BK MONTREAL CD 2/ CA0636711016 /
2024-11-08 5:29:52 PM | Chg. -0.520 | Volume | Bid10:00:00 PM | Ask10:00:00 PM | Market Capitalization | Dividend Y. | P/E Ratio |
---|---|---|---|---|---|---|---|
86.620EUR | -0.60% | 50 Turnover: 4,331 |
86.580Bid Size: 115 | 86.800Ask Size: 115 | 62.5 bill.EUR | - | - |
Fundamentals
FY 2023 | Growth (1Y) | |
---|---|---|
Per Share | ||
Earnings per Share: | 5.69 CAD | -71.61% |
EPS Diluted: | - CAD | -71.59% |
Revenues per Share: | 43.28 CAD | -13.07% |
Book Value per Share: | 106.82 CAD | 1.82% |
Cash Flow per Share: | 13.30 CAD | 81.73% |
Dividend per Share: | 5.80 CAD | 6.62% |
Total | in mill. | |
Revenues: | 31,199.00 CAD | -7.45% |
Net Income: | 4,365.00 CAD | -67.76% |
Operating Cash Flow: | 9,591.00 CAD | - |
Cash and Cash Equivalents: | 82,059.00 CAD | - |
Valuation Ratios
Current | Latest FY* | |
---|---|---|
P/E Ratio: | 22.72 | 18.42 |
P/S Ratio: | 2.99 | 2.42 |
P/BV ratio: | 1.21 | 0.98 |
P/CF Ratio: | 9.72 | 7.88 |
PEG: | -0.32 | -0.26 |
Earnings Yield: | 4.40% | 5.43% |
Dividend Yield: | 4.49% | 5.53% |
Market Capitalization | ||
Market Capitalization: | 62.5 bill. EUR | 51.64 bill. EUR |
Free Float Market Cap.: | - EUR | - EUR |
Market Cap. / Employee: | 1.12 mill. EUR | 926,003.1208 EUR |
Shares Outstanding: | 720.91 mill. |
Profitability
Gross Profit Margin: | - |
EBIT Margin: | 18.79% |
Net Profit Margin: | 13.99% |
Return on Equity: | 5.67% |
Return on Assets: | 0.34% |
Financial Strength
Liquidity I / Cash Ratio: | - |
Liquidity II / Quick Ratio: | - |
Liquidity III / Current Ratio: | - |
Debt / Equity Ratio: | 1,579.38% |
Dynam. Debt / Equity Ratio: | 12,681.34% |
Efficiency
Employees: | 55,767 |
Personal Expenses / Employee: | - CAD |
Revenues / Employee: | 559,452.72 CAD |
Net Income / Employee: | 78,272.10 CAD |
Total Assets / Employee: | 23,190,704.18 CAD |
* Fiscal Year End: | 2023-10-31 |
Accounting Standard: | IFRS |
Currency: | CAD |