Projected Income Statement: Canadian Tire Corporation, Limited

Forecast Balance Sheet: Canadian Tire Corporation, Limited

Forecast Balance Sheet - Canadian Tire Corporation, Limited
Fiscal Period: January 2021 2022 2023 2024 2025 2026 2027 2028
Net Debt 8,198 9,705 7,428 6,738 9,953 - - -
Change - 18.38% -23.46% -9.29% 47.71% - - -
Announcement Date 2/17/22 2/16/23 2/15/24 2/13/25 2/19/26 - - -
Estimates

Cash Flow Forecast: Canadian Tire Corporation, Limited

Fiscal Period: January 2021 2022 2023 2024 2025 2026 2027 2028
CAPEX 1 778.8 834.6 668.6 636.8 663.7 477.7 518.3 525
Change - 7.16% -19.89% -4.76% 4.22% -28.03% 8.51% 1.29%
Free Cash Flow (FCF) 1 1,036 -268.6 685.1 1,427 -73.3 462 571 620
Change - -125.94% 355.06% 108.29% -105.14% 730.29% 23.59% 8.58%
Announcement Date 2/17/22 2/16/23 2/15/24 2/13/25 2/19/26 - - -
1CAD in Million
Estimates

Forecast Financial Ratios: Canadian Tire Corporation, Limited

Fiscal Period: January 2021 2022 2023 2024 2025 2026 2027 2028

Profitability

        
EBITDA Margin (%) 16.37% 14.83% 12.55% 13.3% 13.29% 13.07% 13.25% 13.23%
EBIT Margin (%) 12.06% 10.66% 7.74% 8.5% 8.61% 8.53% 8.63% 8.65%
EBT Margin (%) 10.45% 8.89% 3.44% 7.62% 5.38% - 6.82% -
Net margin (%) 6.92% 5.86% 1.28% 5.43% 3.53% 4.31% 4.5% 4.35%
FCF margin (%) 6.36% -1.51% 4.11% 8.72% -0.45% 2.78% 3.35% 3.58%
FCF / Net Income (%) 91.84% -25.73% 321.19% 160.75% -12.73% 64.56% 74.52% 82.23%

Profitability

        
ROA 5.35% 5.14% 2.66% 3.18% 3.43% 3.8% 3.7% 3.8%
ROE 23.44% 20.99% 10.48% 12.03% 12.49% 11.9% 11.7% 12.4%

Financial Health

        
Leverage (Debt/EBITDA) 3.07x 3.67x 3.55x 3.1x 4.59x - - -
Debt / Free cash flow 7.92x -36.13x 10.84x 4.72x -135.78x - - -

Capital Intensity

        
CAPEX / Current Assets (%) 4.78% 4.69% 4.01% 3.89% 4.07% 2.88% 3.04% 3.03%
CAPEX / EBITDA (%) 29.2% 31.59% 31.98% 29.27% 30.61% 22.01% 22.98% 22.89%
CAPEX / FCF (%) 75.2% -310.72% 97.59% 44.63% -905.46% 103.39% 90.78% 84.68%

Items per share

        
Cash flow per share 1 33.57 30.29 27.34 30.35 - - - -
Change - -9.77% -9.75% 11.02% - - - -
Dividend per Share 1 4.825 6.275 6.925 7.025 7.125 7.215 7.265 7.315
Change - 30.05% 10.36% 1.44% 1.42% 1.26% 0.69% 0.69%
Book Value Per Share 1 85.19 97.37 99.75 110.6 110.6 - - -
Change - 14.3% 2.44% 10.93% -0.05% - - -
EPS 1 18.38 17.6 3.78 15.92 9.67 14.02 15.9 -
Change - -4.24% -78.52% 321.16% -39.26% 44.98% 13.41% -
Nbr of stocks (in thousands) 60,477 58,125 55,621 55,621 53,084 52,153 52,153 52,153
Announcement Date 2/17/22 2/16/23 2/15/24 2/13/25 2/19/26 - - -
1CAD
Estimates
2026 *2027 *
P/E 13.6x 12x
PBR - -
EV / Sales 0.6x 0.59x
Yield 3.79% 3.82%

EPS & Dividend

EPS & Dividend - Canadian Tire Corporation, Limited


Y-o-Y evolution of P/E

Valuation ratios - P/E - Canadian Tire Corporation, Limited
 

Year-on-year evolution of the Yield

Valuation ratios - Yield - Canadian Tire Corporation, Limited
Trader
Investor
Global
Quality
ESG MSCI
AA
Ratings Surperformance© - Canadian Tire Corporation, Limited
Sell
Consensus
Buy
Mean consensus
HOLD
Number of Analysts
10
Last Close Price
190.23CAD
Average target price
206.60CAD
Spread / Average Target
+8.61%

Quarterly revenue - Rate of surprise

Rate of surprise - Net sales - Quarterly - Canadian Tire Corporation, Limited
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