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Signet Jewelers Ltd (SIG)

Signet Jewelers Ltd (SIG)
60.02 x 100 60.84 x 100
Post-market by (Cboe BZX)
60.26 -1.01 (-1.65%) 03/25/25 [NYSE]
60.02 x 100 60.84 x 100
Post-market 60.26 unch (unch) 16:02 ET
Financial Summary for Tue, Mar 25th, 2025
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Signet Jewelers Limited is a retailer of diamond jewelry, watches as well as other products. The company operates in the U.S., Canada, U.K., the Republic of Ireland, and the Channel Islands. The company is often considered as the leading retailer of diamond jewelry. Signet Jewelers reports operating results under the following divisions: North America Segment and International Segment. The North America segment consists of the legacy Sterling Jewelers and Zale units. The North America reportable segment operates across the United States and Canada. The U.S. stores operate nationally in malls and off-mall locations like Kay, Jared, Zales and Piercing Pagoda. The Canadian stores operate under the Peoples Jewellers banner and Mappins Jewellers regional banner. The International Segment operates stores in the United Kingdom, Republic of Ireland and Channel Islands. These stores operate as H.Samuel and Ernest Jones banners in shopping malls and off-mall locations.

Fiscal Year End Date: 01/31

(Values in U.S. Thousands) Jan, 2025 Jan, 2024 Jan, 2023 Jan, 2022 Jan, 2021
Sales 6,703,800 7,171,100 7,842,100 7,826,000 5,226,900
Sales Growth -6.52% -8.56% +0.21% +49.73% -14.83%
Net Income 61,200 810,400 376,700 769,900 -15,200
Net Income Growth -92.45% +115.13% -51.07% +5,165.13% -114.41%
(Values in U.S. Thousands) Jan, 2025 Jan, 2024 Jan, 2023 Jan, 2022 Jan, 2021
Total Assets 5,726,600 6,813,200 6,620,400 6,575,100 6,178,900
Total Assets Growth -15.95% +2.91% +0.69% +6.41% -1.91%
Total Liabilities 3,874,800 4,646,700 5,041,800 5,011,100 4,988,600
Total Liabilities Growth -16.61% -7.84% +0.61% +0.45% -1.73%
(Values in U.S. Thousands) Jan, 2025 Jan, 2024 Jan, 2023 Jan, 2022 Jan, 2021
Operating Cash Flow 590,900 546,900 797,900 1,257,300 1,372,300
Operating Cash Flow Growth +8.05% -31.46% -36.54% -8.38% +146.95%
Net Cash Flow -774,700 211,900 -251,500 245,800 798,000
Change in Net Cash Flow -465.60% +184.25% -202.32% -69.20% +345.56%
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