Aritzia

ATZ · TSX · CAD

$122.66Change from previous close: +1.61%Absolute change: +$1.94

Close · October 2, 2026

At a glance

Revenue growth
+35.21%
FY to Feb 2026 vs FY to Feb 2025
Net income growth
+83.77%
FY to Feb 2026 vs FY to Feb 2025
Net margin
10.3%
FY to Feb 2025: 7.6%

Financial data

Amounts in millions of CAD; per-share values in CAD; shares in millions.

Cash flow · Annual
ItemFY to Feb 2026FY to Feb 2025FY to Feb 2024FY to Feb 2023FY to Feb 2022
Operating cash flow82345635974.9—
Depreciation and amortization214187168134—
Capital expenditure-285-277-177-126—
Investing cash flow-285-277-183-131—
Financing cash flow-227-60.4-98.7-123—
Share repurchases-207-5.9-30.0-61.1—
Debt issued47.810.521.413.5—
Debt repaid-102-110-110-86.3—
Effect of exchange rates-4.24.2-0.40.1—
Net change in cash31111877.2-179—
Free cash flow538179182-50.7—