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TMX Group Ltd
Nakaraang pagsara
$51.20
Sakop ng araw
$50.67 - $51.41
Sakop ng taon
$42.13 - $57.98
Market cap
14.11B CAD
Average na Volume
611.82K
P/E ratio
33.54
Dividend yield
1.73%
Primary exchange
TSE
Mga balita tungkol sa merkado
Mga Financial
Income Statement
Kita
Net na kita
(CAD) | Hun 2025info | Y/Y na pagbabago |
---|---|---|
Kita | 421.70M | 14.87% |
Gastos sa pagpapatakbo | 196.40M | 12.16% |
Net na kita | 74.10M | -25.90% |
Net profit margin | 17.57 | -35.50% |
Kita sa bawat share | 0.52 | 20.93% |
EBITDA | 237.30M | 15.64% |
Aktuwal na % ng binabayarang buwis | 29.43% | — |
Balance Sheet
Kabuuang asset
Kabuuang sagutin
(CAD) | Hun 2025info | Y/Y na pagbabago |
---|---|---|
Cash at mga panandaliang investment | 465.60M | -5.19% |
Kabuuang asset | 47.81B | -0.51% |
Kabuuang sagutin | 42.96B | -1.28% |
Kabuuang equity | 4.85B | — |
Natitirang share | 278.10M | — |
Presyo para makapag-book | 3.07 | — |
Return on assets | 0.95% | — |
Return on capital | 6.89% | — |
Cash Flow
Net change in cash
(CAD) | Hun 2025info | Y/Y na pagbabago |
---|---|---|
Net na kita | 74.10M | -25.90% |
Cash mula sa mga operasyon | 262.70M | 25.33% |
Cash mula sa pag-invest | -57.10M | -224.13% |
Cash mula sa financing | -118.00M | 32.49% |
Net change in cash | 80.90M | -1.22% |
Malayang cash flow | 192.59M | 28.55% |
Tungkol
Itinatag
2011
Headquarters
Website
Mga Empleyado
2,090