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PSMT PriceSmart Inc

87.16
-0.08 (-0.09%)
May 17 2024 - Closed
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Quarter End May 2022Aug 2022Nov 2022Feb 2023May 2023Aug 2023Nov 2023Feb 2024
USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)
Total Assets 1.79B1.81B1.89B1.89B1.93B2.01B2.03B2.04B
Total Current Assets 749.87M773.58M853.29M836.77M847.19M877.11M880.84M847.65M
Cash and Equivalents 207.53M237.71M267.94M260.93M222.67M239.98M174.45M170.56M
Total Non-Current Assets 1.04B1.79B1.03B1.05B1.09B1.98B1.15B1.19B
Total Liabilities 823.57M817.33M861.56M842.26M843.65M898.57M947.04M942.9M
Total Current Liabilities 577.76M579.46M611.56M586.58M587.27M634.48M705.2M708.73M
Total Non-Current Liabilities 353.99M341.43M368.5M382.06M381.02M383.58M341.54M336.52M
Common Equity 3k3k3k3k3k3k3k3k
Retained Earnings 713.44M736.89M769.8M772.43M802M817.56M855.61M859.33M
Year End August 30 2023 20162017201820192020202120222023
USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)
Total Assets 1.1B1.18B1.22B1.3B1.66B1.71B1.81B2.01B
Total Current Assets 512.55M510.37M487.85M491.9M699M697.2M773.58M877.11M
Cash and Equivalents 199.52M162.43M93.46M102.65M299.48M202.06M237.71M239.98M
Total Non-Current Assets 638.07M708.77M758.64M798.28M832.73M916.21M991.07M1.11B
Total Liabilities 458.66M468.75M457.75M498.13M824.09M789.58M817.33M898.57M
Total Current Liabilities 367.9M363.38M349.37M407.45M568.28M533.55M579.46M634.48M
Total Non-Current Liabilities 164.3M193.3M196.11M154.39M368.43M366.13M341.43M383.58M
Total Equity 638.07M708.77M758.64M798.28M832.73M916.21M991.07M1.11B
Common Equity 3k3k3k3k3k3k3k3k
Retained Earnings 351.06M420.5M473.95M525.8M582.49M658.92M736.89M817.56M