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WGRGF GEORGE WESTON LTD 4.75% PRF 01/07/2015 CAD25 SER V

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15min DelayClose Dec 20 09:30 ET
0Market Cap0.00P/E (TTM)

GEORGE WESTON LTD 4.75% PRF 01/07/2015 CAD25 SER V Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Oct 5, 2024
(Q2)Jun 15, 2024
(Q1)Mar 23, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Oct 7, 2023
(Q2)Jun 17, 2023
(Q1)Mar 25, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-11.46%2.16B
13.23%2.83B
-6.99%2.26B
3.80%2.92B
3.80%2.92B
-7.91%2.44B
-8.15%2.5B
-35.83%2.43B
-27.10%2.82B
-27.10%2.82B
-Cash and cash equivalents
-7.87%1.63B
22.84%2.42B
3.58%1.94B
5.97%2.45B
5.97%2.45B
-19.24%1.77B
-13.63%1.97B
-33.73%1.87B
-22.49%2.31B
-22.49%2.31B
-Short-term investments
-20.83%536M
-22.41%412M
-42.47%321M
-6.16%472M
-6.16%472M
45.28%677M
20.14%531M
-42.00%558M
-42.78%503M
-42.78%503M
Receivables
-0.53%5.25B
-0.42%5.24B
1.14%5.13B
5.40%5.51B
5.40%5.51B
6.76%5.27B
8.73%5.27B
13.56%5.07B
9.95%5.23B
9.95%5.23B
-Accounts receivable
-0.53%5.25B
-0.42%5.24B
1.14%5.13B
5.40%5.51B
5.40%5.51B
6.76%5.27B
8.73%5.27B
16.91%5.07B
17.38%5.23B
17.38%5.23B
-Taxes receivable
----
----
----
----
----
----
----
--0
----
----
Inventory
2.48%6.04B
3.44%5.77B
3.75%5.95B
-0.44%5.83B
-0.44%5.83B
2.33%5.9B
4.14%5.58B
8.45%5.74B
13.34%5.86B
13.34%5.86B
Prepaid assets
----
0.00%250M
----
----
----
--0
--250M
----
----
----
Other current assets
-7.38%866M
-16.89%758M
1.15%706M
-6.81%629M
-6.81%629M
63.18%935M
82.77%912M
38.49%698M
93.97%675M
93.97%675M
Total current assets
-1.56%14.41B
2.63%14.92B
0.19%14.06B
1.93%14.94B
1.93%14.94B
2.90%14.64B
7.37%14.54B
-5.73%14.03B
3.03%14.65B
3.03%14.65B
Non current assets
Net PPE
9.09%17.3B
6.90%16.62B
6.06%16.37B
6.04%16.27B
6.04%16.27B
5.88%15.85B
4.43%15.54B
4.62%15.43B
3.36%15.34B
3.36%15.34B
-Gross PPE
9.09%17.3B
6.90%16.62B
6.06%16.37B
7.54%33.41B
7.54%33.41B
5.88%15.85B
4.43%15.54B
4.62%15.43B
6.43%31.07B
6.43%31.07B
-Accumulated depreciation
----
----
----
-9.00%-17.14B
-9.00%-17.14B
----
----
----
-9.62%-15.73B
-9.62%-15.73B
Goodwill and other intangible assets
-4.89%10.48B
-4.73%10.62B
-4.58%10.75B
-4.32%10.89B
-4.32%10.89B
-3.97%11.02B
-4.02%11.15B
4.43%11.27B
4.32%11.38B
4.32%11.38B
-Goodwill
0.23%4.89B
0.39%4.88B
0.41%4.88B
0.54%4.88B
0.54%4.88B
0.72%4.88B
0.25%4.87B
8.41%4.86B
8.35%4.85B
8.35%4.85B
-Other intangible assets
-8.96%5.59B
-8.70%5.74B
-8.37%5.87B
-7.94%6.01B
-7.94%6.01B
-7.41%6.14B
