Cameco
TSX:CCO
C$ 144,31
C$-0,68 (-0,47%)
144,31 C$
C$-0,68 (-0,47%)
End-of-day quote: 03/27/2026

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

C$1,44
Earnings Per Share
C$7,99
Revenue Per Share
36,28%
Gross Margin %
C$63,15 B
Market Cap
C$1,00 B
Long-Term Debt
Earnings Per Share
C$1,44
Revenue Per Share
C$7,99
Gross Margin %
36,28%
Market Cap
C$63,15 B
Long-Term Debt
C$1,00 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$1,44 C$0,67 C$0,78 C$0,33 C$-0,25 C$-0,17 C$0,10 C$0,53 C$0,15 C$0,36 C$0,87 C$1,04 C$1,12 C$1,13 C$1,15 C$1,11 C$1,49 C$1,76 C$1,63 C$0,75
Earnings Earnings C$627,16M C$291,66M C$338,66M C$142,80M C$-99,57M C$-67,47M C$39,58M C$209,77M C$59,37M C$142,48M C$344,34M C$411,62M C$442,94M C$446,75M C$453,96M C$437,73M C$585,33M C$643,67M C$561,37M C$264,22M
RPS Revenue Per Share C$7,99 C$7,20 C$5,96 C$4,32 C$3,70 C$4,54 C$4,71 C$5,29 C$5,45 C$6,14 C$6,96 C$6,06 C$6,17 C$5,87 C$6,04 C$5,39 C$5,89 C$7,82 C$6,71 C$5,20
Revenue Revenue C$3,48B C$3,14B C$2,59B C$1,87B C$1,48B C$1,80B C$1,86B C$2,09B C$2,16B C$2,43B C$2,75B C$2,40B C$2,44B C$2,32B C$2,38B C$2,12B C$2,32B C$2,86B C$2,31B C$1,83B
OCF Operating Cash Flow C$1,11B C$905,29M C$688,14M C$304,61M C$458,29M C$56,89M C$527,02M C$667,52M C$596,05M C$312,38M C$450,01M C$480,00M C$529,88M C$643,91M C$731,68M C$507,00M C$690,00M C$708,00M C$801,00M C$418,02M
FCF Free Cash Flow C$598,88M C$693,65M C$431,60M C$161,16M C$359,50M C$-20,57M C$451,81M C$612,15M C$482,02M C$95,47M C$91,45M C$0,00M C$-115,77M C$-89,74M C$84,47M C$36,82M C$0,00M C$0,00M C$0,00M C$0,00M
OM Operating Margin 17,84% 15,15% 9,48% -0,42% -7,69% -2,06% 12,21% 13,17% 8,57% 12,02% 16,05% 16,23% 13,66% 12,84% 21,94% 22,51% 24,05% 29,77% 24,98% 14,71%
GM % Gross Margin % 36,28% 33,91% 30,22% 21,98% 15,78% 20,56% 36,03% 39,98% 37,32% 37,21% 36,65% 40,74% 36,47% 40,06% 44,08% 47,55% 42,80% 47,47% 47,54% 38,43%
FCFS Free Cash Flow Per Share C$2,46 C$1,60 C$1,23 C$0,40 C$0,90 C$-0,05 C$1,14 C$1,55 C$1,22 C$0,24 C$0,23 C$0,00 C$-0,29 C$-0,23 C$0,25 C$0,23 C$0,77 C$-0,00 C$0,87 C$-0,12
LT Debt Long-Term Debt C$996,35M C$997,44M C$1,45B C$1,08B C$1,01B C$1,00B C$996,72M C$996,07M C$1,49B C$1,49B C$1,49B C$1,49B C$1,29B C$1,29B C$799,19M C$794,48M C$793,84M C$1,04B C$717,13M C$696,69M
Sha. Stocks 435,53M 435,31M 434,18M 432,72M 398,29M 396,86M 395,8M 395,79M 395,79M 395,79M 395,79M 395,79M 395,48M 395,35M 394,75M 394,35M 392,84M 365,72M 344,4M 352,29M
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