CareRx Corporation (CRRX.TO)

CAD 2.04

(2.0%)

Net Debt Summary of CareRx Corporation

  • CareRx Corporation's latest annual net debt in 2023 was 89.8 Million CAD , down -15.95% from previous year.
  • CareRx Corporation's latest quarterly net debt in 2024 Q2 was 81.41 Million CAD , down -2.08% from previous quarter.
  • CareRx Corporation reported annual net debt of 106.85 Million CAD in 2022, up 18.79% from previous year.
  • CareRx Corporation reported annual net debt of 89.94 Million CAD in 2021, up 43.76% from previous year.
  • CareRx Corporation reported quarterly net debt of 81.41 Million CAD for 2024 Q2, down -2.08% from previous quarter.
  • CareRx Corporation reported quarterly net debt of 100.2 Million CAD for 2023 Q2, up 5.31% from previous quarter.

Annual Net Debt Chart of CareRx Corporation (2023 - 2002)

Historical Annual Net Debt of CareRx Corporation (2023 - 2002)

Year Net Debt Net Debt Growth
2023 89.8 Million CAD -15.95%
2022 106.85 Million CAD 18.79%
2021 89.94 Million CAD 43.76%
2020 62.57 Million CAD -5.42%
2019 66.15 Million CAD -23.26%
2018 86.2 Million CAD 5.39%
2017 81.79 Million CAD -15.06%
2016 96.29 Million CAD -62.25%
2015 255.07 Million CAD -0.04%
2014 255.17 Million CAD -2.13%
2013 260.72 Million CAD 27.33%
2012 204.76 Million CAD 9.84%
2011 186.41 Million CAD 1264.76%
2010 13.65 Million CAD 69.21%
2009 8.07 Million CAD 301.69%
2008 -4 Million CAD 0.66%
2007 -4.02 Million CAD -632.0%
2006 -550.4 Thousand CAD 2.71%
2005 -565.72 Thousand CAD 8.12%
2004 -615.72 Thousand CAD -204.44%
2003 589.56 Thousand CAD 425.93%
2002 -180.88 Thousand CAD 0.0%

Peer Net Debt Comparison of CareRx Corporation

Name Net Debt Net Debt Difference
dentalcorp Holdings Ltd. 1.31 Billion CAD 93.172%
Extendicare Inc. 258.6 Million CAD 65.272%
Numinus Wellness Inc. -1.38 Million CAD 6607.081%
Sienna Senior Living Inc. 982.24 Million CAD 90.857%
WELL Health Technologies Corp. 382.86 Million CAD 76.543%