PSMT

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NASDAQ / Sector: Consumer Defensive / Sub-Sector: Discount Stores / Stock Type: Slow Growth
# of Employee: 7,835 / Fiscal Year End: 2016-08-31 / Stock Type: Small Growth
USD / Exchange Rate: 1 at 2016-11-22 /

Pricesmart Inc through its subsidiaries is engaged in the ownership and operation of membership shopping warehouse clubs under the trade name PriceSmart in Central America and the Caribbean.

Competitors

Competitors List | Key Matrix Details

WMT | COST | TGT | DLTR | DG | BURL | BIG | OLLI | FRED | TUES |

Finance Highlights

Key Ratio Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
2006-08-25Annual-3.40%-1.10%-0.38.516.80%1.10%1.60%1.886.736
2007-08-25Annual0.40%0.10%0.08.416.90%1.40%1.50%1.634.849
2008-08-25Annual7.30%1.80%0.79.416.60%3.40%3.40%1.565.752
2009-08-25Annual2.00%0.50%0.210.316.30%3.40%3.40%1.607.768
2010-08-25Annual9.80%2.40%1.111.516.90%3.50%3.50%1.421.747
2011-08-25Annual7.60%1.70%1.012.816.50%3.60%3.60%1.303.745
2012-08-25Annual8.90%1.80%1.314.216.20%3.30%3.30%1.322.697
2013-08-25Annual12.60%2.60%2.016.216.10%3.70%3.70%1.394.732
2014-08-25Annual3.50%0.80%0.618.416.00%3.70%3.70%1.399.751
2015-08-25Annual3.80%0.80%0.719.016.00%3.20%3.20%1.333.726

Key Ratio Trend

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
AverageAnnual13.31%3.27%21.33%11.12%-1.13%1.59%0.00%-4.44%-1.36%
2007-08-25Annual111.76%109.09%110.76%-0.83%0.60%27.27%-6.25%-13.36%15.35%
2008-08-25Annual1,725.00%1,700.00%2,125.81%12.03%-1.78%142.86%126.67%-4.22%-11.43%
2009-08-25Annual-72.60%-72.22%-70.14%9.53%-1.81%0.00%0.00%2.68%2.13%
2010-08-25Annual390.00%380.00%444.17%11.49%3.68%2.94%2.94%-11.57%-2.73%
2011-08-25Annual-22.45%-29.17%-13.47%11.20%-2.37%2.86%2.86%-8.30%-0.27%
2012-08-25Annual17.11%5.88%29.69%11.02%-1.82%-8.33%-8.33%1.46%-6.44%
2013-08-25Annual41.57%44.44%62.56%14.38%-0.62%12.12%12.12%5.45%5.02%
2014-08-25Annual-72.22%-69.23%-68.51%13.69%-0.62%0.00%0.00%0.36%2.60%
2015-08-25Annual8.57%0.00%10.87%3.00%0.00%-13.51%-13.51%-4.72%-3.33%


Income Statement Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
2006-08-25Annual734,673k611,497k3,191k8,184k11,858k27,735,k16.80%1.10%1.60%
2007-08-25Annual888,801k738,279k788k12,783k12,926k29,243,k16.90%1.40%1.50%
2008-08-25Annual1,119,876k933,714k1,445k38,210k38,106k29,210,k16.60%3.40%3.40%
2009-08-25Annual1,251,628k1,048,039k1,700k42,612k42,319k29,181,k16.30%3.40%3.40%
2010-08-25Annual1,395,891k1,160,264k2,723k49,431k49,315k29,279,k16.90%3.50%3.50%
2011-08-25Annual1,714,247k1,430,704k3,916k61,836k61,750k29,450,k16.50%3.60%3.60%
2012-08-25Annual2,050,745k1,718,780k6,191k67,646k67,621k29,566,k16.20%3.30%3.30%
2013-08-25Annual2,299,812k1,929,428k4,216k84,265k84,265k29,681,k16.10%3.70%3.70%
2014-08-25Annual2,517,567k2,113,664k4,295k92,886k92,886k29,757,k16.00%3.70%3.70%
2015-08-25Annual2,802,603k2,352,839k6,440k89,124k89,124k29,855,k16.00%3.20%3.20%