-7.08%6.29B
1.60%6.41B
1.51%6.53B
1.51%6.53B
Investments and advances
-4.66%838M
-4.05%852M
0.80%881M
-10.37%1.67B
-10.37%1.67B
-44.92%879M
-38.25%888M
-12.07%874M
104.28%1.86B
104.28%1.86B
Long-term notes receivables
----
----
----
-59.41%82M
-59.41%82M
----
----
----
88.79%202M
88.79%202M
Non current accounts receivable
----
----
----
-44.44%35M
-44.44%35M
----
----
----
-10.00%63M
-10.00%63M
Non current deferred assets
-1.50%131M
26.17%135M
43.16%136M
40.82%138M
40.82%138M
34.34%133M
15.05%107M
-5.00%95M
-13.27%98M
-13.27%98M
Non current prepaid assets
-7.69%36M
0.00%35M
-5.26%36M
----
----
--39M
--35M
--38M
----
----
Defined pension benefit
----
----
----
375.38%309M
375.38%309M
----
----
----
-86.87%65M
-86.87%65M
Other non current assets
26.19%1.3B
-19.66%1.03B
-26.09%1.08B
-46.10%83M
-46.10%83M
190.11%1.03B
394.96%1.28B
597.14%1.46B
116.90%154M
116.90%154M
Total non current assets
3.52%35.56B
0.72%34.69B
0.34%34.65B
1.54%34.83B
1.54%34.83B
0.77%34.35B
2.23%34.44B
7.02%34.54B
4.40%34.31B
4.40%34.31B
Total assets
2.00%49.97B
1.28%49.61B
0.30%48.71B
1.66%49.77B
1.66%49.77B
1.39%48.99B
3.70%48.98B
2.99%48.57B
3.98%48.96B
3.98%48.96B
Liabilities
Current liabilities
Payables
-0.79%7.24B
-2.48%6.71B
2.77%7.02B
2.08%7.56B
2.08%7.56B
3.72%7.3B
2.79%6.88B
6.60%6.83B
11.85%7.41B
11.85%7.41B
-accounts payable
0.93%6.73B
-0.67%6.2B
4.14%6.47B
2.33%6.89B
2.33%6.89B
4.61%6.67B
2.54%6.25B
4.99%6.21B
13.62%6.73B
13.62%6.73B
-Total tax payable
-32.43%150M
-41.78%131M
-26.27%160M
24.80%307M
24.80%307M
-0.89%222M
30.81%225M
189.33%217M
-8.55%246M
-8.55%246M
-Due to related parties current
-11.76%360M
-8.47%378M
-2.72%393M
-14.75%370M
-14.75%370M
-6.85%408M
-4.84%413M
-3.35%404M
0.23%434M
0.23%434M
Current provisions
304.72%514M
277.24%547M
18.69%127M
4.31%121M
4.31%121M
-15.89%127M
-28.22%145M
8.08%107M
-2.52%116M
-2.52%116M
Current debt and capital lease obligation
-28.14%2.81B
13.46%3.53B
37.59%3.76B
40.05%4.1B
40.05%4.1B
36.83%3.92B
21.32%3.11B
-17.61%2.73B
5.86%2.93B
5.86%2.93B
-Current debt
-37.64%1.9B
17.12%2.64B
52.35%2.88B
53.90%3.22B
53.90%3.22B
49.85%3.05B
29.52%2.26B
-24.81%1.89B
3.41%2.09B
3.41%2.09B
-Current capital lease obligation
5.05%915M
3.85%891M
4.40%878M
5.39%880M
5.39%880M
4.94%871M
4.00%858M
4.99%841M
12.53%835M
12.53%835M
Current deferred liabilities
27.21%187M
27.74%175M
29.77%170M
32.80%166M
32.80%166M
34.86%147M
38.38%137M
50.57%131M
66.67%125M
66.67%125M
Other current liabilities
-33.85%129M
-30.65%129M
-34.03%126M
-31.67%123M
