Cineplex Inc. (TSX:CGX)
Canada flag Canada · Delayed Price · Currency is CAD
10.65
+0.15 (1.43%)
At close: Mar 9, 2026

Cineplex Balance Sheet

Millions CAD. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025 FY 2024 FY 2023 FY 2022 FY 2021 2020 - 2016
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21 2020 - 2016
Cash & Equivalents
13483.8736.6734.6726.94
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Trading Asset Securities
--3.228.99-
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Cash & Short-Term Investments
13483.8739.8843.6726.94
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Cash Growth
59.77%110.29%-8.67%62.10%65.73%
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Accounts Receivable
81.9395.4485.0784.2253.33
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Other Receivables
31.3926.6215.3824.929.34
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Receivables
113.32122.06100.46109.1282.66
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Inventory
15.920.7217.6236.9224.9
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Prepaid Expenses
13.291111.4815.6613.37
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Other Current Assets
--93.32--
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Total Current Assets
276.5237.66262.77205.36147.87
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Property, Plant & Equipment
1,0771,1721,1491,2221,233
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Long-Term Investments
8.546.776.013.087.42
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Goodwill
575.61620.3620.3636.13635.55
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Other Intangible Assets
78.6881.1380.8780.4381.65
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Long-Term Deferred Tax Assets
152.35149.55146.78--
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Other Long-Term Assets
18.3819.425.592.989.24
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Total Assets
2,1872,2872,2712,1502,115
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Accounts Payable
115.78115.8480.991.5378.25
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Accrued Expenses
43.4941.6342.544.1333.99
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Current Portion of Long-Term Debt
----8.06
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Current Portion of Leases
82.4888.6785.0396.09101.06
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Current Income Taxes Payable
0.090.090.173.741.95
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Current Unearned Revenue
185.98189.99197.33220.53293.21
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Other Current Liabilities
102.9118.3576.3359.6345.71
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Total Current Liabilities
530.72554.58482.26515.65562.22
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Long-Term Debt
744.1736.47817.44824.89745.37
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Long-Term Leases
967.071,011993.41,0051,004
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Pension & Post-Retirement Benefits
7.026.897.116.979.97
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Other Long-Term Liabilities
18.0618.5810.7210.2112.53
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Total Liabilities
2,2672,3272,3112,3622,335
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Common Stock
851.12853.67856.7852.7852.47
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Additional Paid-In Capital
122.28123.9985.2483.0180.03
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Retained Earnings
-1,053-1,018-981.97-1,149-1,151
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Comprehensive Income & Other
-0.360.611.45-0.82
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Total Common Equity
-79.49-39.7-39.44-211.81-219.72
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Shareholders' Equity
-79.49-39.7-39.44-211.81-219.72
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Total Liabilities & Equity
2,1872,2872,2712,1502,115
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Total Debt
1,7941,8361,8961,9261,859
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Net Cash (Debt)
-1,660-1,752-1,856-1,882-1,832
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Net Cash Per Share
-26.15-27.55-20.10-29.70-28.92
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Filing Date Shares Outstanding
63.4263.4263.6863.3863.34
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Total Common Shares Outstanding
63.4263.4263.6863.3863.34
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Working Capital
-254.22-316.92-219.49-310.29-414.36
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Book Value Per Share
-1.25-0.63-0.62-3.34-3.47
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Tangible Book Value
-733.79-741.13-740.61-928.38-936.92
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Tangible Book Value Per Share
-11.57-11.69-11.63-14.65-14.79
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Land
5.65.779.029.029.19
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Buildings
850910.66873.74847.42831.55
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Machinery
774.97833.18794.03880.63850.43
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Construction In Progress
7.486.5812.7216.925.52
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Source: S&P Capital IQ. Standard template. Financial Sources.