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PKIUF PARKLAND CORPORATION

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  • 29.060
  • 0.0000.00%
15min DelayTrading May 3 16:00 ET
5.08BMarket Cap18.32P/E (TTM)

PARKLAND CORPORATION Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-13.82%393M
-45.95%387M
-45.95%387M
-3.08%283M
-54.06%249M
35.31%456M
119.63%716M
119.63%716M
28.07%292M
24.03%542M
-Cash and cash equivalents
-13.82%393M
-45.95%387M
-45.95%387M
-3.08%283M
-54.06%249M
35.31%456M
119.63%716M
119.63%716M
28.07%292M
24.03%542M
Receivables
7.26%1.76B
-10.23%1.69B
-10.23%1.69B
2.16%2.04B
-30.41%1.58B
-14.46%1.64B
34.81%1.89B
34.81%1.89B
47.12%2B
106.65%2.27B
-Accounts receivable
5.40%1.7B
-11.53%1.42B
-11.53%1.42B
1.32%2B
-31.56%1.55B
-15.53%1.61B
15.23%1.6B
15.23%1.6B
46.47%1.97B
109.25%2.26B
-Taxes receivable
114.29%60M
235.71%47M
235.71%47M
77.27%39M
342.86%31M
211.11%28M
100.00%14M
100.00%14M
144.44%22M
-58.82%7M
-Other receivables
----
-11.22%269M
-11.22%269M
----
----
----
--303M
--303M
----
----
-Recievables adjustments allowances
----
-20.00%-42M
-20.00%-42M
----
----
----
---35M
---35M
----
----
Inventory
5.35%1.66B
0.74%1.76B
0.74%1.76B
-0.70%1.84B
-20.60%1.52B
1.75%1.57B
37.94%1.75B
37.94%1.75B
63.60%1.85B
101.16%1.91B
Prepaid assets
----
----
----
----
----
----
----
----
64.04%146M
35.64%137M
Restricted cash
----
----
----
110.14%145M
-20.66%96M
-75.29%42M
----
----
21.05%69M
86.15%121M
Other current assets
-35.66%83M
-31.19%75M
-31.19%75M
--92M
--106M
--129M
12.37%109M
12.37%109M
----
----
Total current assets
6.39%4.43B
-5.51%4.32B
-5.51%4.32B
8.99%4.78B
-22.41%3.9B
1.91%4.16B
46.27%4.57B
46.27%4.57B
46.07%4.38B
78.60%5.02B
Non current assets
Net PPE
1.68%5.15B
0.91%5.19B
0.91%5.19B
-2.20%4.99B
7.13%4.99B
14.45%5.07B
16.08%5.14B
16.08%5.14B
34.18%5.1B
25.38%4.66B
-Gross PPE
----
4.54%7.79B
4.54%7.79B
----
----
----
--7.45B
--7.45B
----
----
-Accumulated depreciation
----
-12.59%-2.6B
-12.59%-2.6B
----
----
----
---2.31B
---2.31B
----
----
Goodwill and other intangible assets
-6.09%3.55B
-6.12%3.6B
-6.12%3.6B
-4.97%3.69B
-1.42%3.69B
2.61%3.78B
17.26%3.84B
17.26%3.84B
24.19%3.88B
28.15%3.74B
-Goodwill
-3.28%2.39B
-2.66%2.42B
-2.66%2.42B
-1.88%2.45B
1.79%2.44B
4.84%2.47B
13.37%2.48B
13.37%2.48B
20.05%2.5B
20.83%2.4B
-Other intangible assets
-11.39%1.16B
-12.47%1.19B
-12.47%1.19B
-10.55%1.24B
-7.13%1.25B
-1.36%1.31B
25.12%1.36B
25.12%1.36B
32.44%1.38B
43.65%1.35B
Investments and advances
-2.05%334M
-4.68%326M
-4.68%326M
-1.17%339M
3.69%337M
4.28%341M
7.21%342M
7.21%342M
7.52%343M
124.14%325M
Non current accounts receivable
----
----
----
24.14%108M
34.18%106M
46.67%110M
----
----
16.00%87M
-1.25%79M
Financial assets
25.00%55M
88.57%66M
88.57%66M
40.54%52M
--39M
175.00%44M
--35M
--35M
-70.63%37M
--0
Non current deferred assets
