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PKPYY PICK'N PAY STORES ADR EACH REPR 5 ORD

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  • 6.840
  • 0.0000.00%
15min DelayClose Aug 21 16:00 ET
1.01BMarket Cap-4.18P/E (TTM)

PICK'N PAY STORES ADR EACH REPR 5 ORD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Feb 25, 2024
(FY)Feb 26, 2023
(FY)Feb 27, 2022
(FY)Feb 28, 2021
(FY)Mar 1, 2020
(FY)Mar 3, 2019
(FY)Feb 25, 2018
(FY)Feb 26, 2017
(FY)Feb 28, 2016
(FY)Mar 1, 2015
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-87.37%385M
5.60%3.05B
6.60%2.89B
-14.70%2.71B
3.92%3.17B
67.86%3.05B
4.86%1.82B
14.46%1.74B
22.27%1.52B
22.75%1.24B
Other non cash items
-22.07%-36.5M
23.92%-29.9M
55.94%-39.3M
-44,500.00%-89.2M
92.31%-200K
-101.81%-2.6M
8.84%144M
66.83%132.3M
0.63%79.3M
-6.75%78.8M
Change In working capital
212.31%1.09B
-71.79%-968.2M
-195.28%-563.6M
136.69%591.5M
135.27%249.9M
-493.38%-708.5M
87.41%-119.4M
-230.28%-948.3M
242.70%727.9M
-72.76%212.4M
-Change in receivables
201.30%302.8M
22.88%-298.9M
-261.97%-387.6M
100.08%239.3M
115.05%119.6M
-378.80%-794.8M
-39.61%-166M
69.50%-118.9M
-240.44%-389.8M
76.15%-114.5M
-Change in inventory
121.16%494.8M
-117.67%-2.34B
-66.31%-1.07B
21.35%-645.9M
-444.17%-821.2M
186.54%238.6M
65.58%-275.7M
-62.69%-801.1M
26.79%-492.4M
-2,228.48%-672.6M
Cash from discontinued investing activities
Operating cash flow
-8.79%2.48B
-14.27%2.72B
-20.60%3.17B
13.73%3.99B
47.56%3.51B
33.16%2.38B
116.10%1.79B
-66.72%826.6M
43.84%2.48B
-18.79%1.73B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
36.18%-2.14B
-81.17%-3.36B
-55.91%-1.85B
25.32%-1.19B
-39.17%-1.59B
17.98%-1.14B
17.26%-1.4B
-6.51%-1.69B
-88.46%-1.58B
0.50%-840M
Net intangibles purchase and sale
-19.48%-245.9M
-144.71%-205.8M
-4.47%-84.1M
11.73%-80.5M
33.72%-91.2M
-36.51%-137.6M
24.78%-100.8M
-56.36%-134M
44.53%-85.7M
44.44%-154.5M
Net business purchase and sale
6.73%-307.5M
-491.92%-329.7M
72.08%-55.7M
-775.00%-199.5M
-117.14%-22.8M
89.09%-10.5M
-705.03%-96.2M
120.31%15.9M
-59.15%-78.3M
50.95%-49.2M
Net other investing changes
-0.75%399.5M
-21.71%402.5M
72.98%514.1M
-12.84%297.2M
-29.79%341M
11,138.64%485.7M
34.33%-4.4M
58.90%-6.7M
-142.12%-16.3M
1,000.00%38.7M
Cash from discontinued investing activities
Investing cash flow
33.31%-2.35B
-133.92%-3.52B
-31.62%-1.51B
15.21%-1.14B
-62.78%-1.35B
47.86%-829.4M
11.61%-1.59B
-2.30%-1.8B
-73.56%-1.76B
16.95%-1.01B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
399.61%3.4B
-268.73%-1.13B
-71.96%671.9M
714.41%2.4B
-148.98%-390M
101.72%796.2M
199.57%394.7M
-55.63%-396.4M
63.65%-254.7M
-349.41%-700.6M
Net common stock issuance
--0
21.10%-90.1M
---114.2M
--0
72.05%-86.9M
26.24%-310.9M
-24.93%-421.5M
-167.99%-337.4M
18.62%-125.9M
-248.42%-154.7M
Cash from discontinued financing activities
Financing cash flow
124.26%881.1M
-141.83%-3.63B
-308.86%-1.5B
136.61%719.2M
-66.02%-1.96B
-4,314.93%-1.18B
96.35%-26.8M
-92.80%-733.8M
55.50%-380.6M
-461.65%-855.3M
Net cash flow
Beginning cash position
-122.13%-802.2M
4.67%3.63B
3,472.64%3.46B
65.40%-102.7M
55.76%-296.8M
19.95%-670.9M
-194.93%-838.1M
68.33%882.9M
-21.03%524.5M
346.09%664.2M
Current changes in cash
122.73%1.01B
-2,862.73%-4.44B
-95.49%160.7M
1,725.13%3.57B
-46.61%195.4M
116.95%366M
109.88%168.7M
-596.48%-1.71B
341.77%343.8M
-112.45%-142.2M
Effect of exchange rate changes
-118.85%-2.3M
1,255.56%12.2M
800.00%900K
107.69%100K
-116.05%-1.3M
640.00%8.1M
89.36%-1.5M
-196.58%-14.1M
484.00%14.6M
213.64%2.5M
End cash Position
125.49%204.5M
-122.13%-802.2M
4.67%3.63B
3,472.64%3.46B
65.40%-102.7M
55.76%-296.8M
19.95%-670.9M
-194.93%-838.1M
68.33%882.9M
