CANADIAN PAC KA.CITY LTD.
CANADIAN PAC KA.CITY LTD./ CA13646K1084 /
X88
2024-11-15 8:04:28 AM
|
Chg.
0.00
|
Volume |
Bid9:42:16 PM |
Ask9:42:16 PM |
Market Capitalization |
Dividend Y. |
P/E Ratio |
71.50EUR
|
0.00%
|
0 Turnover: 0.00 |
-Bid Size: - |
-Ask Size: - |
65.54 bill.EUR |
- |
- |
Fundamentals
|
FY 2023 |
Growth (1Y) |
Per Share |
|
Earnings per Share: |
4.22 CAD |
11.64% |
EPS Diluted: |
- CAD |
11.67% |
Revenues per Share: |
13.47 CAD |
42.20% |
Book Value per Share: |
44.51 CAD |
6.52% |
Cash Flow per Share: |
4.44 CAD |
-0.29% |
Dividend per Share: |
0.76 CAD |
0.00% |
Total |
in mill. |
|
Revenues: |
12,555.00 CAD |
42.44% |
Net Income: |
3,923.00 CAD |
11.54% |
Operating Cash Flow: |
4,137.00 CAD |
- |
Cash and Cash Equivalents: |
464.00 CAD |
- |
Valuation Ratios
|
Current |
Latest FY* |
P/E Ratio: |
24.71 |
24.84 |
P/S Ratio: |
7.74 |
7.78 |
P/BV ratio: |
2.34 |
2.36 |
P/CF Ratio: |
23.50 |
23.62 |
PEG: |
2.12 |
2.13 |
Earnings Yield: |
4.05% |
4.03% |
Dividend Yield: |
0.73% |
0.72% |
Market Capitalization |
|
Market Capitalization: |
65.54 bill. EUR |
66.8 bill. EUR |
Free Float Market Cap.: |
- EUR |
- EUR |
Market Cap. / Employee: |
3.29 mill. EUR |
3.35 mill. EUR |
Shares Outstanding: |
932.1 mill. |
|
Profitability
Gross Profit Margin: |
- |
EBIT Margin: |
34.95% |
Net Profit Margin: |
31.25% |
Return on Equity: |
9.45% |
Return on Assets: |
4.91% |
Financial Strength
Liquidity I / Cash Ratio: |
8.13% |
Liquidity II / Quick Ratio: |
41.17% |
Liquidity III / Current Ratio: |
52.57% |
Debt / Equity Ratio: |
92.57% |
Dynam. Debt / Equity Ratio: |
928.45% |
Efficiency
Employees: |
19,927 |
Personal Expenses / Employee: |
- CAD |
Revenues / Employee: |
630,049.68 CAD |
Net Income / Employee: |
196,868.57 CAD |
Total Assets / Employee: |
4,009,735.53 CAD |
* Fiscal Year End: |
2023-12-31 |
Accounting Standard: |
US GAAP |