Clairvest Group Inc. | Balance Sheet
Fiscal year is April-March. All values CAD Thousands.
2014
2015
2016
2017
2018
2019
Cash & Short Term Investments
52,791.00
98,644.00
87,043.00
122,169.00
136,167.00
404,234
Net Property, Plant & Equipment
-
2,267.00
1,860.00
2,100.00
1,496.00
6,569
Total Assets
411,774.00
531,207.00
570,191.00
671,951.00
834,889.00
911,253
Deferred Taxes
10,095.00
8,064.00
14,139.00
20,670.00
23,944.00
Other Liabilities
24,531.00
75,449.00
70,531.00
101,077.00
143,624.00
Total Liabilities
34,626.00
83,513.00
84,670.00
121,747.00
167,568.00
Common Equity (Total)
377,148.00
447,694.00
485,521.00
550,204.00
667,321.00
Total Shareholders' Equity
377,148.00
447,694.00
485,521.00
550,204.00
667,321.00
Total Equity
377,148.00
447,694.00
485,521.00
550,204.00
667,321.00
Liabilities & Shareholders' Equity
411,774.00
531,207.00
570,191.00
671,951.00
834,889.00
Short-Term Receivables
54,922.00
79,717.00
123,747.00
135,388.00
167,832.00
83,028
Investments - Total
304,061.00
349,932.00
354,382.00
410,126.00
526,929.00
414,370
Other Assets (Including Intangibles)
-
647.00
3,159.00
2,168.00
2,465.00
3,052
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