Capital Power
TSX:CPX
C$ 68,23
+ C$1,10 (1,64%)
68,23 C$
+C$1,10 (1,64%)
End-of-day quote: 04/08/2026

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

C$8,32
FFO
C$23,79
Revenue Per Share
37,50%
Gross Margin %
C$10,67 B
Market Cap
C$6,38 B
Long-Term Debt
FFO
C$8,32
Revenue Per Share
C$23,79
Gross Margin %
37,50%
Market Cap
C$10,67 B
Long-Term Debt
C$6,38 B

Financials

Year Year 2026 2025 2024 2023 2022 2021 2020 2019 2018 2015
FFO FFO C$8,32 C$8,78 C$8,78 C$9,26 C$7,35 C$5,83 C$6,08 C$5,22 C$3,46
Revenue Revenue C$0,00M C$3,72B C$3,78B C$4,28B C$2,93B C$1,99B C$1,94B C$1,96B C$1,39B C$1,25B
OCF Operating Cash Flow C$0,00M C$1,15B C$971,00M C$1,05B C$756,00M C$767,00M C$585,00M C$651,00M C$493,00M C$419,00M
FCF Free Cash Flow C$0,00M C$715,30M C$74,00M C$805,00M C$253,00M C$647,00M C$512,00M C$573,00M C$414,00M C$279,00M
OM Operating Margin 0,00% 10,38% 22,63% 26,01% 10,55% 17,99% 23,00% 38,00% 22,41% 19,98%
GM % Gross Margin % 0,00% 37,50% 45,72% 42,85% 35,47% 53,44% 58,46% 67,43% 56,13% 53,67%
FCFS Free Cash Flow Per Share C$0,00 C$0,54 C$0,57 C$0,85 C$1,85 C$1,73 C$2,29 C$0,35 C$0,52 C$2,67
LT Debt Long-Term Debt N/A C$6,38B C$4,83B C$4,14B C$3,61B C$3,28B C$3,21B C$2,56B C$2,19B C$1,29B
Sha. Stocks 281,35M 156,4M 139,27M 126,33M 116,89M 116,21M 106,97M 105,45M 101,75M 97,38M
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