Labrador Iron Ore Ro...
TSX:LIF
C$ 28,22
+ C$0,51 (1,84%)
28,22 C$
+C$0,51 (1,84%)
End-of-day quote: 03/24/2026

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

C$1,57
Earnings Per Share
C$2,60
Revenue Per Share
76,56%
Gross Margin %
C$1,81 B
Market Cap
C$0,25 B
Long-Term Debt
Earnings Per Share
C$1,57
Revenue Per Share
C$2,60
Gross Margin %
76,56%
Market Cap
C$1,81 B
Long-Term Debt
C$0,25 B

Financials

Year Year 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007
EPS Earnings Per Share C$1,57 C$2,73 C$2,91 C$4,15 C$5,93 C$3,55 C$3,21 C$2,01 C$2,46 C$1,22 C$0,85 C$1,63 C$2,33 C$1,55 C$2,80 C$3,08 C$1,18 C$2,76 C$1,27
Earnings Earnings C$100,48M C$174,72M C$186,24M C$265,60M C$379,52M C$227,20M C$205,44M C$128,64M C$157,44M C$78,08M C$54,40M C$104,32M C$149,12M C$99,20M C$179,20M C$197,12M C$75,52M C$176,64M C$81,28M
RPS Revenue Per Share C$0,00 C$2,60 C$3,27 C$3,15 C$3,64 C$4,37 C$3,16 C$2,79 C$2,05 C$2,48 C$1,80 C$1,59 C$1,84 C$2,18 C$1,94 C$2,54 C$2,54 C$1,20 C$2,55 C$1,06
Revenue Revenue C$0,00M C$166,53M C$209,00M C$201,30M C$232,86M C$279,73M C$202,29M C$178,26M C$130,88M C$158,63M C$115,11M C$101,70M C$117,48M C$139,28M C$124,21M C$162,55M C$162,72M C$77,03M C$163,38M C$67,62M
OCF Operating Cash Flow C$0,00M C$133,00M C$201,91M C$152,49M C$173,33M C$402,42M C$175,43M C$224,56M C$148,80M C$166,96M C$63,47M C$59,91M C$113,54M C$121,69M C$51,47M C$158,10M C$155,92M C$42,41M C$186,19M C$67,20M
FCF Free Cash Flow C$0,00M C$103,00M C$201,91M C$158,00M C$172,50M C$402,42M C$175,43M C$224,56M C$148,80M C$166,96M C$63,47M C$59,91M C$114,00M C$121,69M C$118,64M C$-32,11M C$155,92M C$0,00M C$0,00M C$0,00M
OM Operating Margin 0,00% 74,73% 75,67% 75,63% 76,04% 76,84% 75,57% 74,93% 73,56% 74,37% 73,46% 72,81% 74,66% 75,24% 75,15% 75,92% 75,56% 71,88% 76,66% 68,15%
GM % Gross Margin % 0,00% 76,56% 96,98% 96,99% 97,24% 97,79% 96,93% 96,53% 96,02% 95,99% 95,53% 95,15% 96,46% 97,35% 96,88% 97,07% 96,59% 93,88% 96,90% 93,60%
FCFS Free Cash Flow Per Share C$0,00 C$1,52 C$3,15 C$2,38 C$2,88 C$6,29 C$2,74 C$3,51 C$2,32 C$2,61 C$0,99 C$0,94 C$1,77 C$1,90 C$0,80 C$1,91 C$2,44 C$0,66 C$2,91 C$1,05
LT Debt Long-Term Debt N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A C$248,00M C$248,00M N/A N/A C$1,33M
Sha. Stocks 63,51M 64M 64M 64M 64M 64M 64M 64M 64M 64M 64M 64M 64M 64M 64M 64M 64M 64M 64M 64M
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