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DOOOBRP Inc.
$64.23$2.3B
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HomeStocksDOOOBalance Sheet

BRP Inc. (DOOO) Balance Sheet

13Y historyFree accessUpdated daily

The company's financial foundation appears vulnerable, with equity declining from $808.9 million in 2023Q4 to $568.9 million in 2025Q3 alongside a debt-to-equity ratio of 4.83.

DOOO Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricTTMJan'25Jan'24Jan'23Jan'22Jan'21Jan'20Jan'19Jan'18Jan'17Jan'16Jan'15Jan'14Jan'13
Total Current Assets3.25B3.17B3.53B3.38B2.67B2.86B1.67B1.49B1.36B1.38B1.29B1.23B926.1M1.25B
Cash & Short-Term Investments250.1M260.8M598.4M324.9M339.4M1.4B61.6M112.8M237.5M302.1M243M251.3M86.5M550.2M
Cash Only250.1M180.7M491.8M202.3M265.8M1.33B42.5M100M226M298.6M235M232M75.4M542.4M
Short-Term Investments39.3M80.1M106.6M122.6M73.6M76.5M19.1M12.8M11.5M3.5M8M19.3M11.1M7.8M
Accounts Receivable799.5M758.2M717.1M698.9M497.3M255.1M333.5M334M286.5M284.3M282M278.1M242.9M188.9M
Days Sales Outstanding33.1335.3525.2525.4223.7315.6420.1123.2523.3124.8826.8828.827.7623.81
Inventory1.96B1.73B2.16B2.29B1.69B1.09B1.17B946.2M752.5M689.8M685.9M630.2M532.7M465M
Days Inventory Outstanding105.37104.28101.32110.95111.9288.5792.5786.5580.3279.6185.8885.8681.4878.63
Other Current Assets236.1M425.6M348.4M66.7M140.1M200M115.5M104.5M92.5M106.8M17.7M14.7M75.2M57.4M
Total Non-Current Assets3.26B3.12B3.25B3.08B2.36B2.02B2.09B1.59B1.2B1.13B1.15B1.12B1.03B960.6M
Property, Plant & Equipment2.12B2.12B2.17B1.99B1.57B1.28B1.24B905.1M766.8M673.2M636.6M586.9M515.3M448.4M
Fixed Asset Turnover3.81x3.69x4.77x5.04x4.86x4.66x4.87x5.79x5.85x6.20x6.02x6.01x6.20x6.46x
Goodwill0252.3M252.3M252.3M115.9M116M230.2M169.4M116M115.9M116M115.9M116M115.9M
Intangible Assets629.3M351.5M412.8M489M379M349.1M379.9M309.3M198.6M201.2M207.9M220.6M219.9M210.2M
Long-Term Investments138.7M26.6M49.6M69.3M53.2M31.6M20.2M20M21.4M20.1M22.2M20.3M21.4M19.2M
Other Non-Current Assets26.5M28.4M358M24.8M27.3M21.3M15.9M18M6.3M6.4M34.6M59.7M56.8M48.5M
Total Assets6.51B6.29B6.78B6.46B5.03B4.89B3.77B3.08B2.56B2.52B2.45B2.35B1.95B2.22B
Asset Turnover1.27x1.24x1.53x1.55x1.52x1.22x1.61x1.70x1.75x1.66x1.57x1.50x1.64x1.31x
Asset Growth %-12.95%-7.12%4.81%28.5%2.97%29.7%22.42%20.28%1.68%2.9%4.14%20.33%-11.93%-
Total Current Liabilities2.65B2.43B2.51B2.48B2.62B2.19B1.88B1.68B1.26B1.1B931.3M938.2M770.5M787.5M
Accounts Payable1.62B829.4M1.03B943.7M965.3M814.7M754.8M687.4M560.2M518.8M461.7M476.2M368.2M357.9M
Days Payables Outstanding71.6749.9948.2645.7263.8866.3759.9162.8859.859.8857.8164.8856.3260.52
Short-Term Debt50.1M53.8M58.1M88.4M103.1M25.3M17.9M18.4M19.8M22.7M14.8M11.3M16.9M12.2M
Deferred Revenue (Current)255.6M64.9M89.9M85.3M247.9M72.4M71.8M71.3M542.9M461.8M368.2M372.4M306.2M299.3M
Other Current Liabilities842.1M995.2M812.5M635.4M480.4M701.8M609.6M516.9M333.7M270.2M234.1M229.2M192.9M219.7M
Current Ratio1.23x1.31x1.41x1.36x1.02x1.31x0.89x0.89x1.07x1.25x1.39x1.31x1.20x1.59x
Quick Ratio0.49x0.60x0.55x0.44x0.37x0.81x0.27x0.32x0.48x0.63x0.65x0.64x0.51x1.00x
Cash Conversion Cycle66.8389.6478.390.6571.7837.8552.7746.9243.8344.6154.9549.7852.9241.92
Total Non-Current Liabilities3.29B3.62B3.46B3.44B2.54B3.17B2.47B1.72B1.35B1.25B1.53B1.44B1.22B1.41B
Long-Term Debt2.49B2.87B2.71B2.73B1.94B2.38B1.63B1.2B970.8M901M1.13B1.02B883.5M1.04B
Capital Lease Obligations710.9M158.2M142M152.2M117.5M206.3M209.3M0000000
Deferred Tax Liabilities266.1M58.8M058.9M22.4M16.4M14.3M900K6M16.8M28.8M17.7M14M3.8M
Other Non-Current Liabilities459.5M446.5M609.5M357.8M359.7M428.5M481.3M524.5M381.3M345.7M82.7M75.8M68.6M55.3M
Total Liabilities5.93B6.05B5.96B5.92B5.16B5.36B4.36B3.4B2.62B2.35B2.46B2.37B1.99B2.19B
Total Debt2.79B3.13B2.95B3.02B2.19B2.65B1.89B1.22B990.6M923.7M1.15B1.04B900.4M1.05B
Net Debt2.54B2.95B2.46B2.81B1.92B1.32B1.84B1.12B764.6M625.1M911.6M803.5M825M512.2M
Debt / Equity4.83x12.68x3.63x5.58x-----5.58x---51.19x
Debt / EBITDA2.95x3.20x1.76x1.80x1.50x3.65x2.25x1.87x1.80x2.10x2.93x2.48x2.31x3.46x
Net Debt / EBITDA2.69x3.01x1.46x1.68x1.32x1.82x2.20x1.72x1.39x1.42x2.33x1.92x2.11x1.68x
Interest Coverage3.52x2.59x6.27x11.21x11.67x6.56x9.45x6.12x7.48x6.43x2.62x3.14x2.85x3.99x
Total Equity576.8M246.8M813.9M540.1M-132.8M-474.9M-585.6M-322.8M-57.4M165.5M-14.1M-26.9M-40.8M20.6M
Equity Growth %-101.33%-69.68%50.69%506.7%72.04%18.9%-81.41%-462.37%-134.68%1273.76%47.58%34.07%-298.06%-
Book Value per Share7.783.3410.376.67-1.56-5.36-6.24-3.24-0.531.46-0.12-0.23-0.360.17
Total Shareholders' Equity568.9M241.3M808.9M534.9M-135.6M-478.7M-589.7M-328M-62.6M160.9M-19.3M-29.6M-43.1M18.3M
Common Stock267.8M251M248.5M255.8M260.6M210.4M190.6M217.8M234.8M303M331.3M361.9M360.4M52.2M
Retained Earnings168.3M-37.3M443.1M175.5M-404.3M-575.9M-757M-596.3M-312M-169.1M-393.6M-418.8M-428.7M-28M
Treasury Stock00000000000000
Accumulated OCI46.9M-55.4M45.5M44.8M11.3M40.8M5.2M12.2M22.4M100K21.5M10.9M13.9M-24.9M
Minority Interest7.9M5.5M5M5.2M2.8M3.8M4.1M5.2M5.2M4.6M5.2M2.7M2.3M2.3M

