CA Stock MarketDetailed Quotes

VREO Vireo Growth Inc

Watchlist
  • 0.600
  • +0.010+1.69%
15min DelayMarket Closed Apr 4 15:45 ET
220.29MMarket Cap-2.61P/E (TTM)

Vireo Growth Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
473.80%91.6M
473.80%91.6M
-45.25%7.28M
-1.03%11.23M
21.83%12.6M
5.38%15.96M
5.38%15.96M
-39.13%13.3M
-33.14%11.35M
20.28%10.35M
-Cash and cash equivalents
473.80%91.6M
473.80%91.6M
-45.25%7.28M
-1.03%11.23M
21.83%12.6M
5.38%15.96M
5.38%15.96M
-39.13%13.3M
-33.14%11.35M
20.28%10.35M
Receivables
-13.06%16.62M
-13.06%16.62M
34.17%14.77M
194.97%18.27M
336.61%18.61M
345.97%19.11M
345.97%19.11M
86.18%11.01M
-4.54%6.19M
-32.00%4.26M
-Accounts receivable
27.18%2.87M
27.18%2.87M
29.89%2.67M
20.72%1.95M
-38.72%1.86M
58.81%2.26M
58.81%2.26M
2.53%2.06M
-28.62%1.61M
90.29%3.04M
-Notes receivable
--0
--0
--0
--3.75M
--3.75M
--3.75M
--3.75M
--3.75M
----
----
-Taxes receivable
-2.01%12.2M
-2.01%12.2M
333.47%12.09M
304.62%12.44M
761.89%12.28M
351.94%12.45M
351.94%12.45M
-8.36%2.79M
-0.64%3.07M
-55.60%1.42M
-Other receivables
135.88%1.55M
135.88%1.55M
----
-92.30%138.02K
776.63%716.46K
497.56%655.22K
497.56%655.22K
180.18%2.41M
57.82%1.79M
-94.41%81.73K
-Recievables adjustments allowances
----
----
----
----
----
----
----
----
---284.16K
---284.16K
Inventory
12.34%21.67M
12.34%21.67M
4.14%19.85M
1.56%20.09M
-11.42%19.36M
-5.96%19.29M
-5.96%19.29M
-0.30%19.06M
6.32%19.78M
19.68%21.85M
Prepaid assets
23.55%1.65M
23.55%1.65M
-0.06%1.83M
-59.63%771.19K
--1.05M
-47.49%1.34M
-47.49%1.34M
--1.83M
--1.91M
----
Hedging assets-current
17.22%2.27M
17.22%2.27M
--5.22M
--4.87M
--3.27M
--1.94M
--1.94M
----
----
----
Holding assets for sale
5.86%96.56M
5.86%96.56M
5.67%95.02M
7.20%93.4M
19.76%92.3M
2,050.86%91.21M
2,050.86%91.21M
2,244.77%89.92M
4,939.41%87.13M
3,426.27%77.07M
Other current assets
----
----
----
----
----
----
----
----
----
-40.92%2.03M
Total current assets
54.77%230.37M
54.77%230.37M
6.55%143.96M
17.62%148.63M
27.36%147.18M
218.55%148.85M
218.55%148.85M
150.83%135.11M
172.41%126.37M
198.21%115.56M
Non current assets
Net PPE
58.72%40.17M
58.72%40.17M
58.75%41.27M
40.89%37.2M
21.44%34.66M
-73.56%25.31M
-73.56%25.31M
-73.67%26M
-74.13%26.41M
-71.88%28.54M
-Gross PPE
46.75%50.49M
46.75%50.49M
47.94%50.95M
36.32%46.62M
19.97%43.46M
-67.48%34.41M
-67.48%34.41M
-68.05%34.44M
-69.06%34.2M
-66.82%36.22M
-Accumulated depreciation
-13.45%-10.32M
-13.45%-10.32M
-14.66%-9.68M
-20.82%-9.42M
-14.49%-8.8M
9.83%-9.1M
9.83%-9.1M
6.78%-8.45M
7.86%-7.79M
0.09%-7.68M
Non current note receivables
----
----
----
----
----
----
----
--0
0.00%3.75M
0.00%3.75M
Non current prepaid assets
9.80%421.24K
9.80%421.24K
39.12%533.75K
39.12%533.75K
-10.12%533.75K
