Cannabist Co Holdings Inc.
CBSTQAnalytical Summary
Cannabist Co Holdings Inc. shows mixed fundamentals. On the positive side, Debt to Equity remains strong. Further due diligence is recommended before making investment decisions.
5-Year Financial Trajectory
AnnualBullish Indicators
- Debt to EquityDebt to Equity is in the top quartile (lower is better)
Bearish Risks
- Operating Margin (%)Operating Margin (%) is in the bottom quartile
- Profit Margin (%)Profit Margin (%) is in the bottom quartile
Health Breakdown
Statement lens
Choose the reporting cadence, isolate a period range, or search directly for a metric.
| Metric | FY 2024 Dec 31, 2024 10-K ↗ | FY 2023 Dec 31, 2023 10-K ↗ | FY 2022 Dec 31, 2022 10-K ↗ | FY 2021 Dec 31, 2021 10-K ↗ | FY 2020 Dec 31, 2020 10-K ↗ |
|---|---|---|---|---|---|
| Revenue Growth YoY (%) |
-10.3%
Weak
↓
Weak
Declining
Year-over-year change in total revenue
Optimal:
> 10%
|
-0.0%
Weak
↓
Weak
Declining
Year-over-year change in total revenue
Optimal:
> 10%
|
11.2%
Good
Good
Year-over-year change in total revenue
Optimal:
> 10%
|
156.3%
Excellent
Excellent
Year-over-year change in total revenue
Optimal:
> 10%
|
— |
| EPS Growth YoY (%) |
47.7%
Excellent
↑
Excellent
Improving
Year-over-year change in earnings per share
Optimal:
> 10%
|
58.5%
Excellent
↑
Excellent
Improving
Year-over-year change in earnings per share
Optimal:
> 10%
|
-152.4%
Weak
Weak
Year-over-year change in earnings per share
Optimal:
> 10%
|
-2.4%
Weak
Weak
Year-over-year change in earnings per share
Optimal:
> 10%
|
— |
| Net Income Growth YoY (%) |
39.7%
Excellent
↑
Excellent
Improving
Year-over-year change in net income |
58.3%
Excellent
↑
Excellent
Improving
Year-over-year change in net income |
-187.0%
Weak
Weak
Year-over-year change in net income |
-22.7%
Weak
Weak
Year-over-year change in net income |
— |
| FCF Growth YoY (%) |
-919.6%
Weak
↓
Weak
Declining
Year-over-year change in free cash flow |
98.7%
Excellent
↑
Excellent
Improving
Year-over-year change in free cash flow |
-34.6%
Weak
Weak
Year-over-year change in free cash flow |
12.4%
Fair
Fair
Year-over-year change in free cash flow |
— |
| Revenue CAGR 3Y (%) |
-0.1%
Weak
Weak
Compound annual revenue growth over 3 years |
41.8%
Excellent
Excellent
Compound annual revenue growth over 3 years |
— | — | — |
| Metric | FY 2024 Dec 31, 2024 10-K ↗ | FY 2023 Dec 31, 2023 10-K ↗ | FY 2022 Dec 31, 2022 10-K ↗ | FY 2021 Dec 31, 2021 10-K ↗ | FY 2020 Dec 31, 2020 10-K ↗ |
|---|---|---|---|---|---|
| Operating Margin (%) (%) |
-4.9%
Weak
↑
Weak
Improving
Operating income as a percentage of revenue
Optimal:
> 15%
|
-20.6%
Weak
↑
Weak
Improving
Operating income as a percentage of revenue
Optimal:
> 15%
|
-81.4%
Weak
↓
Weak
Declining
Operating income as a percentage of revenue
Optimal:
> 15%
|
-24.0%
Weak
Weak
Operating income as a percentage of revenue
Optimal:
> 15%
|
-44.7%
Weak
Weak
Operating income as a percentage of revenue
Optimal:
> 15%
|
| Effective Tax Rate (%) (%) |
-70.1%
Excellent
↓
Excellent
Declining
Actual taxes paid relative to pre-tax income