-31.67%123M
-17.37%195M
-16.96%186M
-12.39%191M
-5.26%180M
-5.26%180M
Current liabilities
-6.84%10.89B
6.03%11.1B
12.11%11.2B
12.22%12.07B
12.22%12.07B
12.40%11.68B
6.92%10.47B
-1.34%9.99B
10.07%10.76B
10.07%10.76B
Non current liabilities
Long term provisions
16.47%99M
9.30%94M
6.90%93M
14.29%96M
14.29%96M
1.19%85M
-1.15%86M
-1.14%87M
-6.67%84M
-6.67%84M
Long term debt and capital lease obligation
12.03%19.09B
2.95%18.66B
-4.09%17.31B
-2.93%17.2B
-2.93%17.2B
-2.99%17.04B
4.90%18.13B
10.74%18.05B
5.93%17.72B
5.93%17.72B
-Long term debt
10.48%13.99B
2.74%14.05B
-6.42%12.75B
-5.67%12.64B
-5.67%12.64B
-4.36%12.67B
5.44%13.67B
13.07%13.63B
7.29%13.4B
7.29%13.4B
-Long term capital lease obligation
16.53%5.09B
3.57%4.62B
3.10%4.56B
5.55%4.56B
5.55%4.56B
1.20%4.37B
3.27%4.46B
4.15%4.42B
1.91%4.32B
1.91%4.32B
Non current deferred liabilities
-11.70%1.66B
-12.18%1.72B
-7.04%1.86B
-6.83%1.87B
-6.83%1.87B
-6.14%1.88B
-3.12%1.95B
-2.58%2B
0.20%2.01B
0.20%2.01B
Employee benefits
----
----
----
6.35%419M
6.35%419M
----
----
----
-14.53%394M
-14.53%394M
Other non current liabilities
15.66%5.33B
-2.34%4.72B
0.12%5.02B
-3.45%4.65B
-3.45%4.65B
11.22%4.61B
9.20%4.83B
0.42%5.01B
-1.53%4.81B
-1.53%4.81B
Total non current liabilities
10.86%26.18B
0.76%25.19B
-3.45%24.29B
-3.14%24.24B
-3.14%24.24B
-2.46%23.61B
3.09%25B
5.40%25.15B
3.51%25.02B
3.51%25.02B
Total liabilities
5.00%37.06B
2.32%36.29B
0.98%35.49B
1.48%36.31B
1.48%36.31B
2.00%35.3B
4.19%35.47B
3.39%35.14B
5.40%35.78B
5.40%35.78B
Shareholders'equity
Share capital
-1.34%3.3B
-2.07%3.32B
-2.61%3.33B
-3.15%3.33B
-3.15%3.33B
-2.82%3.35B
-2.81%3.39B
-2.96%3.42B
-2.72%3.43B
-2.72%3.43B
-common stock
-1.78%2.48B
-2.72%2.5B
-3.43%2.51B
-4.13%2.51B
-4.13%2.51B
-3.69%2.53B
-3.67%2.57B
-3.85%2.6B
-3.54%2.62B
-3.54%2.62B
-Preferred stock
0.00%817M
0.00%817M
0.00%817M
0.00%817M
0.00%817M
0.00%817M
0.00%817M
0.00%817M
0.00%817M
0.00%817M
Retained earnings
-10.77%5.04B
-0.60%5.43B
2.03%5.38B
6.82%5.42B
6.82%5.42B
1.84%5.65B
7.35%5.47B
8.15%5.27B
5.55%5.08B
5.55%5.08B
Paid-in capital
-25.90%-2.7B
-22.99%-2.54B
-26.86%-2.46B
-22.05%-2.28B
-22.05%-2.28B
-21.44%-2.15B
-21.60%-2.07B
-24.10%-1.94B
-27.50%-1.86B
-27.50%-1.86B
Gains losses not affecting retained earnings
17.87%244M
9.95%221M
10.88%214M
3.55%204M
3.55%204M
9.52%207M
35.81%201M
82.08%193M
134.52%197M
134.52%197M
Total stockholders'equity
-16.62%5.88B
-7.98%6.43B
-6.93%6.46B
-2.43%6.68B
-2.43%6.68B
-4.81%7.05B
-0.54%6.99B
0.06%6.94B
-1.70%6.84B
-1.70%6.84B
Noncontrolling interests
