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QSR Restaurant Brands International Inc

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  • 94.540
  • -1.670-1.74%
15min DelayMarket Closed May 13 16:00 ET
30.98BMarket Cap22.27P/E (TTM)

Restaurant Brands International Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-20.27%118M
13.61%1.5B
19.35%481M
24.71%540M
-14.80%334M
55.79%148M
-11.21%1.32B
-4.73%403M
8.79%433M
-9.89%392M
Net income from continuing operations
-32.01%223M
-15.89%1.45B
-50.28%361M
-1.92%357M
13.68%399M
18.41%328M
15.92%1.72B
116.07%726M
-31.32%364M
1.45%351M
Operating gains losses
128.36%19M
-129.85%-308M
-280.56%-137M
98.04%-1M
-267.86%-103M
-252.63%-67M
-532.26%-134M
-154.55%-36M
-59.38%-51M
-115.38%-28M
Depreciation and amortization
44.90%71M
38.22%264M
57.14%77M
68.09%79M
20.41%59M
6.52%49M
0.53%191M
4.26%49M
2.17%47M
2.08%49M
Remuneration paid in stock
4.35%48M
-11.34%172M
-9.43%48M
-24.49%37M
-12.77%41M
2.22%46M
42.65%194M
23.26%53M
44.12%49M
46.88%47M
Deferred tax
-16.67%15M
98.84%-5M
102.87%11M
-271.43%-26M
33.33%-8M
164.29%18M
-616.67%-430M
-1,135.48%-383M
75.86%-7M
-175.00%-12M
Other non cashItems
37.50%11M
-71.43%6M
----
----
33.33%-2M
300.00%8M
0.00%21M
-180.00%-4M
333.33%26M
25.00%-3M
Change In working capital
-14.96%-269M
70.04%-71M
5,850.00%115M
1,900.00%100M
-333.33%-52M
-2.63%-234M
23.55%-237M
95.35%-2M
103.18%5M
-220.00%-12M
-Change in receivables
350.00%15M
104.76%7M
18.03%-50M
184.21%48M
171.43%15M
25.00%-6M
-33.64%-147M
-258.82%-61M
41.24%-57M
-142.00%-21M
-Change in inventory
-657.14%-39M
169.77%30M
383.33%29M
-225.00%-13M
128.00%7M
135.00%7M
29.51%-43M
0.00%6M
90.00%-4M
-400.00%-25M
-Change in payables and accrued expense
-7.69%-238M
-316.13%-67M
-3.87%149M
52.38%64M
-255.26%-59M
-8.33%-221M
-84.95%31M
-7.19%155M
-69.78%42M
240.74%38M
-Change in other working capital
50.00%-7M
47.44%-41M
87.25%-13M
--1M
---15M
-450.00%-14M
77.39%-78M
48.74%-102M
----
----
Cash from discontinued investing activities
Operating cash flow
-20.27%118M
13.61%1.5B
19.35%481M
24.71%540M
-14.80%334M
55.79%148M
-11.21%1.32B
-4.73%403M
8.79%433M
-9.89%392M
Investing cash flow
Cash flow from continuing investing activities
-493.55%-184M
-6,100.00%-660M
-300.00%-44M
-1,800.00%-57M
-6,500.00%-528M
-31M
117.19%11M
1,000.00%22M
85.00%-3M
82.98%-8M
Net PPE purchase and sale
-146.15%-64M
-67.50%-201M
-63.83%-77M
-120.00%-55M
-43.33%-43M
-44.44%-26M
-20.00%-120M
2.08%-47M
-4.17%-25M
-66.67%-30M
Net business purchase and sale
-556.52%-151M
-3,076.47%-540M
88.24%-2M
---7M
---508M
---23M
-41.67%-17M
---17M
--0
--0
Net investment purchase and sale
31.25%21M
-33.93%74M
-72.22%20M
58.33%19M
35.71%19M
14.29%16M
57.75%112M
46.94%72M
-7.69%12M
133.33%14M
Net other investing changes
400.00%10M
-80.56%7M
7.14%15M
-240.00%-14M
-50.00%4M
-50.00%2M
256.52%36M
1,300.00%14M
211.11%10M
134.78%8M
Cash from discontinued investing activities
Investing cash flow
-493.55%-184M
-6,100.00%-660M
-300.00%-44M
-1,800.00%-57M
-6,500.00%-528M
---31M
117.19%11M
1,000.00%22M
85.00%-3M
82.98%-8M
Financing cash flow
Cash flow from continuing financing activities