-83.41%383.65K
-83.41%383.65K
-82.39%383.65K
-81.92%383.65K
-70.23%593.81K
Goodwill and other intangible assets
-9.40%7.9M
-9.40%7.9M
-9.30%8.1M
3.23%8.31M
-3.26%8.51M
-2.70%8.72M
-2.70%8.72M
-2.03%8.94M
-19.15%8.05M
-13.10%8.8M
-Goodwill
--0
--0
----
----
----
--0
--0
--0
--0
0.00%183.84K
-Other intangible assets
-9.40%7.9M
-9.40%7.9M
-9.30%8.1M
3.23%8.31M
-1.20%8.51M
-0.67%8.72M
-0.67%8.72M
-0.02%8.94M
-17.63%8.05M
-13.34%8.62M
Non current deferred assets
----
----
----
----
----
----
----
-78.08%1.25M
-78.04%995K
-69.85%1.39M
Total non current assets
40.92%48.49M
40.92%48.49M
36.51%49.9M
16.33%46.05M
1.47%43.71M
-69.39%34.41M
-69.39%34.41M
-69.40%36.56M
-67.67%39.58M
-64.69%43.08M
Total assets
52.16%278.86M
52.16%278.86M
12.93%193.87M
17.31%194.68M
20.33%190.88M
15.15%183.26M
15.15%183.26M
-0.95%171.67M
-1.70%165.95M
-1.30%158.63M
Liabilities
Current liabilities
Current debt and capital lease obligation
-96.24%2.3M
-96.24%2.3M
-95.74%2.4M
14.06%62.46M
1,423.88%61.78M
354.01%61.11M
354.01%61.11M
629.12%56.34M
2,983.68%54.76M
138.08%4.05M
-Current debt
-98.51%900K
-98.51%900K
-97.94%1.14M
14.17%61.5M
1,896.60%60.9M
411.21%60.22M
411.21%60.22M
821.74%55.43M
--53.87M
--3.05M
-Current capital lease obligation
57.30%1.4M
57.30%1.4M
38.18%1.25M
7.32%953.39K
-12.11%882.46K
-47.03%890.01K
-47.03%890.01K
-47.00%908K
-49.97%888.33K
-41.04%1M
Payables
28.91%2.56M
28.91%2.56M
-72.00%3.95M
-63.04%3.97M
-74.34%2.46M
-75.37%1.99M
-75.37%1.99M
52.99%14.11M
49.49%10.73M
-0.38%9.58M
-accounts payable
29.88%2.3M
29.88%2.3M
154.57%3.76M
69.81%3.79M
31.62%2.11M
-7.12%1.77M
-7.12%1.77M
-47.35%1.48M
-11.83%2.23M
-46.77%1.6M
-Total tax payable
21.03%264.52K
21.03%264.52K
-98.47%192.72K
-97.89%179.38K
-95.65%346.45K
-96.46%218.56K
-96.46%218.56K
96.82%12.63M
82.83%8.5M
20.81%7.97M
Current accrued expenses
40.95%6.84M
40.95%6.84M
-77.14%4.3M
-72.10%4.39M
-12.84%4.63M
-21.39%4.85M
-21.39%4.85M
154.90%18.8M
98.96%15.73M
-30.36%5.31M
Current deferred liabilities
48.24%34.38M
48.24%34.38M
3,951.42%29.69M
4,295.76%27.55M
3,702.43%27M
3,286.85%23.19M
3,286.85%23.19M
13.22%732.78K
19.84%626.69K
57.69%710.12K
Other current liabilities
1.20%89.39M
1.20%89.39M
17.23%88.44M
17.66%88.41M
17.01%88.37M
6,592.16%88.33M
6,592.16%88.33M
5,381.76%75.44M
6,487.06%75.15M
6,588.10%75.53M
Current liabilities
-24.52%135.47M
-24.52%135.47M
-22.15%128.77M
18.97%186.77M
93.58%184.24M
504.09%179.47M
504.09%179.47M
527.85%165.42M
747.46%157M
363.87%95.17M
Non current liabilities
Long term debt and capital lease obligation
346.02%87.79M
346.02%87.79M
302.18%75.88M
81.64%30.27M
-55.67%29.05M
-84.38%19.68M
-84.38%19.68M
-85.54%18.87M
-86.81%16.66M
-41.04%65.53M
-Long term debt
680.07%71.3M