5.84%7.03B
5.59%6.89B
4.37%6.77B
7.08%6.79B
7.08%6.79B
5.33%6.64B
5.86%6.52B
4.09%6.48B
2.61%6.34B
2.61%6.34B
Total equity
-5.72%12.91B
-1.43%13.32B
-1.47%13.23B
2.15%13.46B
2.15%13.46B
-0.15%13.7B
2.45%13.51B
1.97%13.43B
0.33%13.18B
0.33%13.18B
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(Q3)Oct 5, 2024(Q2)Jun 15, 2024(Q1)Mar 23, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Oct 7, 2023(Q2)Jun 17, 2023(Q1)Mar 25, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -11.46%2.16B13.23%2.83B-6.99%2.26B3.80%2.92B3.80%2.92B-7.91%2.44B-8.15%2.5B-35.83%2.43B-27.10%2.82B-27.10%2.82B
-Cash and cash equivalents -7.87%1.63B22.84%2.42B3.58%1.94B5.97%2.45B5.97%2.45B-19.24%1.77B-13.63%1.97B-33.73%1.87B-22.49%2.31B-22.49%2.31B
-Short-term investments -20.83%536M-22.41%412M-42.47%321M-6.16%472M-6.16%472M45.28%677M20.14%531M-42.00%558M-42.78%503M-42.78%503M
Receivables -0.53%5.25B-0.42%5.24B1.14%5.13B5.40%5.51B5.40%5.51B6.76%5.27B8.73%5.27B13.56%5.07B9.95%5.23B9.95%5.23B
-Accounts receivable -0.53%5.25B-0.42%5.24B1.14%5.13B5.40%5.51B5.40%5.51B6.76%5.27B8.73%5.27B16.91%5.07B17.38%5.23B17.38%5.23B
-Taxes receivable ------------------------------0--------
Inventory 2.48%6.04B3.44%5.77B3.75%5.95B-0.44%5.83B-0.44%5.83B2.33%5.9B4.14%5.58B8.45%5.74B13.34%5.86B13.34%5.86B
Prepaid assets ----0.00%250M--------------0--250M------------
Other current assets -7.38%866M-16.89%758M1.15%706M-6.81%629M-6.81%629M63.18%935M82.77%912M38.49%698M93.97%675M93.97%675M
Total current assets -1.56%14.41B2.63%14.92B0.19%14.06B1.93%14.94B1.93%14.94B2.90%14.64B7.37%14.54B-5.73%14.03B3.03%14.65B3.03%14.65B
Non current assets
Net PPE 9.09%17.3B6.90%16.62B6.06%16.37B6.04%16.27B6.04%16.27B5.88%15.85B4.43%15.54B4.62%15.43B3.36%15.34B3.36%15.34B
-Gross PPE 9.09%17.3B6.90%16.62B6.06%16.37B7.54%33.41B7.54%33.41B5.88%15.85B4.43%15.54B4.62%15.43B6.43%31.07B6.43%31.07B
-Accumulated depreciation -------------9.00%-17.14B-9.00%-17.14B-------------9.62%-15.73B-9.62%-15.73B
Goodwill and other intangible assets -4.89%10.48B-4.73%10.62B-4.58%10.75B-4.32%10.89B-4.32%10.89B-3.97%11.02B-4.02%11.15B4.43%11.27B4.32%11.38B4.32%11.38B
-Goodwill 0.23%4.89B0.39%4.88B0.41%4.88B0.54%4.88B0.54%4.88B0.72%4.88B0.25%4.87B8.41%4.86B8.35%4.85B8.35%4.85B
-Other intangible assets -8.96%5.59B-8.70%5.74B-8.37%5.87B-7.94%6.01B-7.94%6.01B-7.41%6.14B-7.08%6.29B1.60%6.41B1.51%6.53B1.51%6.53B
Investments and advances -4.66%838M-4.05%852M0.80%881M-10.37%1.67B-10.37%1.67B-44.92%879M-38.25%888M-12.07%874M104.28%1.86B104.28%1.86B