38.28%289M
5.93%268M
5.93%268M
3.98%183M
0.52%192M
0.97%209M
29.08%253M
29.08%253M
-1.12%176M
2.14%191M
Non current prepaid assets
----
----
----
----
----
----
----
----
136.36%52M
12.50%27M
Other non current assets
113.04%98M
-11.54%92M
-11.54%92M
--45M
--43M
--46M
-49.27%104M
-49.27%104M
----
----
Total non current assets
-1.24%9.48B
-1.75%9.54B
-1.75%9.54B
-2.82%9.4B
4.14%9.4B
9.53%9.6B
15.33%9.71B
15.33%9.71B
26.55%9.68B
26.04%9.02B
Total assets
1.07%13.9B
-2.95%13.87B
-2.95%13.87B
0.86%14.18B
-5.35%13.3B
7.11%13.76B
23.71%14.29B
23.71%14.29B
32.05%14.06B
40.86%14.05B
Liabilities
Current liabilities
Payables
7.54%2.77B
1.07%2.92B
1.07%2.92B
12.20%3.16B
-20.18%2.48B
7.97%2.57B
42.12%2.89B
42.12%2.89B
35.20%2.82B
76.52%3.11B
-accounts payable
8.01%2.7B
0.86%2.83B
0.86%2.83B
13.97%3.08B
-20.48%2.41B
6.99%2.5B
43.90%2.81B
43.90%2.81B
36.40%2.7B
75.58%3.03B
-Total tax payable
-38.89%11M
18.18%26M
18.18%26M
-20.00%28M
-50.00%17M
-47.06%18M
-65.63%22M
-65.63%22M
-61.54%35M
47.83%34M
-Dividends payable
1.67%61M
5.26%60M
5.26%60M
-30.23%60M
17.65%60M
252.94%60M
256.25%57M
256.25%57M
437.50%86M
218.75%51M
Current provisions
-4.76%20M
-25.00%9M
-25.00%9M
-32.00%17M
22.73%27M
-22.22%21M
--12M
--12M
-28.57%25M
-33.33%22M
Current debt and capital lease obligation
18.48%218M
10.40%191M
10.40%191M
19.21%180M
24.48%178M
47.20%184M
39.52%173M
39.52%173M
39.81%151M
31.19%143M
-Current debt
0.00%1M
0.00%1M
0.00%1M
-50.00%1M
0.00%1M
-50.00%1M
-99.19%1M
-99.19%1M
-50.00%2M
-75.00%1M
-Current capital lease obligation
18.58%217M
10.47%190M
10.47%190M
20.13%179M
24.65%177M
48.78%183M
--172M
--172M
43.27%149M
35.24%142M
Current deferred liabilities
-20.00%16M
-47.22%19M
-47.22%19M
111.43%74M
-44.44%25M
-35.48%20M
--36M
--36M
66.67%35M
114.29%45M
Other current liabilities
52.17%210M
20.00%216M
20.00%216M
23.20%154M
-21.60%98M
81.58%138M
81.82%180M
81.82%180M
56.25%125M
27.55%125M
Current liabilities
10.04%3.23B
1.98%3.35B
1.98%3.35B
13.72%3.59B
-18.42%2.81B
11.12%2.94B
45.85%3.29B
45.85%3.29B
35.47%3.16B
70.31%3.45B
Non current liabilities
Long term provisions
-3.33%638M
11.97%711M
11.97%711M
-6.30%639M
31.12%670M
35.80%660M
-46.91%635M
-46.91%635M
63.94%682M
28.07%511M
Long term debt and capital lease obligation
-2.83%6.41B
-9.30%6.17B
-9.30%6.17B
-5.89%6.23B
-3.33%6.28B
5.65%6.6B
25.17%6.8B
25.17%6.8B
44.48%6.62B
47.09%6.49B
-Long term debt
-6.00%5.55B
-13.58%5.31B
-13.58%5.31B
-7.44%5.51B
-5.08%5.58B
4.02%5.9B
13.09%6.14B
13.09%6.14B
42.24%5.95B
46.26%5.88B
-Long term capital lease obligation
23.86%867M
30.79%858M
30.79%858M
7.99%716M
13.54%696M
21.74%700M
--656M
--656M
68.27%663M
55.58%613M
Non current deferred liabilities
-4.89%389M
-11.06%378M
-11.06%378M
-5.68%382M
-14.72%365M
-1.45%409M
26.11%425M
26.11%425M
23.10%405M
32.92%428M
Employee benefits
-7.41%25M
-22.58%24M