Optimal:
15-25%
|
-3.2%
Excellent
↓
Excellent
Declining
Actual taxes paid relative to pre-tax income
Optimal:
15-25%
|
2.6%
Excellent
↓
Excellent
Declining
Actual taxes paid relative to pre-tax income
Optimal:
15-25%
|
-0.1%
Excellent
Excellent
Actual taxes paid relative to pre-tax income
Optimal:
15-25%
|
11.9%
Excellent
Excellent
Actual taxes paid relative to pre-tax income
Optimal:
15-25%
|
| Profit Margin (%) (%) |
-23.1%
Weak
↑
Weak
Improving
Net income as a percentage of revenue
Optimal:
> 15%
|
-34.4%
Weak
↑
Weak
Improving
Net income as a percentage of revenue
Optimal:
> 15%
|
-82.4%
Weak
↓
Weak
Declining
Net income as a percentage of revenue
Optimal:
> 15%
|
-31.9%
Weak
Weak
Net income as a percentage of revenue
Optimal:
> 15%
|
-66.7%
Weak
Weak
Net income as a percentage of revenue
Optimal:
> 15%
|
| FCF Margin (%) (%) |
-6.4%
Weak
↑
Weak
Improving
Free cash flow as a percentage of revenue
Optimal:
> 10%
|
-0.5%
Weak
↑
Weak
Improving
Free cash flow as a percentage of revenue
Optimal:
> 10%
|
-36.0%
Weak
↑
Weak
Improving
Free cash flow as a percentage of revenue
Optimal:
> 10%
|
-25.7%
Weak
Weak
Free cash flow as a percentage of revenue
Optimal:
> 10%
|
-51.6%
Weak
Weak
Free cash flow as a percentage of revenue
Optimal:
> 10%
|
| FCF / Net Income (x) |
0.28x
Weak
↓
Weak
Declining
Free cash flow relative to reported net income
Optimal:
> 1x
|
0.01x
Weak
↓
Weak
Declining
Free cash flow relative to reported net income
Optimal:
> 1x
|
0.44x
Weak
↓
Weak
Declining
Free cash flow relative to reported net income
Optimal:
> 1x
|
0.80x
Caution
Caution
Free cash flow relative to reported net income
Optimal:
> 1x
|
0.77x
Caution
Caution
Free cash flow relative to reported net income
Optimal:
> 1x
|
| Metric | FY 2024 Dec 31, 2024 10-K ↗ | FY 2023 Dec 31, 2023 10-K ↗ | FY 2022 Dec 31, 2022 10-K ↗ | FY 2021 Dec 31, 2021 10-K ↗ | FY 2020 Dec 31, 2020 10-K ↗ |
|---|---|---|---|---|---|
| Return on Invested Capital (%) |
-13.9%
Weak
↑
Weak
Improving
Return earned on debt + equity capital invested
Optimal:
> 10%
|
-29.3%
Weak
↑
Weak
Improving
Return earned on debt + equity capital invested
Optimal:
> 10%
|
-74.8%
Weak
Weak
Return earned on debt + equity capital invested
Optimal:
> 10%
|
-15.1%
Weak
Weak
Return earned on debt + equity capital invested
Optimal:
> 10%
|
— |
| Return on Capital (%) (%) |
-3.2%
Weak
↑
Weak
Improving
Operating profit relative to total assets
Optimal:
> 10%
|
-12.8%
Weak
↑
Weak
Improving
Operating profit relative to total assets
Optimal:
> 10%
|
-41.8%
Weak
Weak
Operating profit relative to total assets
Optimal:
> 10%
|
-8.0%
Weak
Weak
Operating profit relative to total assets
Optimal:
> 10%
|
— |
| Return on Common Equity (%) (%) | — |
-262.8%
Weak
↓
Weak
Declining
Profit generated per dollar of shareholder equity
Optimal:
> 15%
|
-197.6%
Weak
Weak
Profit generated per dollar of shareholder equity
Optimal:
> 15%
|
-25.7%
Weak
Weak
Profit generated per dollar of shareholder equity
Optimal:
> 15%
|
— |
