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DOOOBRP Inc.
$64.23$2.3B
Overview & Verdict
Overview
Valuation & Forecasts
Valuation ModelsEstimatesDCF Model
Price & Analyst Data
Analyst TargetsPrice HistoryTechnical Analysis
Financial Statements
Income StatementBalance SheetCash FlowRatios & Margins
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HomeStocksDOOOQuarterly Balance Sheet

BRP Inc. (DOOO) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

BRP Inc. (DOOO) quarterly balance sheet — complete assets, liabilities & equity history

DOOO Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21Q1'21Q4'20
Total Current Assets3.25B3.04B3.19B3.17B3.43B3.08B3.35B3.53B3.65B3.5B3.55B3.38B3.25B2.88B2.77B2.67B2.41B2.14B2.4B2.86B
Cash & Short-Term Investments250.1M326.5M392M260.8M256.7M282.6M417.4M491.8M416.6M529.6M338.4M324.9M145.4M173.5M149.9M339.4M108.7M427.9M784.2M1.4B
Cash Only250.1M271.6M314.1M180.7M147M165.4M417.4M491.8M283.6M388.5M213M202.3M59.9M59.1M55.3M265.8M34.3M355.4M690.9M1.33B
Short-Term Investments39.3M54.9M77.9M80.1M109.7M117.2M00133M141.1M125.4M122.6M85.5M114.4M94.6M73.6M74.4M72.5M93.3M76.5M
Accounts Receivable799.5M695.9M681.4M758.2M588.8M499.2M568.6M549.1M590.4M467.3M586.7M514.2M523.7M380.9M447.4M347.7M496.4M303M295.7M255.1M
Days Sales Outstanding30.5733.5534.6929.5425.5926.6724.7619.4719.7217.4520.1715.5215.3615.6319.5616.5423.1614.4713.5513.35
Inventory1.96B1.8B1.81B1.73B2B2.21B2.19B2.16B2.59B2.35B2.5B2.29B2.47B2.18B2B1.69B1.75B1.34B1.28B1.09B
Days Inventory Outstanding101.22111.18108.39102.81127.02138.42126.17106.98123.44107.36118.1195.77104.17104.73121.2990.96120.5690.2883.0675.45
Other Current Assets236.1M225.3M314.8M425.6M584.7M80.2M172.1M348.4M59.8M290M246.1M66.7M189.5M266.5M168.7M140.1M58.5M136.9M38.4M200M
Total Non-Current Assets3.26B3.25B3.15B3.12B3.08B3.3B3.29B3.25B3.24B3.16B3.16B3.08B2.9B2.49B2.44B2.36B2.16B2.12B2.03B2.02B
Property, Plant & Equipment2.12B2.13B2.11B2.12B2.08B2.21B2.17B2.17B2.1B2.03B2.05B1.99B1.76B1.62B1.59B1.57B1.41B1.37B1.3B1.28B
Fixed Asset Turnover1.06x0.89x0.87x1.00x0.91x0.84x0.94x1.26x1.19x1.36x1.20x1.64x1.60x1.52x1.14x1.57x1.15x1.43x1.40x1.45x
Goodwill000252.3M000252.3M000252.3M253.5M00115.9M000116M
Intangible Assets629.3M627.4M605.4M351.5M605.5M663.1M665.5M412.8M735.4M733.4M738.7M489M481.9M515.2M505.4M379M480.3M466.1M464.2M349.1M
Long-Term Investments50.6M30.6M30.9M26.6M29M28.4M39.3M49.6M57.5M69.7M57.6M69.3M135.3M87.2M96.7M53.2M48.2M38.9M43.9M31.6M
Other Non-Current Assets26.5M21.5M31.4M28.4M23.8M32M23.9M20.5M31.7M34.8M31.4M24.8M32.1M36.3M34.1M27.3M24.2M23.5M19.5M21.3M
Total Assets6.51B6.29B6.34B6.29B6.51B6.38B6.64B6.78B6.89B6.66B6.71B6.46B6.15B5.38B5.21B5.03B4.57B4.25B4.43B4.89B
Asset Turnover0.35x0.30x0.29x0.33x0.30x0.28x0.30x0.39x0.36x0.42x0.37x0.49x0.47x0.46x0.35x0.49x0.36x0.44x0.39x0.38x
Asset Growth %0.08%-1.39%-4.53%-7.12%-5.56%-4.18%-1.03%4.81%12.01%23.74%28.81%28.5%34.52%26.48%17.63%2.97%-3.2%0.31%4.55%29.7%
Total Current Liabilities2.65B2.27B2.38B2.43B2.51B2.33B2.49B2.51B2.62B2.5B2.65B2.48B3.11B2.68B2.94B2.62B2.16B1.97B2.02B2.19B
Accounts Payable1.62B1.23B1.29B829.4M1.34B1.23B1.28B1.03B1.53B1.38B1.6B943.7M1.86B1.57B1.45B965.3M1.42B1.22B1.27B814.7M
Days Payables Outstanding76.5677.7164.9559.877.3278.5866.8457.5972.6265.9662.7656.3276.7975.6479.2463.13103.2986.1373.3670