680.07%71.3M
519.90%56.83M
54.52%10.8M
-82.94%9.41M
-80.24%9.14M
-80.24%9.14M
-81.52%9.17M
-84.75%6.99M
76.72%55.16M
-Long term capital lease obligation
56.44%16.49M
56.44%16.49M
96.40%19.05M
101.25%19.47M
89.34%19.64M
-86.78%10.54M
-86.78%10.54M
-88.01%9.7M
-87.98%9.67M
-87.02%10.37M
Other non current liabilities
-76.09%37.28K
-76.09%37.28K
-7.91%216.94K
-8.66%196.6K
--176.26K
--155.92K
--155.92K
--235.58K
--215.24K
----
Total non current liabilities
342.70%87.83M
342.70%87.83M
298.35%76.1M
80.49%30.47M
-55.40%29.22M
-84.25%19.84M
-84.25%19.84M
-85.36%19.1M
-86.64%16.88M
-41.04%65.53M
Total liabilities
12.04%223.3M
12.04%223.3M
11.03%204.87M
24.94%217.24M
32.83%213.46M
27.99%199.31M
27.99%199.31M
17.65%184.52M
20.06%173.88M
22.07%160.7M
Shareholders'equity
Share capital
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-common stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Additional paid-in capital
53.16%287M
53.16%287M
10.08%204.73M
1.38%188.25M
1.82%187.56M
3.34%187.38M
3.34%187.38M
2.72%185.99M
3.06%185.69M
2.87%184.22M
Retained earnings
-13.77%-231.44M
-13.77%-231.44M
-8.49%-215.73M
-8.88%-210.81M
-12.80%-210.14M
-14.36%-203.43M
-14.36%-203.43M
-20.81%-198.85M
-23.98%-193.62M
-24.20%-186.29M
Total stockholders'equity
446.33%55.56M
446.33%55.56M
14.39%-11M
-184.66%-22.56M
-991.83%-22.58M
-566.27%-16.04M
-566.27%-16.04M
-178.01%-12.85M
-133.02%-7.92M
-107.11%-2.07M
Total equity
446.33%55.56M
446.33%55.56M
14.39%-11M
-184.66%-22.56M
-991.83%-22.58M
-566.27%-16.04M
-566.27%-16.04M
-178.01%-12.85M
-133.02%-7.92M
-107.11%-2.07M
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 with Explanatory Notes
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 473.80%91.6M473.80%91.6M-45.25%7.28M-1.03%11.23M21.83%12.6M5.38%15.96M5.38%15.96M-39.13%13.3M-33.14%11.35M20.28%10.35M
-Cash and cash equivalents 473.80%91.6M473.80%91.6M-45.25%7.28M-1.03%11.23M21.83%12.6M5.38%15.96M5.38%15.96M-39.13%13.3M-33.14%11.35M20.28%10.35M
Receivables -13.06%16.62M-13.06%16.62M34.17%14.77M194.97%18.27M336.61%18.61M345.97%19.11M345.97%19.11M86.18%11.01M-4.54%6.19M-32.00%4.26M
-Accounts receivable 27.18%2.87M27.18%2.87M29.89%2.67M20.72%1.95M-38.72%1.86M58.81%2.26M58.81%2.26M2.53%2.06M-28.62%1.61M90.29%3.04M
-Notes receivable --0--0--0--3.75M--3.75M--3.75M--3.75M--3.75M--------
-Taxes receivable -2.01%12.2M-2.01%12.2M333.47%12.09M304.62%12.44M761.89%12.28M351.94%12.45M351.94%12.45M-8.36%2.79M-0.64%3.07M-55.60%1.42M
-Other receivables 135.88%1.55M135.88%1.55M-----92.30%138.02K776.63%716.46K497.56%655.22K497.56%655.22K180.18%2.41M57.82%1.79M-94.41%81.73K
-Recievables adjustments allowances -----------------------------------284.16K---284.16K
