Groupe Dynamite Inc. (TSX:GRGD)
Canada flag Canada · Delayed Price · Currency is CAD
26.13
-0.95 (-3.51%)
Jun 27, 2025, 4:00 PM EDT

Groupe Dynamite Income Statement

Millions CAD. Fiscal year is Mar - Feb.
Fiscal Year
TTM FY 2025 FY 2024 FY 2023 FY 2022
Period Ending
May '25 Feb '25 Feb '24 Jan '23 Jan '22
Revenue
996.3958.53800.83697.44628.04
Revenue Growth (YoY)
21.57%19.69%14.82%11.05%-
Cost of Revenue
374.65356.93313.65277.88273.65
Gross Profit
621.65601.59487.19419.56354.39
Selling, General & Admin
321.62313.16272.34241.05246.3
Operating Expenses
402.92389.92341.71307.9304.35
Operating Income
218.73211.67145.48111.6650.05
Interest Expense
-32.91-34.56-37.13-19.08-11.54
Interest & Investment Income
7.019.810.724.20.73
Currency Exchange Gain (Loss)
-0.350.53-0.290.33-4.71
Other Non Operating Income (Expenses)
-0.330.16-0.14-0.01-
EBT Excluding Unusual Items
192.15187.59118.6497.0934.54
Other Unusual Items
----12.18104.75
Pretax Income
192.15187.59118.6484.91139.28
Income Tax Expense
52.9851.8332.8322.0630.1
Net Income
139.17135.7785.8262.85109.18
Net Income to Common
139.17135.7785.8262.85109.18
Net Income Growth
41.15%58.21%36.55%-42.44%-
Shares Outstanding (Basic)
108108108457457
Shares Outstanding (Diluted)
110109108457457
Shares Change (YoY)
445.69%1.12%-76.47%--
EPS (Basic)
1.291.260.800.140.24
EPS (Diluted)
1.271.250.800.140.24
EPS Growth
-73.99%56.66%480.20%-42.44%-
Free Cash Flow
179.89174.3297.34107.75121.95
Free Cash Flow Per Share
1.631.600.910.240.27
Gross Margin
62.40%62.76%60.83%60.16%56.43%
Operating Margin
21.95%22.08%18.17%16.01%7.97%
Profit Margin
13.97%14.16%10.72%9.01%17.38%
Free Cash Flow Margin
18.06%18.19%12.16%15.45%19.42%
EBITDA
244.28234.53168.92141.61108.1
EBITDA Margin
24.52%24.47%21.09%20.30%17.21%
D&A For EBITDA
25.5522.8623.4429.9558.05
EBIT
218.73211.67145.48111.6650.05
EBIT Margin
21.95%22.08%18.17%16.01%7.97%
Effective Tax Rate
27.57%27.63%27.67%25.98%21.61%
Updated Dec 18, 2024. Source: S&P Global Market Intelligence. Standard template. Financial Sources.