Mullen Group
TSX:MTL
C$ 17,08
+ C$0,37 (2,21%)
17,08 C$
+C$0,37 (2,21%)
End-of-day quote: 03/31/2026

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

C$0,94
Earnings Per Share
C$22,29
Revenue Per Share
29,99%
Gross Margin %
C$1,60 B
Market Cap
C$0,79 B
Long-Term Debt
Earnings Per Share
C$0,94
Revenue Per Share
C$22,29
Gross Margin %
29,99%
Market Cap
C$1,60 B
Long-Term Debt
C$0,79 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$0,94 C$1,36 C$1,49 C$1,76 C$0,73 C$0,62 C$0,46 C$0,59 C$0,41 C$0,47 C$0,80 C$1,44 C$1,57 C$1,45 C$1,39 C$0,83 C$1,13 C$1,40 C$1,83 C$1,98
Earnings Earnings C$89,99M C$119,23M C$131,15M C$163,47M C$68,74M C$60,05M C$48,22M C$61,84M C$42,50M C$48,72M C$73,33M C$131,92M C$142,34M C$127,12M C$112,37M C$65,34M C$91,09M C$112,85M C$147,75M C$162,24M
RPS Revenue Per Share C$22,29 C$22,69 C$22,66 C$21,53 C$15,69 C$12,02 C$12,20 C$12,03 C$10,98 C$9,99 C$13,25 C$15,59 C$15,85 C$16,28 C$17,16 C$13,21 C$12,13 C$16,30 C$13,87 C$12,24
Revenue Revenue C$2,13B C$1,99B C$1,99B C$2,00B C$1,48B C$1,16B C$1,28B C$1,26B C$1,14B C$1,04B C$1,21B C$1,43B C$1,44B C$1,43B C$1,39B C$1,04B C$978,05M C$1,31B C$1,12B C$1,00B
OCF Operating Cash Flow C$307,68M C$296,12M C$276,80M C$262,97M C$197,97M C$224,82M C$170,65M C$140,71M C$142,10M C$174,31M C$248,60M C$248,59M C$214,40M C$279,85M C$221,41M C$94,51M C$212,20M C$203,77M C$193,78M C$0,00M
FCF Free Cash Flow C$148,31M C$224,60M C$149,89M C$181,56M C$129,76M C$159,88M C$95,63M C$53,23M C$79,97M C$159,81M C$138,28M C$122,84M C$80,72M C$157,10M C$134,31M C$32,91M C$0,00M C$0,00M C$0,00M C$0,00M
OM Operating Margin 9,65% 10,44% 11,23% 10,87% 7,09% 9,96% 7,56% 8,05% 7,52% 9,25% 11,13% 13,98% 14,92% 14,72% 14,93% 12,00% 11,48% 14,78% 12,03% 14,89%
GM % Gross Margin % 29,99% 30,34% 29,57% 28,58% 27,68% 31,59% 28,83% 28,39% 28,73% 31,23% 30,50% 31,00% 31,57% 31,11% 31,39% 31,73% 32,26% 32,67% 31,67% 32,01%
FCFS Free Cash Flow Per Share C$2,38 C$2,56 C$1,95 C$1,94 C$1,35 C$1,59 C$0,91 C$0,36 C$1,05 C$1,55 C$1,51 C$1,34 C$0,90 C$1,89 C$1,68 C$0,88 C$2,28 C$1,54 C$1,42 C$1,30
LT Debt Long-Term Debt C$791,48M C$769,76M C$349,08M C$597,40M C$574,96M C$572,82M C$576,16M C$482,19M C$456,80M C$559,40M C$709,05M C$704,99M C$425,28M C$432,59M C$502,51M C$514,06M C$526,97M C$518,01M C$398,59M C$325,00M
Sha. Stocks 95,73M 87,67M 88,02M 92,88M 94,17M 96,85M 104,82M 104,82M 103,65M 103,65M 91,66M 91,61M 90,66M 87,67M 80,84M 78,72M 80,61M 80,61M 80,74M 81,94M
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