Income Statement Trend

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
AverageAnnual11.98%12.25%32.18%14.01%10.69%0.33%-1.13%1.59%0.00%
2007-08-25Annual20.98%20.73%-75.31%56.20%9.01%5.44%0.60%27.27%-6.25%
2008-08-25Annual26.00%26.47%83.38%198.91%194.80%-0.11%-1.78%142.86%126.67%
2009-08-25Annual11.76%12.24%17.65%11.52%11.06%-0.10%-1.81%0.00%0.00%
2010-08-25Annual11.53%10.71%60.18%16.00%16.53%0.34%3.68%2.94%2.94%
2011-08-25Annual22.81%23.31%43.81%25.10%25.22%0.58%-2.37%2.86%2.86%
2012-08-25Annual19.63%20.14%58.09%9.40%9.51%0.39%-1.82%-8.33%-8.33%
2013-08-25Annual12.15%12.26%-31.90%24.57%24.61%0.39%-0.62%12.12%12.12%
2014-08-25Annual9.47%9.55%1.87%10.23%10.23%0.26%-0.62%0.00%0.00%
2015-08-25Annual11.32%11.32%49.94%-4.05%-4.05%0.33%0.00%-13.51%-13.51%


Balance Sheet Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
2006-08-25Annual234,619k124,424k139,256k102,443k21,981k1.886.736
2007-08-25Annual245,316k150,103k155,952k132,427k17,676k1.634.849
2008-08-25Annual274,506k175,457k185,026k139,119k36,338k1.565.752
2009-08-25Annual300,398k186,975k184,782k141,928k45,047k1.607.768
2010-08-25Annual336,043k236,522k234,841k175,483k61,039k1.421.747
2011-08-25Annual375,838k288,490k292,777k218,227k70,263k1.303.745
2012-08-25Annual418,914k316,798k336,614k234,741k82,057k1.322.697
2013-08-25Annual481,049k344,990k375,581k274,878k70,112k1.394.732
2014-08-25Annual548,265k391,953k402,491k302,191k89,762k1.399.751
2015-08-25Annual566,584k425,108k464,354k337,097k88,011k1.333.726

Balance Sheet Trend

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
AverageAnnual11.67%11.92%13.65%10.83%16.04%-4.44%-1.36%
2007-08-25Annual4.56%20.64%11.99%29.27%-19.59%-13.36%15.35%
2008-08-25Annual11.90%16.89%18.64%5.05%105.58%-4.22%-11.43%
2009-08-25Annual9.43%6.56%-0.13%2.02%23.97%2.68%2.13%
2010-08-25Annual11.87%26.50%27.09%23.64%35.50%-11.57%-2.73%
2011-08-25Annual11.84%21.97%24.67%24.36%15.11%-8.30%-0.27%
2012-08-25Annual11.46%9.81%14.97%7.57%16.79%1.46%-6.44%
2013-08-25Annual14.83%8.90%11.58%17.10%-14.56%5.45%5.02%
2014-08-25Annual13.97%13.61%7.16%9.94%28.03%0.36%2.60%
2015-08-25Annual3.34%8.46%15.37%11.55%-1.95%-4.72%-3.33%


Cash Flow Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
2006-08-25Annual24,649k-32,631k-7,982k-27,219k10,701k
2007-08-25Annual31,818k-30,913k905k-30,692k-7,281k
2008-08-25Annual43,718k-23,571k20,147k-41,525k13,580k
2009-08-25Annual55,358k-49,347k6,011k-54,751k-4,124k
2010-08-25Annual83,029k-50,207k32,822k-54,158k-1,135k
2011-08-25Annual75,599k-47,033k28,566k-39,445k-30,640k
2012-08-25Annual89,889k-52,705k37,184k-52,567k-25,082k
2013-08-25Annual130,633k-69,927k60,706k-71,812k-21,806k
2014-08-25Annual137,275k-118,101k19,174k-119,559k1,876k
2015-08-25Annual110,503k-89,185k21,318k-89,082k9,965k

Cash Flow Trend

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
AverageAnnual23.19%-6.33%21.73%-32.48%15.88%
2007-08-25Annual29.08%5.26%111.34%-12.76%-168.04%
2008-08-25Annual37.40%23.75%2,126.19%-35.30%286.51%
2009-08-25Annual26.63%-109.35%-70.16%-31.85%-130.37%
2010-08-25Annual49.99%-1.74%446.03%1.08%72.48%
2011-08-25Annual-8.95%6.32%-12.97%27.17%-2,599.56%
2012-08-25Annual18.90%-12.06%30.17%-33.27%18.14%
2013-08-25Annual45.33%-32.68%63.26%-36.61%13.06%
2014-08-25Annual5.08%-68.89%-68.41%-66.49%108.60%
2015-08-25Annual-19.50%24.48%11.18%25.49%431.18%