-22.58%24M
-23.53%26M
-21.21%26M
-12.90%27M
--31M
--31M
-10.53%34M
-13.16%33M
Derivative product liabilities
----
----
----
----
----
----
----
----
1.78%629M
14.74%646M
Other non current liabilities
-14.29%54M
-28.00%54M
-28.00%54M
13.73%58M
48.84%64M
57.50%63M
--75M
--75M
27.50%51M
59.26%43M
Total non current liabilities
-3.09%7.52B
-7.92%7.33B
-7.92%7.33B
-12.90%7.33B
-9.22%7.4B
-0.56%7.76B
14.36%7.97B
14.36%7.97B
39.81%8.42B
41.48%8.16B
Total liabilities
0.51%10.75B
-5.03%10.69B
-5.03%10.69B
-5.64%10.92B
-11.95%10.22B
2.39%10.7B
22.05%11.25B
22.05%11.25B
38.60%11.57B
48.97%11.6B
Shareholders'equity
Share capital
0.22%3.25B
0.62%3.26B
0.62%3.26B
22.68%3.26B
23.07%3.25B
23.29%3.24B
25.17%3.24B
25.17%3.24B
5.40%2.65B
5.68%2.64B
-common stock
0.22%3.25B
0.62%3.26B
0.62%3.26B
22.68%3.26B
23.07%3.25B
23.29%3.24B
25.17%3.24B
25.17%3.24B
5.40%2.65B
5.68%2.64B
Retained earnings
44.44%-105M
104.37%9M
104.37%9M
96.08%-2M
-61.32%-171M
-38.97%-189M
-45.07%-206M
-45.07%-206M
50.49%-51M
37.65%-106M
Paid-in capital
-6.10%77M
23.29%90M
23.29%90M
18.92%88M
25.00%85M
26.15%82M
23.73%73M
23.73%73M
27.59%74M
30.77%68M
Gains losses not affecting retained earnings
25.35%-53M
-2.99%-69M
-2.99%-69M
7.78%-83M
-56.60%-83M
-102.86%-71M
-71.79%-67M
-71.79%-67M
-100.00%-90M
-26.19%-53M
Other equity interest
---12M
---106M
---106M
----
----
----
----
----
0.00%-494M
0.00%-494M
Total stockholders'equity
3.00%3.15B
4.74%3.18B
4.74%3.18B
55.71%3.26B
49.88%3.08B
50.99%3.06B
54.16%3.04B
54.16%3.04B
8.22%2.09B
11.44%2.06B
Noncontrolling interests
----
--0
--0
--0
--0
--0
--0
--0
8.29%392M
14.71%390M
Total equity
3.00%3.15B
4.74%3.18B
4.74%3.18B
31.15%3.26B
25.97%3.08B
27.64%3.06B
30.23%3.04B
30.23%3.04B
8.23%2.49B
11.95%2.45B
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -13.82%393M-45.95%387M-45.95%387M-3.08%283M-54.06%249M35.31%456M119.63%716M119.63%716M28.07%292M24.03%542M
-Cash and cash equivalents -13.82%393M-45.95%387M-45.95%387M-3.08%283M-54.06%249M35.31%456M119.63%716M119.63%716M28.07%292M24.03%542M
Receivables 7.26%1.76B-10.23%1.69B-10.23%1.69B2.16%2.04B-30.41%1.58B-14.46%1.64B34.81%1.89B34.81%1.89B47.12%2B106.65%2.27B
-Accounts receivable 5.40%1.7B-11.53%1.42B-11.53%1.42B1.32%2B-31.56%1.55B-15.53%1.61B15.23%1.6B15.23%1.6B46.47%1.97B109.25%2.26B
-Taxes receivable 114.29%60M235.71%47M235.71%47M77.27%39M342.86%31M211.11%28M100.00%14M100.00%14M144.44%22M-58.82%7M
-Other receivables -----11.22%269M-11.22%269M--------------303M--303M--------
-Recievables adjustments allowances -----20.00%-42M-20.00%-42M---------------35M---35M--------
Inventory 5.35%1.66B0.74%1.76B0.74%1.76B-0.70%1.84B-20.60%1.52B1.75%1.57B37.94%1.75B37.94%1.75B63.60%1.85B101.16%1.91B
Prepaid assets --------------------------------64.04%146M35.64%137M
Restricted cash ------------110.14%145M-20.66%96M-75.29%42M--------21.05%69M86.15%121M
