BRP Inc (DE:B15A)

BRP (B15A) Financial Statements


BRP Financial Overview

BRP's market cap is currently ―. The company's EPS TTM is €; its P/E ratio is ―; and it has a dividend yield of 0.69%. BRP is scheduled to report earnings on August 31, 2023, and the estimated EPS forecast is €2.08. See an overview of income statement, balance sheet, and cash flow financials.
Jan 23Oct 22Jul 22Apr 22Jan 22
Income Statement-
Total RevenueC$ 3.08BC$ 2.71BC$ 2.44BC$ 1.81BC$ 2.35B
Gross ProfitC$ 787.60MC$ 654.70MC$ 602.70MC$ 454.40MC$ 609.50M
EBITC$ 497.00MC$ 251.30MC$ 346.10MC$ 185.70MC$ 303.40M
EBITDAC$ 587.00MC$ 327.60MC$ 418.90MC$ 257.00MC$ 377.90M
Net Income Common StockholdersC$ 365.30MC$ 141.20MC$ 236.50MC$ 120.90MC$ 209.40M
Balance Sheet-
Cash, Cash Equivalents and Short-Term InvestmentsC$ 324.90MC$ 145.40MC$ 173.50MC$ 149.90MC$ 339.40M
Total AssetsC$ 6.46BC$ 6.15BC$ 5.38BC$ 5.21BC$ 5.03B
Total DebtC$ 3.02BC$ 2.86BC$ 2.58BC$ 2.52BC$ 2.19B
Net DebtC$ 2.69BC$ 2.71BC$ 2.41BC$ 2.37BC$ 1.85B
Total LiabilitiesC$ 5.92BC$ 5.98BC$ 5.37BC$ 5.42BC$ 5.16B
Stockholders EquityC$ 534.90MC$ 166.10MC$ 5.50MC$ -214.90MC$ -135.60M
Cash Flow-
Free Cash FlowC$ 44.30MC$ 167.80MC$ 220.10MC$ -442.10MC$ 375.80M
Operating Cash FlowC$ 307.20MC$ 343.30MC$ 332.10MC$ -333.10MC$ 708.80M
Investing Cash FlowC$ -253.90MC$ -377.00MC$ -115.00MC$ -107.50MC$ -328.90M
Financing Cash FlowC$ 109.70MC$ 72.80MC$ -224.70MC$ 232.50MC$ -138.50M
Currency in CAD

BRP Earnings and Revenue History

BRP Debt to Assets

BRP Cash Flow

BRP Forecast EPS vs Actual EPS

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