Metro
TSX:MRU
C$ 94,17
C$-0,11 (-0,12%)
94,17 C$
C$-0,11 (-0,12%)
End-of-day quote: 03/25/2026

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

C$4,77
Earnings Per Share
C$102,48
Revenue Per Share
19,75%
Gross Margin %
C$19,94 B
Market Cap
C$2,94 B
Long-Term Debt
Earnings Per Share
C$4,77
Revenue Per Share
C$102,48
Gross Margin %
19,75%
Market Cap
C$19,94 B
Long-Term Debt
C$2,94 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$4,77 C$4,30 C$4,30 C$3,82 C$3,44 C$3,27 C$2,84 C$2,52 C$2,57 C$2,39 C$2,03 C$1,71 C$1,64 C$1,55 C$1,29 C$1,19 C$1,06 C$0,83 C$0,84 C$0,74
Earnings Earnings C$1,02B C$980,14M C$980,14M C$898,23M C$829,28M C$816,19M C$720,96M C$644,24M C$583,75M C$558,90M C$490,33M C$433,43M C$449,62M C$451,92M C$391,19M C$375,10M C$345,18M C$275,29M C$288,51M C$254,71M
RPS Revenue Per Share C$102,48 C$93,09 C$90,92 C$80,33 C$75,84 C$72,11 C$66,05 C$56,26 C$58,01 C$54,68 C$50,61 C$45,73 C$41,59 C$41,19 C$37,69 C$35,99 C$34,38 C$32,34 C$30,99 C$31,80
Revenue Revenue C$22,01B C$21,22B C$20,72B C$18,89B C$18,28B C$18,00B C$16,77B C$14,38B C$13,18B C$12,79B C$12,22B C$11,59B C$11,40B C$12,01B C$11,43B C$11,34B C$11,20B C$10,73B C$10,64B C$10,94B
OCF Operating Cash Flow C$1,72B C$1,68B C$1,56B C$1,46B C$1,58B C$1,47B C$687,70M C$750,40M C$696,20M C$707,40M C$678,30M C$432,30M C$566,80M C$546,10M C$543,20M C$547,80M C$520,20M C$450,20M C$363,30M C$0,00M
FCF Free Cash Flow C$1,21B C$1,10B C$966,30M C$938,50M C$1,06B C$1,01B C$330,80M C$464,30M C$367,90M C$429,40M C$458,30M C$241,70M C$358,40M C$335,60M C$395,10M C$0,00M C$0,00M C$0,00M C$0,00M C$0,00M
OM Operating Margin 6,69% 6,67% 6,96% 6,97% 6,80% 7,58% 6,35% 5,84% 5,79% 5,79% 5,58% 5,32% 5,46% 5,48% 5,05% 4,82% 4,70% 4,15% 4,37% 4,00%
GM % Gross Margin % 19,75% 19,70% 19,70% 20,03% 19,99% 11,82% 11,23% 10,88% 10,65% 10,54% 10,42% 6,87% 7,11% 7,05% 6,63% 6,59% 6,39% 5,79% 5,93% 5,63%
FCFS Free Cash Flow Per Share C$5,61 C$4,96 C$3,87 C$3,61 C$4,20 C$3,82 C$1,56 C$1,82 C$1,43 C$1,76 C$1,69 C$0,86 C$1,19 C$1,00 C$1,21 C$1,10 C$0,75 C$0,73 C$0,26 C$0,53
LT Debt Long-Term Debt C$2,94B C$2,36B C$2,66B C$2,34B C$2,32B C$2,61B C$2,21B C$2,61B C$1,42B C$1,21B C$1,12B C$1,01B C$614,80M C$934,80M C$656,20M C$1,00B C$1,01B C$1,01B C$1,03B C$1,12B
Sha. Stocks 214,75M 227,94M 227,94M 235,14M 241,07M 249,6M 253,86M 255,65M 227,14M 233,85M 241,54M 253,47M 274,16M 291,56M 303,25M 315,21M 325,64M 331,67M 343,46M 344,2M
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