Other current assets -35.66%83M-31.19%75M-31.19%75M--92M--106M--129M12.37%109M12.37%109M--------
Total current assets 6.39%4.43B-5.51%4.32B-5.51%4.32B8.99%4.78B-22.41%3.9B1.91%4.16B46.27%4.57B46.27%4.57B46.07%4.38B78.60%5.02B
Non current assets
Net PPE 1.68%5.15B0.91%5.19B0.91%5.19B-2.20%4.99B7.13%4.99B14.45%5.07B16.08%5.14B16.08%5.14B34.18%5.1B25.38%4.66B
-Gross PPE ----4.54%7.79B4.54%7.79B--------------7.45B--7.45B--------
-Accumulated depreciation -----12.59%-2.6B-12.59%-2.6B---------------2.31B---2.31B--------
Goodwill and other intangible assets -6.09%3.55B-6.12%3.6B-6.12%3.6B-4.97%3.69B-1.42%3.69B2.61%3.78B17.26%3.84B17.26%3.84B24.19%3.88B28.15%3.74B
-Goodwill -3.28%2.39B-2.66%2.42B-2.66%2.42B-1.88%2.45B1.79%2.44B4.84%2.47B13.37%2.48B13.37%2.48B20.05%2.5B20.83%2.4B
-Other intangible assets -11.39%1.16B-12.47%1.19B-12.47%1.19B-10.55%1.24B-7.13%1.25B-1.36%1.31B25.12%1.36B25.12%1.36B32.44%1.38B43.65%1.35B
Investments and advances -2.05%334M-4.68%326M-4.68%326M-1.17%339M3.69%337M4.28%341M7.21%342M7.21%342M7.52%343M124.14%325M
Non current accounts receivable ------------24.14%108M34.18%106M46.67%110M--------16.00%87M-1.25%79M
Financial assets 25.00%55M88.57%66M88.57%66M40.54%52M--39M175.00%44M--35M--35M-70.63%37M--0
Non current deferred assets 38.28%289M5.93%268M5.93%268M3.98%183M0.52%192M0.97%209M29.08%253M29.08%253M-1.12%176M2.14%191M
Non current prepaid assets --------------------------------136.36%52M12.50%27M
Other non current assets 113.04%98M-11.54%92M-11.54%92M--45M--43M--46M-49.27%104M-49.27%104M--------
Total non current assets -1.24%9.48B-1.75%9.54B-1.75%9.54B-2.82%9.4B4.14%9.4B9.53%9.6B15.33%9.71B15.33%9.71B26.55%9.68B26.04%9.02B
Total assets 1.07%13.9B-2.95%13.87B-2.95%13.87B0.86%14.18B-5.35%13.3B7.11%13.76B23.71%14.29B23.71%14.29B32.05%14.06B40.86%14.05B
Liabilities
Current liabilities
Payables 7.54%2.77B1.07%2.92B1.07%2.92B12.20%3.16B-20.18%2.48B7.97%2.57B42.12%2.89B42.12%2.89B35.20%2.82B76.52%3.11B
-accounts payable 8.01%2.7B0.86%2.83B0.86%2.83B13.97%3.08B-20.48%2.41B6.99%2.5B43.90%2.81B43.90%2.81B36.40%2.7B75.58%3.03B
-Total tax payable -38.89%11M18.18%26M18.18%26M-20.00%28M-50.00%17M-47.06%18M-65.63%22M-65.63%22M-61.54%35M47.83%34M
-Dividends payable 1.67%61M5.26%60M5.26%60M-30.23%60M17.65%60M252.94%60M256.25%57M256.25%57M437.50%86M218.75%51M
Current provisions -4.76%20M-25.00%9M-25.00%9M-32.00%17M22.73%27M-22.22%21M--12M--12M-28.57%25M-33.33%22M
Current debt and capital lease obligation 18.48%218M10.40%191M10.40%191M19.21%180M24.48%178M47.20%184M39.52%173M39.52%173M39.81%151M31.19%143M
-Current debt 0.00%1M0.00%1M0.00%1M-50.00%1M0.00%1M-50.00%1M-99.19%1M-99.19%1M-50.00%2M-75.00%1M
-Current capital lease obligation 18.58%217M10.47%190M10.47%190M20.13%179M24.65%177M48.78%183M--172M--172M43.27%149M35.24%142M
