Postmedia Network Canada Corp. (TSX:PNC.B)
Canada flag Canada · Delayed Price · Currency is CAD
0.950
-0.040 (-4.04%)
At close: Feb 20, 2026

Postmedia Network Canada Balance Sheet

Millions CAD. Fiscal year is Sep - Aug.
Fiscal Year
TTM FY 2025 FY 2024 FY 2023 FY 2022 FY 2021 2020 - 2016
Period Ending
Nov '25 Aug '25 Aug '24 Aug '23 Aug '22 Aug '21 2020 - 2016
Cash & Equivalents
5.333.282.456.1912.0662
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Cash & Short-Term Investments
5.333.282.456.1912.0662
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Cash Growth
-14.07%33.58%-60.36%-48.67%-80.55%24.50%
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Accounts Receivable
51.6747.2742.2340.4642.1235.76
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Other Receivables
1511.911.76.375.5
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Receivables
66.6759.1753.9346.7649.1241.26
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Inventory
1.51.622.323.414.953.35
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Prepaid Expenses
6.446.458.528.848.288.7
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Restricted Cash
---6.970.730.44
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Other Current Assets
--2.562.5617.7317.73
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Total Current Assets
79.9470.5169.7974.7392.86133.46
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Property, Plant & Equipment
35.0437.5354.8775.0896.84112.04
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Other Intangible Assets
15.115.3119.8716.2417.9323.79
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Other Long-Term Assets
4.14.674.43.343.746.91
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Total Assets
134.18128.03148.92169.38211.38276.2
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Accounts Payable
27.7424.2813.8916.2517.8511.99
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Accrued Expenses
42.0925.5222.7319.3621.5937.61
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Short-Term Debt
-3.511.88---
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Current Portion of Long-Term Debt
---17.77137.41
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Current Portion of Leases
7.757.747.778.328.318.12
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Current Unearned Revenue
15.2616.1316.7217.8421.2622.35
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Other Current Liabilities
4.631.251.5110.23.772.26
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Total Current Liabilities
97.4778.4364.5189.7485.7889.74
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Long-Term Debt
398.47388.96352.64292.52260.91248.26
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Long-Term Leases
11.6712.7819.3524.2927.7533.16
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Pension & Post-Retirement Benefits
29.9330.0833.0335.1338.1744.75
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Other Long-Term Liabilities
16.0516.751.22---
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Total Liabilities
553.6527.01470.75441.68412.61415.91
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Common Stock
820.36820.36820.36820.13820.13810.86
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Additional Paid-In Capital
20.4119.9619.5118.9217.9716.57
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Retained Earnings
-1,260-1,239-1,162-1,111-1,039-967.14
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Shareholders' Equity
-419.42-398.99-321.82-272.31-201.23-139.71
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Total Liabilities & Equity
134.18128.03148.92169.38211.38276.2
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Total Debt
417.9412.99381.64342.9309.97296.95
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Net Cash (Debt)
-412.57-409.71-379.19-336.71-297.91-234.96
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Net Cash Per Share
-4.17-4.14-3.83-3.41-3.11-2.38
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Filing Date Shares Outstanding
99.0499.0499.0498.8298.8293.74
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Total Common Shares Outstanding
99.0499.0499.0498.8298.8293.74
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Working Capital
-17.54-7.925.27-15.027.0843.72
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Book Value Per Share
-4.23-4.03-3.25-2.76-2.04-1.49
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Tangible Book Value
-434.52-414.3-341.69-288.54-219.16-163.5
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Tangible Book Value Per Share
-4.39-4.18-3.45-2.92-2.22-1.74
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Land
-11.1912.1213.5416.9317.96
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Buildings
-15.3320.2525.9533.234.61
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Machinery
-117.78117.01120.59140.49139.64
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Source: S&P Capital IQ. Standard template. Financial Sources.