| Metric | FY 2024 Dec 31, 2024 10-K ↗ | FY 2023 Dec 31, 2023 10-K ↗ | FY 2022 Dec 31, 2022 10-K ↗ | FY 2021 Dec 31, 2021 10-K ↗ | FY 2020 Dec 31, 2020 10-K ↗ |
|---|---|---|---|---|---|
| Debt to Equity (x) |
-10.52x
Excellent
↓
Excellent
Declining
Total debt relative to shareholder equity
Optimal:
< 0.6x
|
4.54x
Weak
↑
Weak
Improving
Total debt relative to shareholder equity
Optimal:
< 0.6x
|
1.54x
Weak
Weak
Total debt relative to shareholder equity
Optimal:
< 0.6x
|
0.28x
Excellent
Excellent
Total debt relative to shareholder equity
Optimal:
< 0.6x
|
— |
| Interest Coverage (x) |
-0.59x
Weak
↑
Weak
Improving
Operating income divided by interest expense
Optimal:
> 5x
|
-2.08x
Weak
↑
Weak
Improving
Operating income divided by interest expense
Optimal:
> 5x
|
-8.61x
Weak
↑
Weak
Improving
Operating income divided by interest expense
Optimal:
> 5x
|
-4.46x
Weak
Weak
Operating income divided by interest expense
Optimal:
> 5x
|
-16.47x
Weak
Weak
Operating income divided by interest expense
Optimal:
> 5x
|
| Net Debt (USD) | $301.97M | $303.38M | $329.02M | $160.90M | — |
| Debt / EBITDA (x) |
11.31x
Weak
↑
Weak
Improving
Debt relative to earnings before interest, taxes, depreciation
Optimal:
< 2x
|
-7.14x
Excellent
↓
Excellent
Declining
Debt relative to earnings before interest, taxes, depreciation
Optimal:
< 2x
|
-0.99x
Excellent
Excellent
Debt relative to earnings before interest, taxes, depreciation
Optimal:
< 2x
|
-2.80x
Excellent
Excellent
Debt relative to earnings before interest, taxes, depreciation
Optimal:
< 2x
|
— |
| Metric | FY 2024 Dec 31, 2024 10-K ↗ | FY 2023 Dec 31, 2023 10-K ↗ | FY 2022 Dec 31, 2022 10-K ↗ | FY 2021 Dec 31, 2021 10-K ↗ | FY 2020 Dec 31, 2020 10-K ↗ |
|---|---|---|---|---|---|
| Working Capital (USD) | $-33.71M | $31.44M | $34.06M | $-17.56M | — |
| LT Debt (USD) | $301.97M | $303.38M | $329.02M | $160.90M | — |
| Total Equity (USD) | $-28.69M | $66.87M | $213.28M | $571.39M | — |
| Metric | FY 2024 Dec 31, 2024 10-K ↗ | FY 2023 Dec 31, 2023 10-K ↗ | FY 2022 Dec 31, 2022 10-K ↗ | FY 2021 Dec 31, 2021 10-K ↗ | FY 2020 Dec 31, 2020 10-K ↗ |
|---|---|---|---|---|---|
| Sales/Revenue/Turnover (USD) | $458.72M | $511.33M | $511.58M | $460.08M | $179.50M |
| Depreciation Expense (USD) | $48.98M | $62.73M | $84.79M | $53.00M | $19.65M |
| Net Income, GAAP (USD) | $-105.89M | $-175.71M | $-421.48M | $-146.85M | $-119.65M |
| Operating Cash Flow (USD) | $-23.38M | $7.47M | $-111.40M | $-523.00K | $-49.65M |
Secondary lens
Benchmark Lens
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Open lens
Benchmark Lens
Compare CBSTQ against peers after checking the statement evidence.
Signals
Key bullish and bearish indicators for CBSTQ
Debt to Equity is in the top quartile (lower is better)
Operating Margin (%) is in the bottom quartile
Profit Margin (%) is in the bottom quartile
Percentile Rankings
How CBSTQ compares to all companies
Compare CBSTQ with peers
Stack CBSTQ against similar companies across every metric on this page.
north_east Open comparisonbar_chart Data from SEC EDGAR XBRL filings
Synced 1 week ago 5 years · 16 quarters