IGM Financial
TSX:IGM
C$ 75,73
+ C$2,50 (3,41%)
75,73 C$
+C$2,50 (3,41%)
End-of-day quote: 04/30/2026

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

C$4,61
Earnings Per Share
C$16,17
Revenue Per Share
38,02%
Gross Margin %
C$17,67 B
Market Cap
C$2,40 B
Long-Term Debt
Earnings Per Share
C$4,61
Revenue Per Share
C$16,17
Gross Margin %
38,02%
Market Cap
C$17,67 B
Long-Term Debt
C$2,40 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$4,61 C$3,95 C$3,44 C$3,63 C$4,05 C$3,20 C$3,19 C$3,29 C$3,02 C$3,05 C$3,21 C$3,27 C$3,02 C$2,94 C$3,22 C$2,79 C$2,35 C$2,89 C$3,23 C$2,85
Earnings Earnings C$1,08B C$937,69M C$819,20M C$863,14M C$970,91M C$762,59M C$760,18M C$792,59M C$726,82M C$733,59M C$785,78M C$822,31M C$761,98M C$741,17M C$826,45M C$724,62M C$617,18M C$758,22M C$853,33M C$754,88M
RPS Revenue Per Share C$16,17 C$14,22 C$13,63 C$14,12 C$14,38 C$12,66 C$13,57 C$13,49 C$13,11 C$12,66 C$12,37 C$11,64 C$10,66 C$10,22 C$10,65 C$10,10 C$9,15 C$10,31 C$10,96 C$9,83
Revenue Revenue C$3,79B C$3,38B C$3,25B C$3,36B C$3,45B C$3,02B C$3,23B C$3,25B C$3,15B C$3,04B C$3,03B C$2,93B C$2,69B C$2,58B C$2,73B C$2,62B C$2,40B C$2,70B C$2,90B C$2,60B
OCF Operating Cash Flow C$955,00M C$1,15B C$837,28M C$0,00M C$943,59M C$736,63M C$712,07M C$785,15M C$657,57M C$736,65M C$621,76M C$740,94M C$715,26M C$709,56M C$776,59M C$863,23M C$699,52M C$0,00M C$1,12B C$0,00M
FCF Free Cash Flow C$929,28M C$1,12B C$834,00M C$775,34M C$932,95M C$697,63M C$693,25M C$778,04M C$641,02M C$694,34M C$831,47M C$722,93M C$700,92M C$678,74M C$756,75M C$848,04M C$0,00M C$0,00M C$0,00M C$0,00M
OM Operating Margin 38,02% 38,98% 38,10% 35,54% 38,33% 37,65% 36,69% 37,93% 40,09% 36,80% 38,45% 38,83% 40,59% 42,89% 45,60% 44,36% 39,26% 41,75% 45,77% 46,01%
GM % Gross Margin % 38,02% 39,56% 38,72% 36,23% 39,02% 38,48% 37,50% 39,59% 41,79% 38,55% 40,22% 40,69% 42,53% 44,79% 47,34% 44,36% 39,26% 41,75% 45,77% 46,01%
FCFS Free Cash Flow Per Share C$3,87 C$4,36 C$2,87 C$2,49 C$3,59 C$2,64 C$2,61 C$2,99 C$2,48 C$2,57 C$2,37 C$2,68 C$2,75 C$2,63 C$1,78 C$3,13 C$2,62 C$2,11 C$2,85 C$1,98
LT Debt Long-Term Debt C$2,40B C$2,40B C$2,40B C$2,10B C$2,10B C$2,10B C$2,10B C$1,86B C$2,03B C$1,35B C$1,38B C$1,35B C$1,34B C$1,33B C$1,33B C$1,33B C$1,58B C$1,20B C$1,20B C$1,20B
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