Current deferred liabilities -20.00%16M-47.22%19M-47.22%19M111.43%74M-44.44%25M-35.48%20M--36M--36M66.67%35M114.29%45M
Other current liabilities 52.17%210M20.00%216M20.00%216M23.20%154M-21.60%98M81.58%138M81.82%180M81.82%180M56.25%125M27.55%125M
Current liabilities 10.04%3.23B1.98%3.35B1.98%3.35B13.72%3.59B-18.42%2.81B11.12%2.94B45.85%3.29B45.85%3.29B35.47%3.16B70.31%3.45B
Non current liabilities
Long term provisions -3.33%638M11.97%711M11.97%711M-6.30%639M31.12%670M35.80%660M-46.91%635M-46.91%635M63.94%682M28.07%511M
Long term debt and capital lease obligation -2.83%6.41B-9.30%6.17B-9.30%6.17B-5.89%6.23B-3.33%6.28B5.65%6.6B25.17%6.8B25.17%6.8B44.48%6.62B47.09%6.49B
-Long term debt -6.00%5.55B-13.58%5.31B-13.58%5.31B-7.44%5.51B-5.08%5.58B4.02%5.9B13.09%6.14B13.09%6.14B42.24%5.95B46.26%5.88B
-Long term capital lease obligation 23.86%867M30.79%858M30.79%858M7.99%716M13.54%696M21.74%700M--656M--656M68.27%663M55.58%613M
Non current deferred liabilities -4.89%389M-11.06%378M-11.06%378M-5.68%382M-14.72%365M-1.45%409M26.11%425M26.11%425M23.10%405M32.92%428M
Employee benefits -7.41%25M-22.58%24M-22.58%24M-23.53%26M-21.21%26M-12.90%27M--31M--31M-10.53%34M-13.16%33M
Derivative product liabilities --------------------------------1.78%629M14.74%646M
Other non current liabilities -14.29%54M-28.00%54M-28.00%54M13.73%58M48.84%64M57.50%63M--75M--75M27.50%51M59.26%43M
Total non current liabilities -3.09%7.52B-7.92%7.33B-7.92%7.33B-12.90%7.33B-9.22%7.4B-0.56%7.76B14.36%7.97B14.36%7.97B39.81%8.42B41.48%8.16B
Total liabilities 0.51%10.75B-5.03%10.69B-5.03%10.69B-5.64%10.92B-11.95%10.22B2.39%10.7B22.05%11.25B22.05%11.25B38.60%11.57B48.97%11.6B
Shareholders'equity
Share capital 0.22%3.25B0.62%3.26B0.62%3.26B22.68%3.26B23.07%3.25B23.29%3.24B25.17%3.24B25.17%3.24B5.40%2.65B5.68%2.64B
-common stock 0.22%3.25B0.62%3.26B0.62%3.26B22.68%3.26B23.07%3.25B23.29%3.24B25.17%3.24B25.17%3.24B5.40%2.65B5.68%2.64B
Retained earnings 44.44%-105M104.37%9M104.37%9M96.08%-2M-61.32%-171M-38.97%-189M-45.07%-206M-45.07%-206M50.49%-51M37.65%-106M
Paid-in capital -6.10%77M23.29%90M23.29%90M18.92%88M25.00%85M26.15%82M23.73%73M23.73%73M27.59%74M30.77%68M
Gains losses not affecting retained earnings 25.35%-53M-2.99%-69M-2.99%-69M7.78%-83M-56.60%-83M-102.86%-71M-71.79%-67M-71.79%-67M-100.00%-90M-26.19%-53M
Other equity interest ---12M---106M---106M--------------------0.00%-494M0.00%-494M
Total stockholders'equity 3.00%3.15B4.74%3.18B4.74%3.18B55.71%3.26B49.88%3.08B50.99%3.06B54.16%3.04B54.16%3.04B8.22%2.09B11.44%2.06B
Noncontrolling interests ------0--0--0--0--0--0--08.29%392M14.71%390M
Total equity 3.00%3.15B4.74%3.18B4.74%3.18B31.15%3.26B25.97%3.08B27.64%3.06B30.23%3.04B30.23%3.04B8.23%2.49B11.95%2.45B
Currency Unit CADCADCADCADCADCADCADCADCADCAD
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