Long-term notes receivables -------------59.41%82M-59.41%82M------------88.79%202M88.79%202M
Non current accounts receivable -------------44.44%35M-44.44%35M-------------10.00%63M-10.00%63M
Non current deferred assets -1.50%131M26.17%135M43.16%136M40.82%138M40.82%138M34.34%133M15.05%107M-5.00%95M-13.27%98M-13.27%98M
Non current prepaid assets -7.69%36M0.00%35M-5.26%36M----------39M--35M--38M--------
Defined pension benefit ------------375.38%309M375.38%309M-------------86.87%65M-86.87%65M
Other non current assets 26.19%1.3B-19.66%1.03B-26.09%1.08B-46.10%83M-46.10%83M190.11%1.03B394.96%1.28B597.14%1.46B116.90%154M116.90%154M
Total non current assets 3.52%35.56B0.72%34.69B0.34%34.65B1.54%34.83B1.54%34.83B0.77%34.35B2.23%34.44B7.02%34.54B4.40%34.31B4.40%34.31B
Total assets 2.00%49.97B1.28%49.61B0.30%48.71B1.66%49.77B1.66%49.77B1.39%48.99B3.70%48.98B2.99%48.57B3.98%48.96B3.98%48.96B
Liabilities
Current liabilities
Payables -0.79%7.24B-2.48%6.71B2.77%7.02B2.08%7.56B2.08%7.56B3.72%7.3B2.79%6.88B6.60%6.83B11.85%7.41B11.85%7.41B
-accounts payable 0.93%6.73B-0.67%6.2B4.14%6.47B2.33%6.89B2.33%6.89B4.61%6.67B2.54%6.25B4.99%6.21B13.62%6.73B13.62%6.73B
-Total tax payable -32.43%150M-41.78%131M-26.27%160M24.80%307M24.80%307M-0.89%222M30.81%225M189.33%217M-8.55%246M-8.55%246M
-Due to related parties current -11.76%360M-8.47%378M-2.72%393M-14.75%370M-14.75%370M-6.85%408M-4.84%413M-3.35%404M0.23%434M0.23%434M
Current provisions 304.72%514M277.24%547M18.69%127M4.31%121M4.31%121M-15.89%127M-28.22%145M8.08%107M-2.52%116M-2.52%116M
Current debt and capital lease obligation -28.14%2.81B13.46%3.53B37.59%3.76B40.05%4.1B40.05%4.1B36.83%3.92B21.32%3.11B-17.61%2.73B5.86%2.93B5.86%2.93B
-Current debt -37.64%1.9B17.12%2.64B52.35%2.88B53.90%3.22B53.90%3.22B49.85%3.05B29.52%2.26B-24.81%1.89B3.41%2.09B3.41%2.09B
-Current capital lease obligation 5.05%915M3.85%891M4.40%878M5.39%880M5.39%880M4.94%871M4.00%858M4.99%841M12.53%835M12.53%835M
Current deferred liabilities 27.21%187M27.74%175M29.77%170M32.80%166M32.80%166M34.86%147M38.38%137M50.57%131M66.67%125M66.67%125M
Other current liabilities -33.85%129M-30.65%129M-34.03%126M-31.67%123M-31.67%123M-17.37%195M-16.96%186M-12.39%191M-5.26%180M-5.26%180M
Current liabilities -6.84%10.89B6.03%11.1B12.11%11.2B12.22%12.07B12.22%12.07B12.40%11.68B6.92%10.47B-1.34%9.99B10.07%10.76B10.07%10.76B
Non current liabilities
Long term provisions 16.47%99M9.30%94M6.90%93M14.29%96M14.29%96M1.19%85M-1.15%86M-1.14%87M-6.67%84M-6.67%84M
