Air Canada
TSX:AC
C$ 17,86
C$0,00 (0,00%)
17,86 C$
C$0,00 (0,00%)
End-of-day quote: 04/03/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

C$1,47
Earnings Per Share
C$75,95
Revenue Per Share
29,53%
Gross Margin %
C$5,23 B
Market Cap
C$8,61 B
Long-Term Debt
Earnings Per Share
C$1,47
Revenue Per Share
C$75,95
Gross Margin %
29,53%
Market Cap
C$5,23 B
Long-Term Debt
C$8,61 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share C$1,47 C$3,55 C$4,56 C$-2,76 C$-9,71 C$-15,03 C$3,37 C$2,45 C$4,11 C$4,06 C$4,18 C$1,81 C$1,20 C$0,19 C$-0,72 C$-0,26 C$-5,11 C$-4,62 C$4,27 C$0,25
Earnings Earnings C$432,99M C$1,21B C$1,63B C$-989,07M C$-3,47B C$-4,99B C$889,07M C$663,29M C$1,12B C$1,11B C$1,18B C$518,55M C$341,44M C$52,14M C$-199,71M C$-72,53M C$-1,42B C$-462,00M C$427,00M C$25,00M
RPS Revenue Per Share C$75,95 C$65,49 C$60,91 C$46,20 C$17,89 C$17,56 C$72,52 C$66,73 C$59,51 C$53,72 C$49,04 C$46,33 C$43,52 C$44,16 C$41,86 C$38,66 C$35,01 C$110,82 C$106,46 C$101,67
Revenue Revenue C$22,37B C$22,26B C$21,83B C$16,56B C$6,40B C$5,83B C$19,13B C$18,07B C$16,25B C$14,68B C$13,87B C$13,27B C$12,38B C$12,12B C$11,61B C$10,79B C$9,74B C$11,08B C$10,65B C$10,17B
OCF Operating Cash Flow C$3,03B C$3,93B C$4,32B C$2,37B C$-1,56B C$-2,35B C$5,71B C$2,70B C$2,74B C$2,42B C$2,01B C$941,00M C$731,00M C$649,00M C$586,00M C$864,00M C$-167,00M C$-102,00M C$435,00M C$393,00M
FCF Free Cash Flow C$109,83M C$1,29B C$2,56B C$796,00M C$-2,64B C$-3,56B C$3,71B C$791,00M C$1,06B C$-149,00M C$197,00M C$-560,00M C$-231,00M C$187,00M C$366,00M C$746,00M C$0,00M C$0,00M C$0,00M C$0,00M
OM Operating Margin 4,10% 5,86% 10,55% -0,96% -44,44% -67,19% 8,42% 8,03% 8,22% 9,27% 10,19% 5,03% 3,21% 0,26% 1,32% 1,91% -2,94% -0,16% 4,67% 3,75%
GM % Gross Margin % 29,53% 29,78% 33,54% 24,13% 0,06% -14,80% 32,10% 30,03% 27,39% 28,00% 27,60% 20,80% 20,44% 21,50% 23,54% 25,34% 20,00% 20,93% 25,58% 25,61%
FCFS Free Cash Flow Per Share C$2,40 C$3,61 C$7,70 C$2,22 C$-7,34 C$-12,61 C$13,76 C$3,80 C$1,16 C$-1,81 C$0,74 C$-1,91 C$-0,83 C$0,72 C$1,28 C$2,68 C$-3,02 C$-9,85 C$-21,77 C$-5,56
LT Debt Long-Term Debt C$8,61B C$9,07B C$10,97B C$12,56B C$12,83B C$8,15B C$5,20B C$6,06B C$5,45B C$5,91B C$5,87B C$4,73B C$3,96B C$3,26B C$3,91B C$4,03B C$4,05B C$4,69B C$4,01B C$3,20B
Sha. Stocks 294,55M 339,84M 358,47M 358,36M 357,84M 332,17M 263,82M 270,73M 273,08M 273,21M 282,78M 286,49M 284,53M 274,44M 277,37M 278,97M 278,15M 100M 100M 100M
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