Finance Detail

Income Statement Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2006-082007-082008-082009-082010-082011-082012-082013-082014-082015-08
1: Revenue734673k888801k1119876k1251628k1395891k1714247k2050745k2299812k2517567k2802603k
2: Cost of revenue611497k738279k933714k1048039k1160264k1430704k1718780k1929428k2113664k2352839k
3: Gross profit123176k150522k186162k203589k235627k283543k331965k370384k403903k449764k
4: Operating expenses105046k122546k137736k146105k160734k192663k224039k242449k267196k303398k
5: Sales, General and administrative103212k115496k135224k146354k160716k192663k224039k242449k265751k301393k
6: Other operating expenses1834k7050k2512k-249k18k0001445k2005k
7: Operating income18130k27976k48426k57484k74893k90880k107926k127935k136707k146366k
8: Interest Expense3191k788k1445k1700k2723k3916k6191k4216k4295k6440k
9: Other income (expense)1808k1311k743k-82k70k2392k979k-508k1837k-3330k
10: Income before income taxes16747k28499k47724k55702k72240k89356k102714k123211k134249k136596k
11: Provision for income taxes8112k12337k9124k13069k22787k27468k35053k38942k41372k47566k
12: Minority interest354k476k494k265k132k-0-0000
13: Other income-97k-2903k104k244k110k-52k-15k-4k9k94k
14: Net income from continuing operations8184k12783k38210k42612k49431k61836k67646k84265k92886k89124k
15: Net income from discontinuing ops3674k143k-104k-28k16k-86k-25k000
16: Extraordinary items0000000000
17: Cumulative effect of accounting changes0000000000
18: Other000-265k-132k00000
19: Net income11858k12926k38106k42319k49315k61750k67621k84265k92886k89124k
20: Preferred dividend0000000001137k
21: Net income available to common shareholders11858k12926k38106k42319k49315k61750k67621k84265k92886k87987k
22: Earnings per share0000000000
23: Basic0.430.451.321.461.662.072.242.783.072.95
24: Diluted0.430.441.31.451.652.072.242.783.072.95
25: Weighted average shares outstanding0000000000
26: Basic27332k28534k28860k28959k29254k29441k29554k29647k29747k29848k
27: Diluted27735k29243k29210k29181k29279k29450k29566k29681k29757k29855k
28: EBITDA29556k38736k60539k71300k90223k114426k132644k151871k167019k177481k
29: Total operating expenses105046k122546k137736k146105k160734k192663k224039k242449k267196k303398k


