TFI International
TSX:TFII
C$ 145,46
C$-0,86 (-0,59%)
145,46 C$
C$-0,86 (-0,59%)
End-of-day quote: 03/27/2026

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

C$8,27
Earnings Per Share
C$143,13
Revenue Per Share
20,60%
Gross Margin %
C$11,96 B
Market Cap
C$3,32 B
Long-Term Debt
Earnings Per Share
C$8,27
Revenue Per Share
C$143,13
Gross Margin %
20,60%
Market Cap
C$11,96 B
Long-Term Debt
C$3,32 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$5,99 C$8,27 C$6,18 C$8,02 C$5,23 C$3,30 C$2,96 C$2,69 C$1,65 C$1,56 C$1,30 C$1,39 C$1,13 C$1,41 C$1,07 C$0,77 C$0,58 C$0,88 C$1,20 C$1,34
Earnings Earnings C$492,08M C$698,07M C$521,84M C$694,05M C$481,94M C$308,22M C$241,09M C$232,42M C$147,05M C$142,86M C$126,92M C$142,22M C$105,55M C$130,81M C$102,25M C$73,40M C$55,25M C$76,38M C$104,15M C$116,30M
RPS Revenue Per Share C$131,60 C$143,13 C$89,07 C$101,83 C$78,36 C$40,48 C$47,72 C$45,09 C$42,17 C$33,67 C$29,54 C$28,94 C$29,97 C$32,88 C$28,33 C$21,36 C$18,17 C$20,23 C$22,98 C$17,83
Revenue Revenue C$10,81B C$12,08B C$7,52B C$8,81B C$7,22B C$3,78B C$3,89B C$3,90B C$3,76B C$3,08B C$2,88B C$2,96B C$2,80B C$3,05B C$2,71B C$2,04B C$1,73B C$1,76B C$1,99B C$1,55B
OCF Operating Cash Flow C$1,21B C$1,53B C$1,01B C$971,65M C$855,35M C$610,86M C$487,17M C$405,02M C$244,69M C$255,88M C$306,24M C$244,78M C$212,68M C$301,09M C$237,64M C$205,59M C$196,65M C$0,00M C$216,27M C$0,00M
FCF Free Cash Flow C$997,27M C$1,11B C$714,82M C$880,89M C$700,89M C$544,64M C$227,26M C$231,20M C$248,07M C$171,84M C$193,90M C$269,45M C$202,47M C$248,97M C$205,32M C$101,01M C$0,00M C$0,00M C$0,00M C$0,00M
OM Operating Margin 0,00% 8,48% 9,70% 10,61% 9,06% 8,99% 8,61% 8,10% 4,98% 6,00% 6,42% 6,26% 6,45% 7,74% 6,90% 7,05% 5,19% 6,86% 6,98% 8,44%
GM % Gross Margin % 0,00% 20,60% 21,35% 21,08% 19,65% 20,86% 20,19% 18,65% 16,13% 16,84% 16,75% 16,22% 17,13% 18,48% 18,08% 19,16% 28,68% 27,97% 28,43% 28,85%
FCFS Free Cash Flow Per Share C$0,00 C$11,29 C$7,56 C$6,88 C$6,23 C$5,23 C$2,68 C$2,59 C$0,65 C$2,39 C$2,67 C$2,36 C$1,68 C$2,31 C$1,39 C$1,01 C$1,66 C$1,24 C$0,88 C$0,99
LT Debt Long-Term Debt C$3,32B C$3,32B C$1,71B C$1,28B C$1,24B C$829,55M C$1,30B C$1,46B C$1,44B C$1,54B C$994,35M C$1,29B C$748,88M C$781,18M C$845,77M C$620,17M C$309,29M C$738,99M C$651,64M C$358,62M
Sha. Stocks 82,15M 84,41M 84,44M 86,54M 92,15M 93,4M 81,45M 86,4M 89,12M 91,58M 97,63M 102,32M 93,41M 92,77M 95,56M 95,33M 95,25M 86,79M 86,79M 86,79M
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