Inventory 12.34%21.67M12.34%21.67M4.14%19.85M1.56%20.09M-11.42%19.36M-5.96%19.29M-5.96%19.29M-0.30%19.06M6.32%19.78M19.68%21.85M
Prepaid assets 23.55%1.65M23.55%1.65M-0.06%1.83M-59.63%771.19K--1.05M-47.49%1.34M-47.49%1.34M--1.83M--1.91M----
Hedging assets-current 17.22%2.27M17.22%2.27M--5.22M--4.87M--3.27M--1.94M--1.94M------------
Holding assets for sale 5.86%96.56M5.86%96.56M5.67%95.02M7.20%93.4M19.76%92.3M2,050.86%91.21M2,050.86%91.21M2,244.77%89.92M4,939.41%87.13M3,426.27%77.07M
Other current assets -------------------------------------40.92%2.03M
Total current assets 54.77%230.37M54.77%230.37M6.55%143.96M17.62%148.63M27.36%147.18M218.55%148.85M218.55%148.85M150.83%135.11M172.41%126.37M198.21%115.56M
Non current assets
Net PPE 58.72%40.17M58.72%40.17M58.75%41.27M40.89%37.2M21.44%34.66M-73.56%25.31M-73.56%25.31M-73.67%26M-74.13%26.41M-71.88%28.54M
-Gross PPE 46.75%50.49M46.75%50.49M47.94%50.95M36.32%46.62M19.97%43.46M-67.48%34.41M-67.48%34.41M-68.05%34.44M-69.06%34.2M-66.82%36.22M
-Accumulated depreciation -13.45%-10.32M-13.45%-10.32M-14.66%-9.68M-20.82%-9.42M-14.49%-8.8M9.83%-9.1M9.83%-9.1M6.78%-8.45M7.86%-7.79M0.09%-7.68M
Non current note receivables ------------------------------00.00%3.75M0.00%3.75M
Non current prepaid assets 9.80%421.24K9.80%421.24K39.12%533.75K39.12%533.75K-10.12%533.75K-83.41%383.65K-83.41%383.65K-82.39%383.65K-81.92%383.65K-70.23%593.81K
Goodwill and other intangible assets -9.40%7.9M-9.40%7.9M-9.30%8.1M3.23%8.31M-3.26%8.51M-2.70%8.72M-2.70%8.72M-2.03%8.94M-19.15%8.05M-13.10%8.8M
-Goodwill --0--0--------------0--0--0--00.00%183.84K
-Other intangible assets -9.40%7.9M-9.40%7.9M-9.30%8.1M3.23%8.31M-1.20%8.51M-0.67%8.72M-0.67%8.72M-0.02%8.94M-17.63%8.05M-13.34%8.62M
Non current deferred assets -----------------------------78.08%1.25M-78.04%995K-69.85%1.39M
Total non current assets 40.92%48.49M40.92%48.49M36.51%49.9M16.33%46.05M1.47%43.71M-69.39%34.41M-69.39%34.41M-69.40%36.56M-67.67%39.58M-64.69%43.08M
Total assets 52.16%278.86M52.16%278.86M12.93%193.87M17.31%194.68M20.33%190.88M15.15%183.26M15.15%183.26M-0.95%171.67M-1.70%165.95M-1.30%158.63M
Liabilities
Current liabilities
Current debt and capital lease obligation -96.24%2.3M-96.24%2.3M-95.74%2.4M14.06%62.46M1,423.88%61.78M354.01%61.11M354.01%61.11M629.12%56.34M2,983.68%54.76M138.08%4.05M
-Current debt -98.51%900K-98.51%900K-97.94%1.14M14.17%61.5M1,896.60%60.9M411.21%60.22M411.21%60.22M821.74%55.43M--53.87M--3.05M
-Current capital lease obligation 57.30%1.4M57.30%1.4M38.18%1.25M7.32%953.39K-12.11%882.46K-47.03%890.01K-47.03%890.01K-47.00%908K-49.97%888.33K-41.04%1M
Payables 28.91%2.56M28.91%2.56M-72.00%3.95M-63.04%3.97M-74.34%2.46M-75.37%1.99M-75.37%1.99M52.99%14.11M49.49%10.73M-0.38%9.58M
