Bombardier
TSX:BBD.B
C$ 246,55
C$-12,60 (-4,86%)
246,55 C$
C$-12,60 (-4,86%)
End-of-day quote: 04/02/2026

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

C$10,59
Earnings Per Share
C$132,29
Revenue Per Share
20,01%
Gross Margin %
C$24,42 B
Market Cap
C$6,23 B
Long-Term Debt
Earnings Per Share
C$10,59
Revenue Per Share
C$132,29
Gross Margin %
20,01%
Market Cap
C$24,42 B
Long-Term Debt
C$6,23 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$10,59 C$7,42 C$3,94 C$0,74 C$-3,75 C$-11,75 C$-6,25 C$3,50 C$0,75 C$-3,75 C$3,50 C$8,75 C$8,25 C$9,50 C$11,75 C$9,75 C$14,00 C$6,50 C$3,75 C$2,50
Earnings Earnings C$1,05B C$730,28M C$384,78M C$69,98M C$-355,95M C$-1,14B C$-599,38M C$332,29M C$65,81M C$-328,95M C$310,84M C$608,91M C$573,95M C$657,50M C$810,28M C$674,60M C$969,08M C$450,00M C$260,78M C$174,50M
RPS Revenue Per Share C$132,29 C$126,68 C$82,39 C$73,10 C$64,11 C$67,02 C$164,31 C$171,01 C$184,82 C$186,26 C$204,62 C$288,99 C$260,90 C$242,28 C$266,05 C$279,90 C$284,90 C$252,87 C$213,06 C$210,97
Revenue Revenue C$13,10B C$12,47B C$8,05B C$6,91B C$6,09B C$6,49B C$15,76B C$16,24B C$16,22B C$16,34B C$18,17B C$20,11B C$18,15B C$16,77B C$18,35B C$19,37B C$19,72B C$17,51B C$14,82B C$14,73B
OCF Operating Cash Flow C$1,29B C$582,73M C$623,00M C$1,07B C$-289,00M C$-2,82B C$-680,00M C$597,00M C$531,00M C$137,00M C$20,00M C$847,00M C$1,38B C$1,35B C$243,00M C$552,00M C$909,00M C$2,33B C$891,00M C$0,00M
FCF Free Cash Flow C$1,01B C$333,81M C$261,67M C$735,00M C$-521,00M C$3,18B C$-1,23B C$-567,00M C$-858,00M C$-1,12B C$-1,86B C$-1,14B C$-977,00M C$-741,00M C$-1,23B C$0,00M C$0,00M C$0,00M C$0,00M C$0,00M
OM Operating Margin 11,87% 10,53% 9,77% 6,81% 3,14% -4,25% 3,63% 5,17% 2,98% 1,41% 1,83% 3,96% 3,69% 2,92% 6,50% 0,00% 0,00% 0,00% 0,00% 0,00%
GM % Gross Margin % 20,01% 20,60% 20,27% 18,18% 15,18% 7,95% 13,90% 14,03% 12,32% 10,51% 10,86% 12,81% 13,73% 14,38% 15,82% 0,00% 0,00% 0,00% 0,00% 0,00%
FCFS Free Cash Flow Per Share C$14,81 C$3,07 C$2,46 C$7,38 C$-5,67 C$-33,26 C$-13,13 C$-6,33 C$-9,98 C$-12,82 C$-22,54 C$-16,61 C$-14,38 C$-10,28 C$-20,19 C$0,00 C$0,00 C$0,00 C$0,00 C$0,00
LT Debt Long-Term Debt C$6,23B C$7,55B C$5,61B C$5,98B C$7,05B C$8,19B C$9,33B C$9,05B C$9,20B C$8,74B C$8,91B C$7,63B C$7,06B C$5,37B C$4,79B C$4,16B C$3,90B C$4,40B C$4,97B C$4,68B
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