-30.54%-265M
54.51%-625M
56.67%-260M
22.39%-253M
143.75%91M
15.42%-203M
-5.13%-1.37B
-206.12%-600M
-29.88%-326M
52.07%-208M
Net issuance payments of debt
-37.50%-33M
802.70%260M
-100.00%-26M
-159.52%-25M
1,085.29%335M
25.00%-24M
59.78%-37M
43.48%-13M
275.00%42M
-36.00%-34M
Net common stock issuance
----
--0
--0
----
----
----
-68.92%-500M
-1,383.33%-385M
----
----
Cash dividends paid
-6.94%-262M
-3.94%-1.03B
-5.22%-262M
-4.82%-261M
-4.82%-261M
-0.82%-245M
-1.96%-990M
-2.47%-249M
-2.47%-249M
-2.05%-249M
Proceeds from stock option exercised by employees
-66.67%13M
30.00%78M
-12.50%7M
266.67%11M
-51.16%21M
550.00%39M
185.71%60M
-42.86%8M
0.00%3M
4,200.00%43M
Net other financing activities
-37.04%17M
-29.03%66M
-46.15%21M
414.29%22M
-112.50%-4M
-6.90%27M
200.00%93M
50.00%39M
-153.85%-7M
3,300.00%32M
Cash from discontinued financing activities
Financing cash flow
-30.54%-265M
54.51%-625M
56.67%-260M
22.39%-253M
143.75%91M
15.42%-203M
-5.13%-1.37B
-206.12%-600M
-29.88%-326M
52.07%-208M
Net cash flow
Beginning cash position
17.12%1.33B
-3.31%1.14B
-10.23%1.18B
-22.34%942M
1.55%1.05B
-3.31%1.14B
8.37%1.18B
38.48%1.31B
44.75%1.21B
15.42%1.03B
Current changes in cash
-409.30%-438M
645.00%218M
201.14%177M
121.15%230M
-158.52%-103M
40.69%-86M
-133.61%-40M
-176.42%-175M
-18.11%104M
482.61%176M
Effect of exchange rate changes
175.00%3M
-2,400.00%-23M
-575.00%-19M
157.14%4M
-200.00%-4M
---4M
103.57%1M
33.33%4M
63.16%-7M
136.36%4M
End cash Position
-14.30%899M
17.12%1.33B
17.12%1.33B
-10.23%1.18B
-22.34%942M
1.55%1.05B
-3.31%1.14B
-3.31%1.14B
38.48%1.31B
44.75%1.21B
Free cash from
-55.74%54M
8.23%1.3B
13.48%404M
18.87%485M
-19.61%291M
58.44%122M
-13.45%1.2B
-5.07%356M
9.09%408M
-13.19%362M
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
--
--
--
(Q1)Mar 31, 2025(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -20.27%118M13.61%1.5B19.35%481M24.71%540M-14.80%334M55.79%148M-11.21%1.32B-4.73%403M8.79%433M-9.89%392M
Net income from continuing operations -32.01%223M-15.89%1.45B-50.28%361M-1.92%357M13.68%399M18.41%328M15.92%1.72B116.07%726M-31.32%364M1.45%351M
Operating gains losses 128.36%19M-129.85%-308M-280.56%-137M98.04%-1M-267.86%-103M-252.63%-67M-532.26%-134M-154.55%-36M-59.38%-51M-115.38%-28M
Depreciation and amortization 44.90%71M38.22%264M57.14%77M68.09%79M20.41%59M6.52%49M0.53%191M4.26%49M2.17%47M2.08%49M
Remuneration paid in stock 4.35%48M-11.34%172M-9.43%48M-24.49%37M-12.77%41M2.22%46M42.65%194M23.26%53M44.12%49M46.88%47M
Deferred tax -16.67%15M98.84%-5M102.87%11M-271.43%-26M33.33%-8M164.29%18M-616.67%-430M-1,135.48%-383M75.86%-7M-175.00%-12M
Other non cashItems 37.50%11M-71.43%6M--------33.33%-2M300.00%8M0.00%21M-180.00%-4M333.33%26M25.00%-3M
Change In working capital -14.96%-269M70.04%-71M5,850.00%115M1,900.00%100M-333.33%-52M-2.63%-234M23.55%-237M95.35%-2M103.18%5M-220.00%-12M
-Change in receivables 350.00%15M104.76%7M18.03%-50M184.21%48M171.43%15M25.00%-6M-33.64%-147M-258.82%-61M41.24%-57M-142.00%-21M
-Change in inventory -657.14%-39M169.77%30M383.33%29M-225.00%-13M128.00%7M135.00%7M29.51%-43M0.00%6M90.00%-4M-400.00%-25M