-accounts payable 29.88%2.3M29.88%2.3M154.57%3.76M69.81%3.79M31.62%2.11M-7.12%1.77M-7.12%1.77M-47.35%1.48M-11.83%2.23M-46.77%1.6M
-Total tax payable 21.03%264.52K21.03%264.52K-98.47%192.72K-97.89%179.38K-95.65%346.45K-96.46%218.56K-96.46%218.56K96.82%12.63M82.83%8.5M20.81%7.97M
Current accrued expenses 40.95%6.84M40.95%6.84M-77.14%4.3M-72.10%4.39M-12.84%4.63M-21.39%4.85M-21.39%4.85M154.90%18.8M98.96%15.73M-30.36%5.31M
Current deferred liabilities 48.24%34.38M48.24%34.38M3,951.42%29.69M4,295.76%27.55M3,702.43%27M3,286.85%23.19M3,286.85%23.19M13.22%732.78K19.84%626.69K57.69%710.12K
Other current liabilities 1.20%89.39M1.20%89.39M17.23%88.44M17.66%88.41M17.01%88.37M6,592.16%88.33M6,592.16%88.33M5,381.76%75.44M6,487.06%75.15M6,588.10%75.53M
Current liabilities -24.52%135.47M-24.52%135.47M-22.15%128.77M18.97%186.77M93.58%184.24M504.09%179.47M504.09%179.47M527.85%165.42M747.46%157M363.87%95.17M
Non current liabilities
Long term debt and capital lease obligation 346.02%87.79M346.02%87.79M302.18%75.88M81.64%30.27M-55.67%29.05M-84.38%19.68M-84.38%19.68M-85.54%18.87M-86.81%16.66M-41.04%65.53M
-Long term debt 680.07%71.3M680.07%71.3M519.90%56.83M54.52%10.8M-82.94%9.41M-80.24%9.14M-80.24%9.14M-81.52%9.17M-84.75%6.99M76.72%55.16M
-Long term capital lease obligation 56.44%16.49M56.44%16.49M96.40%19.05M101.25%19.47M89.34%19.64M-86.78%10.54M-86.78%10.54M-88.01%9.7M-87.98%9.67M-87.02%10.37M
Other non current liabilities -76.09%37.28K-76.09%37.28K-7.91%216.94K-8.66%196.6K--176.26K--155.92K--155.92K--235.58K--215.24K----
Total non current liabilities 342.70%87.83M342.70%87.83M298.35%76.1M80.49%30.47M-55.40%29.22M-84.25%19.84M-84.25%19.84M-85.36%19.1M-86.64%16.88M-41.04%65.53M
Total liabilities 12.04%223.3M12.04%223.3M11.03%204.87M24.94%217.24M32.83%213.46M27.99%199.31M27.99%199.31M17.65%184.52M20.06%173.88M22.07%160.7M
Shareholders'equity
Share capital --0--0--0--0--0--0--0--0--0--0
-common stock --0--0--0--0--0--0--0--0--0--0
Additional paid-in capital 53.16%287M53.16%287M10.08%204.73M1.38%188.25M1.82%187.56M3.34%187.38M3.34%187.38M2.72%185.99M3.06%185.69M2.87%184.22M
Retained earnings -13.77%-231.44M-13.77%-231.44M-8.49%-215.73M-8.88%-210.81M-12.80%-210.14M-14.36%-203.43M-14.36%-203.43M-20.81%-198.85M-23.98%-193.62M-24.20%-186.29M
Total stockholders'equity 446.33%55.56M446.33%55.56M14.39%-11M-184.66%-22.56M-991.83%-22.58M-566.27%-16.04M-566.27%-16.04M-178.01%-12.85M-133.02%-7.92M-107.11%-2.07M
Total equity 446.33%55.56M446.33%55.56M14.39%-11M-184.66%-22.56M-991.83%-22.58M-566.27%-16.04M-566.27%-16.04M-178.01%-12.85M-133.02%-7.92M-107.11%-2.07M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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