Short-Term Debt50.1M46.6M53.6M53.8M75.6M60.3M59.2M58.1M93.3M90.9M91M88.4M414.1M283.4M426.8M103.1M83M24.4M21.4M25.3M
Deferred Revenue (Current)62.2M63.9M64.6M64.9M69.1M77.7M78.3M89.9M94.5M91.5M83.5M85.3M127.3M231.3M321.1M247.9M104.3M78.6M75.2M72.4M
Other Current Liabilities842.1M842.6M895.8M995.2M936.1M874.7M988.5M812.5M807.4M843.2M772.9M635.4M612.7M493.6M667.1M480.4M408.1M494.5M549.5M701.8M
Current Ratio1.23x1.34x1.34x1.31x1.37x1.32x1.35x1.41x1.40x1.40x1.34x1.36x1.04x1.08x0.94x1.02x1.12x1.09x1.19x1.31x
Quick Ratio0.49x0.55x0.58x0.60x0.57x0.37x0.46x0.55x0.41x0.46x0.39x0.44x0.25x0.26x0.26x0.37x0.31x0.40x0.55x0.81x
Cash Conversion Cycle55.2367.0278.1272.5575.2886.5184.0968.8670.5458.8675.5154.9742.7444.7161.6144.3740.4218.6223.2618.8
Total Non-Current Liabilities3.29B3.53B3.49B3.62B3.46B3.49B3.5B3.46B3.57B3.37B3.48B3.44B2.87B2.69B2.49B2.54B2.64B2.7B2.66B3.17B
Long-Term Debt2.49B2.74B2.74B2.87B2.79B2.76B2.77B2.71B2.82B2.67B2.77B2.73B2.28B2.15B1.94B1.94B1.98B2B1.96B2.38B
Capital Lease Obligations192.9M197.2M162.6M158.2M136.9M149.6M140.8M142M138.5M141.8M151.5M152.2M124.6M118.5M116.1M117.5M199.3M207.4M205.4M206.3M
Deferred Tax Liabilities68.3M72.7M66.3M58.8M88M92.1M100.4M105.9M80.3M79.2M55.6M58.9M54.3M32.2M35.3M22.4M17.7M14.3M19.1M16.4M
Other Non-Current Liabilities459.5M443.5M432.1M446.5M375.6M388.9M386.9M390.4M410.9M365.8M380.3M357.8M286.9M290M301.1M359.7M352.5M386.8M370.6M428.5M
Total Liabilities5.93B5.8B5.87B6.05B5.97B5.82B5.99B5.96B6.18B5.88B6.13B5.92B5.98B5.37B5.42B5.16B4.8B4.67B4.68B5.36B
Total Debt2.79B3.04B3.01B3.13B3.05B3.02B3.02B2.95B3.1B2.95B3.06B3.02B2.86B2.58B2.52B2.19B2.3B2.26B2.22B2.65B
Net Debt2.54B2.76B2.7B2.95B2.9B2.86B2.6B2.46B2.82B2.56B2.85B2.81B2.8B2.52B2.47B1.92B2.26B1.91B1.53B1.32B
Debt / Equity4.83x6.15x6.41x12.68x5.68x5.46x4.61x3.63x4.39x3.78x5.30x5.58x16.82x280.52x------
Debt / EBITDA8.70x14.92x15.03x14.26x12.46x16.67x12.33x7.37x7.42x6.22x8.18x5.72x6.19x6.17x9.30x5.19x9.08x5.60x5.80x8.36x
Net Debt / EBITDA7.92x13.59x13.46x13.44x11.86x15.76x10.62x6.14x6.74x5.40x7.61x5.34x6.06x6.02x9.10x4.56x8.94x4.72x3.99x4.17x
Interest Coverage4.34x2.37x6.78x0.29x2.20x1.83x1.56x8.17x4.85x13.35x7.58x18.23x10.74x16.60x11.61x29.90x15.90x26.97x4.94x18.11x
Total Equity576.8M493.6M469.5M246.8M536.5M554.1M654.3M813.9M706.9M781.5M577.6M540.1M169.8M9.2M-212M-132.8M-226.8M-418M-250.5M-474.9M
Equity Growth %7.51%-10.92%-28.24%-69.68%-24.11%-29.1%13.28%50.69%316.31%8394.57%372.45%506.7%174.87%102.2%15.37%72.04%49.23%37.24%68.44%18.9%
Book Value per Share7.786.716.393.347.267.428.7410.629.089.867.186.722.120.11-2.56-1.59-2.72-4.84-2.86-5.42
Total Shareholders' Equity568.9M485.6M464.1M241.3M530.7M547.7M648.8M808.9M701.6M776.3M572.9M534.9M166.1M5.5M-214.9M-135.6M-229.6M-420.7M-254.3M-478.7M
Common Stock267.8M251.8M251M251M250.2M249.8M256.3M248.5M252.9M262.2M263.3M255.8M247.7M246.8M261.2M260.6M262.5M193.6M208.8M210.4M
Retained Earnings168.3M113.6M99.9M-37.3M203.7M210.7M381.2M443.1M357M443.6M263.2M175.5M-129.3M-299.3M-293.6M-404.3M-555.7M-692M-551.9M-575.9M
Treasury Stock00000000000000000000
Accumulated OCI46.9M34.3M26M-55.4M-4M11.1M27M45.5M24M78.9M48M44.8M-7.1M7.3M21.1M11.3M23.4M26.1M40.7M40.8M
Minority Interest7.9M8M5.4M5.5M5.8M6.4M5.5M5M5.3M5.2M4.7M5.2M3.7M3.7M2.9M2.8M2.8M2.7M3.8M3.8M