v3.26.1
Other Investments - Schedule of Balance Sheet and Income Statement Information (Details) - CAD ($)
$ in Thousands
3 Months Ended 6 Months Ended 8 Months Ended 9 Months Ended 12 Months Ended
Dec. 31, 2025
Sep. 30, 2025
Jun. 30, 2025
Dec. 31, 2024
Sep. 30, 2024
Jun. 30, 2024
Dec. 31, 2023
Sep. 30, 2023
Sep. 30, 2025
Sep. 30, 2024
Sep. 30, 2023
Dec. 31, 2024
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Mar. 31, 2026
Dec. 31, 2025
Mar. 31, 2025
Mar. 31, 2024
Assets                                      
Current Assets                               $ 529,466   $ 294,574 $ 371,180
Total assets                               1,118,732   917,701 1,300,330
Liabilities                                      
Current Liabilities $ 109,332 $ 96,424 $ 110,650 $ 130,495 $ 326,637 $ 232,402 $ 230,871 $ 216,911 $ 96,424 $ 326,637 $ 216,911 $ 130,495 $ 109,332 $ 130,495 $ 230,871 158,443 $ 109,332 103,051 334,656
Other Liabilities                               74,241   61,707  
Total liabilities 359,057 349,145 427,676 606,223 768,033 819,108 824,614 939,419 349,145 768,033 939,419 606,223 359,057 606,223 824,614 421,138 359,057 439,135 899,764
Non-controlling interest                                     139
Revenue 74,541 66,683 72,134 74,761 62,991 66,212 78,505 69,595 138,817 129,203 145,853   213,358 203,964 224,358 284,603   268,995 297,146
Cost of goods sold                               214,933   189,484 216,264
Gross margin 21,466 21,905 18,038 24,098 21,838 23,031 28,226 23,426 39,943 44,869 37,188   61,409 68,967 65,414 69,670   79,511 80,882
Operating expenses                               231,329   196,654 309,596
Operating loss from continuing operations (26,350) (16,894) (22,624) (23,822) (45,943) (29,108) (60,316) (7,007) (39,518) (75,051) (61,659)   (65,868) (98,873) (121,975) (161,659)   (117,143) (228,714)
Other income (loss) (31,627) 12,130 (21,946) (73,945) (65,975) (72,626) (159,904) (119,720) (9,816) (138,602) (73,619)   (41,443) (212,547) (233,523) (101,226)   (390,617) (279,052)
Income tax (expense) recovery                               (23)   (7,141) (12,327)
Net loss     (44,861) (98,083) (108,963) (105,875) (205,664) (316,186) (49,839) (214,839) (358,047)   (108,184) (312,922) (563,711) (262,908)   (508,878) (712,206)
Net loss attributable to Canopy Growth Corporation (58,345) $ (4,978) $ (44,861) (98,083) $ (108,963) $ (105,875) $ (205,664) $ (301,400) $ (49,839) $ (214,839) $ (339,521)   (108,184) (312,922) $ (545,185) $ (262,908)   $ (508,878) $ (693,680)
Canopy USA                                      
Assets                                      
Current Assets 131,377     145,367               145,367 131,377 145,367     131,377    
Other Assets 400,739     501,469               501,469 400,739 501,469     400,739    
Total assets 532,116     646,836               646,836 532,116 646,836     532,116    
Liabilities                                      
Current Liabilities 638,367     580,537               580,537 638,367 580,537     638,367    
Other Liabilities 175,268     213,745               213,745 175,268 213,745     175,268    
Total liabilities 813,635     794,282               794,282 813,635 794,282     813,635    
Non-controlling interest $ 51,508     $ 53,364               53,364 $ 51,508 $ 53,364     51,508    
Revenue                       45,899         266,366    
Cost of goods sold                       39,470         173,474    
Gross margin                       6,429         92,892    
Operating expenses                       34,363         157,125    
Operating loss from continuing operations                       (27,934)         (64,233)    
Other income (loss)                       (213,312)         (48,404)    
Income tax (expense) recovery                       10,740         (10,125)    
Net loss                       (230,506)         (122,762)    
Net loss attributable to non-controlling interest                       (134,995)         (1,804)    
Net loss attributable to Canopy Growth Corporation                       $ (95,511)         $ (120,958)