Key Metrics

Growth RegimeContracting
ProfitabilityNegative
Balance SheetVulnerable
Cash FlowMixed
Top Statement Risk

High leverage and inventory

Balance Sheet Erosion Amid Contraction

As reported in recent financial filings, BRP's equity base has experienced significant volatility, dropping from $808.9 million in 2023Q4 to $568.9 million by 2025Q3, which suggests that the company's financial foundation is weakening under the weight of sustained operational headwinds and cyclical demand pressures.

The contraction in equity, coupled with persistent debt levels, indicates a deteriorating capital structure that limits the company's ability to absorb further shocks. Investors should monitor whether this trend reflects a permanent impairment of value or a temporary cyclical trough that may require further capital preservation measures.

Leverage Constraints Limit Strategic Flexibility

Based on the provided quarterly data, the debt-to-equity ratio spiked to a concerning 12.68 in 2024Q4, which, according to recent financial statements, highlights a precarious reliance on debt financing that may restrict the company's ability to fund necessary R&D or navigate prolonged periods of market weakness.

While the ratio has moderated slightly in subsequent quarters, the absolute debt load remains high relative to the current equity base. This leverage profile suggests that the company is highly sensitive to interest rate fluctuations and may face increased pressure to prioritize debt service over growth-oriented capital allocation.

Tightening Liquidity Buffers Against Volatility

According to the latest balance sheet figures, the current ratio has fluctuated between 1.23 and 1.41 over the last ten quarters, which suggests that BRP's liquidity buffer is becoming increasingly strained as the company manages inventory levels and working capital requirements in a cooling powersports market.

The decline in cash reserves from $491.8 million in 2023Q4 to $250.1 million in 2025Q3 warrants close attention, as it may indicate a reduced capacity to support dealer floorplan financing or absorb unexpected operational costs. This tightening liquidity position appears to leave the firm with limited margin for error.

Retained Earnings Volatility Signals Instability

As reported in financial statements, the company's retained earnings swung from a positive $443.1 million in 2023Q4 to a negative $37.3 million in 2024Q4, which suggests that recent operational losses are directly eroding the firm's core equity base and long-term shareholder value creation potential.

The rapid depletion of retained earnings highlights the impact of the current cyclical downturn on the company's bottom line. This trend may indicate that the business model is currently struggling to generate sufficient internal capital to sustain its historical investment levels without relying on external financing.

DOOO — Frequently Asked Questions

Quick answers to the most common questions about buying DOOO stock.

What are the total assets of BRP Inc. (DOOO)?

As of 2024, BRP Inc. (DOOO) had total assets of $6.29B including $3.17B in current assets.

How much debt does BRP Inc. (DOOO) have?

BRP Inc. (DOOO) carries total debt of $3.13B, offset by $260.8M in cash and short-term investments. Comparing total debt to cash helps evaluate the company's debt burden and net leverage.

What is the book value or shareholders' equity of BRP Inc.?

BRP Inc. (DOOO) has total shareholders' equity (book value) of $241.3M ($3.34 book value per share). Book value represents the net worth of the company belonging to common stock holders.

What is BRP Inc.'s current ratio and liquidity?

BRP Inc. (DOOO) reported a current ratio of 1.31x. A current ratio above 1.0x indicates that the company has more current assets than current liabilities, suggesting sufficient short-term liquidity.