
-0.21
121.08%
return on equity
-0.41
-
-0.03
93.15%
-0.03
4.35%
-0.05
72.94%
-0.10
106.34%
-0.28
194.56%
-0.48
69.00%
-0.09
81.40%
-4.36
4,788.00%
-1.31
69.90%
total debt to capitalization
0.08
-
0.03
60.49%
0.02
47.49%
0.01
56.34%
0.12
1,560.02%
0.11
5.21%
0.31
175.29%
0.29
5.67%
0.63
114.62%
0.56
12.07%

All numbers in CAD (except ratios and percentages)