Balance Sheet Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2006-082007-082008-082009-082010-082011-082012-082013-082014-082015-08
1: Assets359043k395419k449963k487373k572565k664328k735712k826039k940218k991692k
2: Current assets139256k155952k185026k184782k234841k292777k336614k375581k402491k464354k
3: Cash39995k32065k48121k44193k73346k76817k91248k121874k137098k157072k
4: Cash and cash equivalents39995k32065k48121k44193k73346k76817k91248k121874k137098k157072k
5: Short-term investments0000000000
6: Receivables3599k2705k4559k2187k2855k3655k6231k3130k7910k9662k
7: Inventories77432k95979k113894k115841k131190k177232k201043k217413k226383k267175k
8: Deferred income taxes0002618k3639k4252k5619k6290k6177k7849k
9: Prepaid expenses8985k15777k16669k19033k21879k29117k31232k20890k22570k22535k
10: Other current assets9245k9426k1783k910k1932k1704k1241k5984k2353k61k
11: Non-current assets219787k239467k264937k302591k337724k371551k399098k450458k537727k527338k
12: Property, plant and equipment162029k179985k199576k231798k265544k281111k297845k338478k426325k433040k
13: Land48820k58924k63582k74506k81187k84912k89878k100108k124082k128071k
14: Buildings and improvements0000000000
15: Fixtures and equipment61304k66275k75137k80680k88090k89239k103263k119242k148143k164916k
16: Other properties111330k120496k132703k155892k185511k210900k219641k251914k300149k305661k
17: Property and equipment, at cost221454k245695k271422k311078k354788k385051k412782k471264k572374k598648k
18: Accumulated Depreciation-59425k-65710k-71846k-79280k-89244k-103940k-114937k-132786k-146049k-165608k
19: Equity and other investments0007658k8091k8063k7559k8104k8863k10317k
20: Goodwill31870k31652k39248k37538k37471k37361k36886k36364k36108k35871k
21: Intangible assets0000000000
22: Deferred income taxes20183k19535k21928k20938k16637k17m14835k12871k11825k7464k
23: Prepaid pension costs0000000000
24: Other long-term assets5705k8295k4185k4659k9981k28016k41973k54641k54606k40646k
25: Liabilities and stockholders' equity359043k395419k449963k487373k572565k664328k735712k826039k940218k991692k
26: Liabilities124424k150103k175457k186975k236522k288490k316798k344990k391953k425108k
27: Current liabilities102443k132427k139119k141928k175483k218227k234741k274878k302191k337097k
28: Short-term debt5575k4712k6210k6893k11266k10030k7237k12757k11848k23775k
29: Capital leases0000000000
30: Accounts payable65901k80633k96120k101412k124401k163432k173198k199425k225761k241978k
31: Deferred income taxes000189k357k533k122k111k157k30k
32: Taxes payable0005942k6615k7655k8578k8059k7664k9595k
33: Accrued liabilities20959k31026k20148k18853k23006k25121k31859k37998k38829k41535k
34: Deferred revenues5780k6634k7764k8340k9729k11416k13747k16528k17932k20184k
35: Other current liabilities4228k9422k8877k299k109k40k0000
36: Non-current liabilities21981k17676k36338k45047k61039k70263k82057k70112k89762k88011k
37: Long-term debt13252k8008k23028k40578k56569k60451k71422k60263k79591k73365k
38: Capital leases0000000000
39: Deferred taxes liabilities1101k1474k1376k1026k1198k1888k2191k2622k2290k2193k
40: Accrued liabilities0000000000
41: Deferred revenues0000000000
42: Pensions and other benefits0000000589k00
43: Minority interest2672k3145k480k770k000000
44: Other long-term liabilities4956k5049k11454k2673k3272k7924k8444k6638k7881k12453k
45: Stockholders' equity234619k245316k274506k300398k336043k375838k418914k481049k548265k566584k
46: Preferred stock0000000000
47: Common stock0003k3k3k3k3k3k3k
48: Other Equity0000000000
49: Additional paid-in capital364132k369848k373192k377210k379368k383549k384154k390581k397150k403168k
50: Retained earnings-109676k-106087k-77510k-49998k-15578k28238k77739k143871k215613k283611k
51: Treasury stock-9466k-10075k-12845k-14134k-15568k-18279k-16480k-19947k-24720k-29397k
52: Accumulated other comprehensive income-10371k-8370k-8331k-12683k-12182k-17673k-26502k-33459k-39781k-90801k
53: Total assets359043k395419k449963k487373k572565k664328k735712k826039k940218k991692k
54: Total liabilities and stockholders' equity359043k395419k449963k487373k572565k664328k735712k826039k940218k991692k
55: Total cash39995k32065k48121k44193k73346k76817k91248k121874k137098k157072k
56: Total current assets139256k155952k185026k184782k234841k292777k336614k375581k402491k464354k
57: Property, plant and equipment, net162029k179985k199576k231798k265544k281111k297845k338478k426325k433040k
58: Total non-current assets219787k239467k264937k302591k337724k371551k399098k450458k537727k527338k
59: Total current liabilities102443k132427k139119k141928k175483k218227k234741k274878k302191k337097k
60: Total non-current liabilities21981k17676k36338k45047k61039k70263k82057k70112k89762k88011k
61: Total liabilities124424k150103k175457k186975k236522k288490k316798k344990k391953k425108k
62: Total stockholders' equity234619k245316k274506k300398k336043k375838k418914k481049k548265k566584k