-Change in payables and accrued expense -7.69%-238M-316.13%-67M-3.87%149M52.38%64M-255.26%-59M-8.33%-221M-84.95%31M-7.19%155M-69.78%42M240.74%38M
-Change in other working capital 50.00%-7M47.44%-41M87.25%-13M--1M---15M-450.00%-14M77.39%-78M48.74%-102M--------
Cash from discontinued investing activities
Operating cash flow -20.27%118M13.61%1.5B19.35%481M24.71%540M-14.80%334M55.79%148M-11.21%1.32B-4.73%403M8.79%433M-9.89%392M
Investing cash flow
Cash flow from continuing investing activities -493.55%-184M-6,100.00%-660M-300.00%-44M-1,800.00%-57M-6,500.00%-528M-31M117.19%11M1,000.00%22M85.00%-3M82.98%-8M
Net PPE purchase and sale -146.15%-64M-67.50%-201M-63.83%-77M-120.00%-55M-43.33%-43M-44.44%-26M-20.00%-120M2.08%-47M-4.17%-25M-66.67%-30M
Net business purchase and sale -556.52%-151M-3,076.47%-540M88.24%-2M---7M---508M---23M-41.67%-17M---17M--0--0
Net investment purchase and sale 31.25%21M-33.93%74M-72.22%20M58.33%19M35.71%19M14.29%16M57.75%112M46.94%72M-7.69%12M133.33%14M
Net other investing changes 400.00%10M-80.56%7M7.14%15M-240.00%-14M-50.00%4M-50.00%2M256.52%36M1,300.00%14M211.11%10M134.78%8M
Cash from discontinued investing activities
Investing cash flow -493.55%-184M-6,100.00%-660M-300.00%-44M-1,800.00%-57M-6,500.00%-528M---31M117.19%11M1,000.00%22M85.00%-3M82.98%-8M
Financing cash flow
Cash flow from continuing financing activities -30.54%-265M54.51%-625M56.67%-260M22.39%-253M143.75%91M15.42%-203M-5.13%-1.37B-206.12%-600M-29.88%-326M52.07%-208M
Net issuance payments of debt -37.50%-33M802.70%260M-100.00%-26M-159.52%-25M1,085.29%335M25.00%-24M59.78%-37M43.48%-13M275.00%42M-36.00%-34M
Net common stock issuance ------0--0-------------68.92%-500M-1,383.33%-385M--------
Cash dividends paid -6.94%-262M-3.94%-1.03B-5.22%-262M-4.82%-261M-4.82%-261M-0.82%-245M-1.96%-990M-2.47%-249M-2.47%-249M-2.05%-249M
Proceeds from stock option exercised by employees -66.67%13M30.00%78M-12.50%7M266.67%11M-51.16%21M550.00%39M185.71%60M-42.86%8M0.00%3M4,200.00%43M
Net other financing activities -37.04%17M-29.03%66M-46.15%21M414.29%22M-112.50%-4M-6.90%27M200.00%93M50.00%39M-153.85%-7M3,300.00%32M
Cash from discontinued financing activities
Financing cash flow -30.54%-265M54.51%-625M56.67%-260M22.39%-253M143.75%91M15.42%-203M-5.13%-1.37B-206.12%-600M-29.88%-326M52.07%-208M
Net cash flow
Beginning cash position 17.12%1.33B-3.31%1.14B-10.23%1.18B-22.34%942M1.55%1.05B-3.31%1.14B8.37%1.18B38.48%1.31B44.75%1.21B15.42%1.03B
Current changes in cash -409.30%-438M645.00%218M201.14%177M121.15%230M-158.52%-103M40.69%-86M-133.61%-40M-176.42%-175M-18.11%104M482.61%176M
Effect of exchange rate changes 175.00%3M-2,400.00%-23M-575.00%-19M157.14%4M-200.00%-4M---4M103.57%1M33.33%4M63.16%-7M136.36%4M
End cash Position -14.30%899M17.12%1.33B17.12%1.33B-10.23%1.18B-22.34%942M1.55%1.05B-3.31%1.14B-3.31%1.14B38.48%1.31B44.75%1.21B
Free cash from -55.74%54M8.23%1.3B13.48%404M18.87%485M-19.61%291M58.44%122M-13.45%1.2B-5.07%356M9.09%408M-13.19%362M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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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