C21 Investments (CWLXF) Debt Ratio (2018 - 2025)
Historic Debt Ratio for C21 Investments (CWLXF) over the last 8 years, with Q3 2025 value amounting to 0.0.
- C21 Investments' Debt Ratio fell 6483.05% to 0.0 in Q3 2025 from the same period last year, while for Sep 2025 it was 0.0, marking a year-over-year decrease of 6483.05%. This contributed to the annual value of 0.17 for FY2024, which is N/A changed from last year.
- According to the latest figures from Q3 2025, C21 Investments' Debt Ratio is 0.0, which was down 6483.05% from 0.0 recorded in Q2 2025.
- Over the past 5 years, C21 Investments' Debt Ratio peaked at 0.27 during Q1 2021, and registered a low of 0.0 during Q3 2025.
- Moreover, its 5-year median value for Debt Ratio was 0.02 (2022), whereas its average is 0.06.
- In the last 5 years, C21 Investments' Debt Ratio skyrocketed by 1579.47% in 2021 and then tumbled by 9207.33% in 2022.
- C21 Investments' Debt Ratio (Quarter) stood at 0.04 in 2021, then decreased by 17.5% to 0.03 in 2022, then plummeted by 73.71% to 0.01 in 2023, then plummeted by 83.17% to 0.0 in 2024, then tumbled by 62.99% to 0.0 in 2025.
- Its last three reported values are 0.0 in Q3 2025, 0.0 for Q2 2025, and 0.0 during Q4 2024.