av/saputo--big.svg

TSX:SAP

Saputo Inc.

  • Stock

CAD

Last Close

27.25

13/05 20:00

Market Cap

11.98B

Beta: 0.43

Volume Today

358.63K

Avg: 424.10K

PE Ratio

18.43

PFCF: 52.32

Dividend Yield

2.64%

Payout:32.60%

Mar '14
Mar '15
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
net income
533.97M
-
612.87M
14.78%
601.40M
1.87%
731.10M
21.57%
852.50M
16.61%
755.30M
11.40%
582.80M
22.84%
625.60M
7.34%
274M
56.20%
622M
127.01%
depreciation and amortization
146.61M
-
170.94M
16.60%
198.60M
16.18%
207.30M
4.38%
226.30M
9.17%
313M
38.31%
467.20M
49.27%
515M
10.23%
560M
8.74%
582M
3.93%
deferred income tax
225.02M
-
237.04M
5.34%
269.50M
13.70%
309.20M
14.73%
97.40M
68.50%
230.30M
136.45%
216.50M
5.99%
217.80M
0.60%
131M
39.85%
153M
16.79%
stock based compensation
22.08M
-
32.62M
47.69%
27.80M
14.77%
34M
22.30%
34.30M
0.88%
41M
19.53%
33.50M
18.29%
36.20M
8.06%
37M
2.21%
67M
81.08%
change in working capital
-129.36M
-
-14.45M
88.83%
-45.80M
216.98%
2.40M
105.24%
-115.20M
4,900%
-99.20M
13.89%
-106.70M
7.56%
-233.30M
118.65%
-252M
8.02%
-367M
45.63%
accounts receivables
-316M
-
-205M
35.13%
inventory
-250M
-
-396M
58.40%
accounts payables
243M
-
other working capital
314M
-
-9M
102.87%
other non cash items
-142.01M
-
-269.20M
89.57%
-204.10M
24.18%
-210.40M
3.09%
-286.20M
36.03%
-355.90M
24.35%
-156.40M
56.06%
-83.20M
46.80%
-57M
31.49%
-32M
43.86%
net cash provided by operating activities
656.31M
-
769.82M
17.29%
847.40M
10.08%
1.07B
26.69%
809.10M
24.64%
884.50M
9.32%
1.04B
17.23%
1.08B
3.97%
693M
35.72%
1.02B
47.91%
investments in property plant and equipment
-223.62M
-
-186.92M
16.41%
-231.80M
24.01%
-321.40M
38.65%
-344M
7.03%
-436M
26.74%
-576.30M
32.18%
-433M
24.87%
-498M
15.01%
-641M
28.71%
acquisitions net
-449.58M
-
49.33M
110.97%
-214.90M
535.67%
-385.10M
-
-1.23B
219.92%
-1.93B
56.62%
45.60M
102.36%
-371M
913.60%
9M
102.43%
purchases of investments
sales maturities of investments
other investing activites
1.06M
-
-28.84M
2,831.25%
5M
117.34%
3.60M
28.00%
6.20M
72.22%
161.40M
2,503.23%
11M
93.18%
70M
-
net cash used for investing activites
-672.15M
-
-166.44M
75.24%
-441.70M
165.39%
-317.80M
28.05%
-722.90M
127.47%
-1.51B
108.41%
-2.49B
65.60%
-387.40M
84.47%
-799M
106.25%
-632M
20.90%
debt repayment
-175.04M
-
-640.02M
265.63%
-255.90M
60.02%
-552.20M
115.79%
-402.20M
27.16%
-787.70M
95.85%
-1.64B
107.85%
-1.17B
28.37%
-567M
51.65%
-474M
16.40%
common stock issued
41.86M
-
54.00M
29.00%
49.90M
7.60%
57.60M
15.43%
41M
28.82%
60.40M
47.32%
684.90M
1,033.94%
32.70M
95.23%
42M
28.44%
45M
7.14%
common stock repurchased
-154.37M
-
-48.79M
68.40%
-91.80M
88.17%
-404.10M
340.20%
-29M
92.82%
727.30M
2,607.93%
952.30M
30.94%
1.14B
19.70%
525M
53.94%
429M
18.29%
dividends paid
-175.32M
-
-197.68M
12.75%
-210M
6.23%
-228.30M
8.71%
-243.50M
6.66%
-254.60M
4.56%
-269.70M
5.93%
-204.60M
24.14%
-209M
2.15%
-199M
4.78%
other financing activites
467.81M
-
259.59M
44.51%
169.20M
34.82%
447.20M
164.30%
429.60M
3.94%
860.70M
100.35%
1.91B
122.32%
-500M
126.13%
137M
127.40%
-170M
224.09%
net cash used provided by financing activities
4.93M
-
-572.89M
11,711.13%
-338.60M
40.90%
-679.80M
100.77%
-204.10M
69.98%
606.10M
396.96%
1.64B
171.21%
-704.70M
142.87%
-72M
89.78%
-369M
412.50%
effect of forex changes on cash
7.07M
-
2.73M
61.35%
24.60M
800.11%
10.20M
58.54%
-10.40M
201.96%
-9.30M
10.58%
-4.50M
51.61%
-12.60M
180%
-5M
60.32%
-1M
80%
net change in cash
-3.83M
-
33.22M
967.14%
91.70M
176.04%
86.20M
6.00%
-128.30M
248.84%
-9.50M
92.60%
206.70M
2,275.79%
-10.70M
105.18%
-144M
1,245.79%
98M
168.06%
cash at beginning of period
43.18M
-
39.35M
8.87%
72.60M
84.52%
164.30M
126.31%
250.50M
52.47%
122.20M
51.22%
112.70M
7.77%
319.40M
183.41%
309M
3.26%
165M
46.60%
cash at end of period
39.35M
-
72.57M
84.43%
164.30M
126.41%
250.50M
52.47%
122.20M
51.22%
112.70M
7.77%
319.40M
183.41%
308.70M
3.35%
165M
46.55%
263M
59.39%
operating cash flow
656.31M
-
769.82M
17.29%
847.40M
10.08%
1.07B
26.69%
809.10M
24.64%
884.50M
9.32%
1.04B
17.23%
1.08B
3.97%
693M
35.72%
1.02B
47.91%
capital expenditure
-223.62M
-
-186.92M
16.41%
-231.80M
24.01%
-321.40M
38.65%
-344M
7.03%
-436M
26.74%
-576.30M
32.18%
-433M
24.87%
-498M
15.01%
-641M
28.71%
free cash flow
432.69M
-
582.90M
34.72%
615.60M
5.61%
752.20M
22.19%
465.10M
38.17%
448.50M
3.57%
460.60M
2.70%
645.10M
40.06%
195M
69.77%
384M
96.92%

All numbers in CAD (except ratios and percentages)