-39.73%524.5M
Free cash flow
-5.37%-965.5M
-183.97%-916.3M
-59.68%1.09B
53.38%2.71B
90.11%1.76B
288.37%928.2M
122.91%239M
-234.67%-1.04B
15.61%774.8M
-29.80%670.2M
Currency Unit
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
(FY)Feb 25, 2024(FY)Feb 26, 2023(FY)Feb 27, 2022(FY)Feb 28, 2021(FY)Mar 1, 2020(FY)Mar 3, 2019(FY)Feb 25, 2018(FY)Feb 26, 2017(FY)Feb 28, 2016(FY)Mar 1, 2015
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -87.37%385M5.60%3.05B6.60%2.89B-14.70%2.71B3.92%3.17B67.86%3.05B4.86%1.82B14.46%1.74B22.27%1.52B22.75%1.24B
Other non cash items -22.07%-36.5M23.92%-29.9M55.94%-39.3M-44,500.00%-89.2M92.31%-200K-101.81%-2.6M8.84%144M66.83%132.3M0.63%79.3M-6.75%78.8M
Change In working capital 212.31%1.09B-71.79%-968.2M-195.28%-563.6M136.69%591.5M135.27%249.9M-493.38%-708.5M87.41%-119.4M-230.28%-948.3M242.70%727.9M-72.76%212.4M
-Change in receivables 201.30%302.8M22.88%-298.9M-261.97%-387.6M100.08%239.3M115.05%119.6M-378.80%-794.8M-39.61%-166M69.50%-118.9M-240.44%-389.8M76.15%-114.5M
-Change in inventory 121.16%494.8M-117.67%-2.34B-66.31%-1.07B21.35%-645.9M-444.17%-821.2M186.54%238.6M65.58%-275.7M-62.69%-801.1M26.79%-492.4M-2,228.48%-672.6M
Cash from discontinued investing activities
Operating cash flow -8.79%2.48B-14.27%2.72B-20.60%3.17B13.73%3.99B47.56%3.51B33.16%2.38B116.10%1.79B-66.72%826.6M43.84%2.48B-18.79%1.73B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale 36.18%-2.14B-81.17%-3.36B-55.91%-1.85B25.32%-1.19B-39.17%-1.59B17.98%-1.14B17.26%-1.4B-6.51%-1.69B-88.46%-1.58B0.50%-840M
Net intangibles purchase and sale -19.48%-245.9M-144.71%-205.8M-4.47%-84.1M11.73%-80.5M33.72%-91.2M-36.51%-137.6M24.78%-100.8M-56.36%-134M44.53%-85.7M44.44%-154.5M
Net business purchase and sale 6.73%-307.5M-491.92%-329.7M72.08%-55.7M-775.00%-199.5M-117.14%-22.8M89.09%-10.5M-705.03%-96.2M120.31%15.9M-59.15%-78.3M50.95%-49.2M
Net other investing changes -0.75%399.5M-21.71%402.5M72.98%514.1M-12.84%297.2M-29.79%341M11,138.64%485.7M34.33%-4.4M58.90%-6.7M-142.12%-16.3M1,000.00%38.7M
Cash from discontinued investing activities
Investing cash flow 33.31%-2.35B-133.92%-3.52B-31.62%-1.51B15.21%-1.14B-62.78%-1.35B47.86%-829.4M11.61%-1.59B-2.30%-1.8B-73.56%-1.76B16.95%-1.01B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 399.61%3.4B-268.73%-1.13B-71.96%671.9M714.41%2.4B-148.98%-390M101.72%796.2M199.57%394.7M-55.63%-396.4M63.65%-254.7M-349.41%-700.6M
Net common stock issuance --021.10%-90.1M---114.2M--072.05%-86.9M26.24%-310.9M-24.93%-421.5M-167.99%-337.4M18.62%-125.9M-248.42%-154.7M
Cash from discontinued financing activities
Financing cash flow 124.26%881.1M-141.83%-3.63B-308.86%-1.5B136.61%719.2M-66.02%-1.96B-4,314.93%-1.18B96.35%-26.8M-92.80%-733.8M55.50%-380.6M-461.65%-855.3M
Net cash flow
Beginning cash position -122.13%-802.2M4.67%3.63B3,472.64%3.46B65.40%-102.7M55.76%-296.8M19.95%-670.9M-194.93%-838.1M68.33%882.9M-21.03%524.5M346.09%664.2M
Current changes in cash 122.73%1.01B-2,862.73%-4.44B-95.49%160.7M1,725.13%3.57B-46.61%195.4M116.95%366M109.88%168.7M-596.48%-1.71B341.77%343.8M-112.45%-142.2M
Effect of exchange rate changes -118.85%-2.3M1,255.56%12.2M800.00%900K107.69%100K-116.05%-1.3M640.00%8.1M89.36%-1.5M-196.58%-14.1M484.00%14.6M213.64%2.5M
End cash Position 125.49%204.5M-122.13%-802.2M4.67%3.63B3,472.64%3.46B65.40%-102.7M55.76%-296.8M19.95%-670.9M-194.93%-838.1M68.33%882.9M-39.73%524.5M
Free cash flow -5.37%-965.5M-183.97%-916.3M-59.68%1.09B53.38%2.71B90.11%1.76B288.37%928.2M122.91%239M-234.67%-1.04B15.61%774.8M-29.80%670.2M
Currency Unit ZARZARZARZARZARZARZARZARZARZAR
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