Ajax-Loading

Alimentation Couchen Tard Inc A - End Period Cash Flow

Alimentation Couchen Tard Inc A's Fiscal Year is From May To April - All Figures are in USD, Billions.

The item "End-Period-Cash-Flow" stands at 8.28 Billion United States Dollars for the trailing twelve months (TTM) period ending 10/31/2025.

Alimentation Couchen Tard Inc A's second quarter result of 2.12 Billion USD for the item "End Period Cash Flow" represents a decrease of -4.03 percent compared to it's first quarter result.

Also, Alimentation Couchen Tard Inc A's second quarter result of 2.12 Billion USD for the item "End Period Cash Flow" represents a decrease of -2.32 percent compared to it's second quarter result of last year.

Looking again at the trailing twelve months series (TTM), Alimentation Couchen Tard Inc A's second quarter result of 8.28 Billion USD for the item "End Period Cash Flow" represents a decrease of -0.61 percent compared to it's first quarter result.


Regarding the One-Year-Change of the series, the current value constitutes an increase of 34.61 percent compared to the value the year prior.
The 1 year change in percent is 34.61.
The 3 year change in percent is -11.81.
The 5 year change in percent is -7.49.
The 10 year change in percent is 337.98.

The Serie's long term average value is 4.51 Billion United States Dollars. It's latest available value, on 10/31/2025, is 83.75 percent higher, compared to it's long term average value.
The Serie's change in percent from it's minimum value, on 10/31/2012, to it's latest available value, on 10/31/2025, is +813.77%.
The Serie's change in percent from it's maximum value, on 07/31/2021, to it's latest available value, on 10/31/2025, is -34.72%.

End Period Cash Flow for Related Companies:

LogoNameMarket Cap (USD)
LogoTractor Supply Company - End Period Cash Flow28,576,067,584.00
LogoUlta Beauty Inc - End Period Cash Flow27,034,783,744.00
LogoDick’s Sporting Goods Inc - End Period Cash Flow20,824,635,392.00
LogoChewy Inc - End Period Cash Flow13,884,024,832.00
LogoFive Below Inc - End Period Cash Flow9,551,194,112.00