Cash Flow Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2006-082007-082008-082009-082010-082011-082012-082013-082014-082015-08
1: Cash Flows From Operating Activities24649k31818k43718k55358k83029k75599k89889k130633k137275k110503k
2: Net income8184k12783k38210k049447k61750k67621k84265k92886k89124k
3: Depreciation & amortization9618k9449k11370k13898k15260k21154k23739k24444k28475k34445k
4: Amortization of debt discount/premium and issuance costs0000000000
5: Investment/asset impairment charges00074k18k00000
6: Investments losses (gains)0000000008543k
7: Deferred income taxes1661k-1063k-1898k-1805k3562k642k2128k3049k2362k2972k
8: (Gain) Loss from discontinued operations0000000000
9: Extraordinary items0000000000
10: Cumulative effect of accounting change0000000000
11: Stock based compensation0003298k3778k4037k5469k6302k6451k5969k
12: Accounts receivable000-3422k000000
13: Inventory-11713k-18547k-17915k-1947k-15349k-46043k-23811k-16370k-8970k-40792k
14: Prepaid expenses0000000000
15: Accounts payable000022989k39030k9766k23080k27800k16423k
16: Accrued liabilities0000000000
17: Interest payable0000000000
18: Income taxes payable0000000000
19: Other working capital13585k16669k9468k5293k2718k-3657k5668k6307k-11676k-6886k
20: Other non-cash items3314k12527k4483k39969k606k-1314k-691k-444k-53k705k
21: Cash Flows From Investing Activities-27219k-30692k-41525k-54751k-54158k-39445k-52567k-71812k-119559k-89082k
22: Investments in property, plant, and equipment-32631k-30913k-23571k-49347k-50207k-47033k-52705k-69927k-118101k-89185k
23: Property, plant, and equipment reductions446k60k3071k181k282k182k138k264k142k368k
24: Acquisitions, net00-22413k-7630k-3800k000-750k-1360k
25: Purchases of investments000-50k-433k00-2149k-850k0
26: Sales/Maturities of investments2800k02m0000000
27: Investments in technologies0000000000
28: Sales of technologies0000000000
29: Purchases of intangibles0000000000
30: Sales of intangibles0000000000
31: Other investing charges2166k161k-612k2095k07406k0001095k
32: Cash Flows From Financing Activities10701k-7281k13580k-4124k-1135k-30640k-25082k-21806k1876k9965k
33: Short-term borrowing0000000009521k
34: Long-term debt issued00040119k44904k45261k75924k3979k41942k52977k
35: Long-term debt repayment000-23926k-24922k-39232k-67259k-7646k-23756k-54905k
36: Excess tax benefit from stock based compensation000-16k-57k752k1438k1336k1489k1206k
37: Common stock issued21014k3949k921k0000000
38: Preferred stock issued0000000000
39: Warrant issued0000000000
40: Redemption of preferred stock0000000000
41: Repurchases of treasury stock-3k-609k-2770k-1289k-1434k-2711k-3154k-3467k-4773k-4677k
42: Cash dividends paid0-4659k-9463k-19551k-14895k-17934k-18120k-18133k-21144k-21126k
43: Dividend payable0000000000
44: Other financing activities-10310k-5962k24892k539k-4731k-16776k-13911k2125k8118k26969k
45: Effect of exchange rate changes1717k-1775k283k-411k1417k-2043k2191k-6389k-4368k-11412k
46: Net change in cash9848k-7930k16056k-3928k29153k3471k14431k30626k15224k19974k
47: Cash at beginning of period30147k39995k32065k48121k44193k73346k76817k91248k121874k137098k
48: Cash at end of period39995k32065k48121k44193k73346k76817k91248k121874k137098k157072k
49: Free Cash Flow0000000000
50: Operating cash flow24649k31818k43718k55358k83029k75599k89889k130633k137275k110503k
51: Capital expenditure-32631k-30913k-23571k-49347k-50207k-47033k-52705k-69927k-118101k-89185k
52: Free cash flow-7982k905k20147k6011k32822k28566k37184k60706k19174k21318k
53: Supplemental schedule of cash flow data0000000000
54: Cash paid for income taxes00000029135k044261k44174k
55: Cash paid for interest0000004837k03765k6093k
56: Net cash provided by operating activities24649k31818k43718k55358k83029k75599k89889k130633k137275k110503k
57: Net cash used for investing activities-27219k-30692k-41525k-54751k-54158k-39445k-52567k-71812k-119559k-89082k
58: Net cash provided by (used for) financing activities10701k-7281k13580k-4124k-1135k-30640k-25082k-21806k1876k9965k



Note