Long term debt and capital lease obligation 12.03%19.09B2.95%18.66B-4.09%17.31B-2.93%17.2B-2.93%17.2B-2.99%17.04B4.90%18.13B10.74%18.05B5.93%17.72B5.93%17.72B
-Long term debt 10.48%13.99B2.74%14.05B-6.42%12.75B-5.67%12.64B-5.67%12.64B-4.36%12.67B5.44%13.67B13.07%13.63B7.29%13.4B7.29%13.4B
-Long term capital lease obligation 16.53%5.09B3.57%4.62B3.10%4.56B5.55%4.56B5.55%4.56B1.20%4.37B3.27%4.46B4.15%4.42B1.91%4.32B1.91%4.32B
Non current deferred liabilities -11.70%1.66B-12.18%1.72B-7.04%1.86B-6.83%1.87B-6.83%1.87B-6.14%1.88B-3.12%1.95B-2.58%2B0.20%2.01B0.20%2.01B
Employee benefits ------------6.35%419M6.35%419M-------------14.53%394M-14.53%394M
Other non current liabilities 15.66%5.33B-2.34%4.72B0.12%5.02B-3.45%4.65B-3.45%4.65B11.22%4.61B9.20%4.83B0.42%5.01B-1.53%4.81B-1.53%4.81B
Total non current liabilities 10.86%26.18B0.76%25.19B-3.45%24.29B-3.14%24.24B-3.14%24.24B-2.46%23.61B3.09%25B5.40%25.15B3.51%25.02B3.51%25.02B
Total liabilities 5.00%37.06B2.32%36.29B0.98%35.49B1.48%36.31B1.48%36.31B2.00%35.3B4.19%35.47B3.39%35.14B5.40%35.78B5.40%35.78B
Shareholders'equity
Share capital -1.34%3.3B-2.07%3.32B-2.61%3.33B-3.15%3.33B-3.15%3.33B-2.82%3.35B-2.81%3.39B-2.96%3.42B-2.72%3.43B-2.72%3.43B
-common stock -1.78%2.48B-2.72%2.5B-3.43%2.51B-4.13%2.51B-4.13%2.51B-3.69%2.53B-3.67%2.57B-3.85%2.6B-3.54%2.62B-3.54%2.62B
-Preferred stock 0.00%817M0.00%817M0.00%817M0.00%817M0.00%817M0.00%817M0.00%817M0.00%817M0.00%817M0.00%817M
Retained earnings -10.77%5.04B-0.60%5.43B2.03%5.38B6.82%5.42B6.82%5.42B1.84%5.65B7.35%5.47B8.15%5.27B5.55%5.08B5.55%5.08B
Paid-in capital -25.90%-2.7B-22.99%-2.54B-26.86%-2.46B-22.05%-2.28B-22.05%-2.28B-21.44%-2.15B-21.60%-2.07B-24.10%-1.94B-27.50%-1.86B-27.50%-1.86B
Gains losses not affecting retained earnings 17.87%244M9.95%221M10.88%214M3.55%204M3.55%204M9.52%207M35.81%201M82.08%193M134.52%197M134.52%197M
Total stockholders'equity -16.62%5.88B-7.98%6.43B-6.93%6.46B-2.43%6.68B-2.43%6.68B-4.81%7.05B-0.54%6.99B0.06%6.94B-1.70%6.84B-1.70%6.84B
Noncontrolling interests 5.84%7.03B5.59%6.89B4.37%6.77B7.08%6.79B7.08%6.79B5.33%6.64B5.86%6.52B4.09%6.48B2.61%6.34B2.61%6.34B
Total equity -5.72%12.91B-1.43%13.32B-1.47%13.23B2.15%13.46B2.15%13.46B-0.15%13.7B2.45%13.51B1.97%13.43B0.33%13.18B0.33%13.18B
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
Trending US Stocks
Fed Rate Cut Beneficiaries Fed Rate Cut Beneficiaries

Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data. Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data.